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00388 HKEX

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  • 294.000
  • +2.200+0.75%
Trading Dec 3 14:03 CST
372.74BMarket Cap31.41P/E (TTM)

HKEX Key Stats

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YOY yoy
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(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
(Q9)Sep 30, 2022
(Q6)Jun 30, 2022
Assets
Current assets
Accounts receivable
72.42%52.39B
23.49%26.41B
37.72%30.17B
31.39%33.31B
31.27%30.38B
-19.83%21.39B
-37.08%21.91B
-22.51%25.35B
-33.66%23.15B
-2.21%26.68B
Withholding and tax receivable
651.35%278M
564.29%279M
264.29%51M
276.47%64M
--37M
--42M
133.33%14M
-10.53%17M
----
----
Cash and equivalents
63.96%227.76B
3.64%153.99B
-21.75%135.9B
-32.36%125.11B
-20.80%138.91B
-29.08%148.58B
-34.34%173.68B
1.99%184.97B
-0.60%175.4B
35.49%209.5B
Financial assets at fair value-current assets
2.34%6.53B
6.30%6.8B
5.08%6.68B
2.91%6.36B
-94.57%6.38B
-96.23%6.39B
-97.24%6.36B
-27.25%6.18B
-5.67%117.55B
30.62%169.51B
Derivative financial instruments-current assets
72.03%93.37B
32.41%91.46B
-17.74%56.69B
-27.99%58.13B
--54.27B
--69.07B
--68.92B
-11.71%80.72B
----
----
Special items of current assets
-11.41%77.68B
-0.58%86.72B
0.45%85.42B
9.37%93.23B
23.46%87.69B
4.45%87.23B
22.58%85.04B
39.62%85.25B
-10.32%71.02B
15.10%83.52B
Total current assets
44.17%458B
9.91%365.66B
-11.52%314.9B
-17.33%316.2B
-17.94%317.67B
-31.99%332.71B
-40.56%355.91B
1.98%382.48B
-6.76%387.13B
27.32%489.2B
Non-current assets
Fixed assets
0.75%1.47B
-2.79%1.46B
-4.94%1.5B
-5.30%1.55B
-7.84%1.46B
-5.35%1.51B
1.15%1.58B
2.18%1.64B
5.68%1.58B
2.38%1.59B
Interests in Joint Venture
19.82%399M
29.45%400M
21.54%378M
20.96%352M
20.65%333M
17.94%309M
15.61%311M
19.26%291M
24.32%276M
29.70%262M
Financial assets at fair value-non-current assets
-14.69%697M
-30.47%575M
-23.58%606M
-23.25%604M
1.49%817M
-12.02%827M
-14.36%793M
-16.81%787M
-4.51%805M
12.31%940M
Goodwill
1.55%19.46B
1.72%19.41B
1.52%19.37B
1.64%19.28B
0.78%19.16B
0.46%19.08B
0.38%19.08B
-0.02%18.97B
0.52%19.02B
0.53%19B
Deferred tax assets
-91.80%5M
-58.33%15M
-21.21%26M
-60.38%21M
-30.68%61M
-47.83%36M
-8.33%33M
112.00%53M
144.44%88M
91.67%69M
Special items of non-current assets
-0.58%1.54B
8.31%1.66B
628.63%1.71B
632.17%1.68B
569.26%1.55B
544.73%1.53B
-35.36%234M
-57.95%230M
-45.52%231M
-43.97%237M
Total non-current assets
10.68%27.46B
11.90%27.74B
6.11%25.03B
5.96%24.98B
4.80%24.81B
3.95%24.79B
-1.67%23.59B
-2.73%23.57B
-0.95%23.67B
-0.58%23.85B
Total assets
41.75%485.46B
10.04%393.4B
-10.43%339.93B
-15.98%341.18B
-16.63%342.48B
-30.32%357.49B
-39.06%379.5B
1.69%406.05B
-6.44%410.8B
25.68%513.05B
Liabilities
Current liabilities
Accounts payable
142.81%73.47B
31.94%26.24B
15.33%21.07B
46.16%27.85B
65.49%30.26B
0.04%19.89B
-32.38%18.27B
-32.75%19.05B
-28.55%18.28B
16.62%19.88B
Tax payable
-11.95%1.18B
-19.09%839M
-23.91%525M
-70.58%639M
-28.17%1.34B
-32.75%1.04B
-41.08%690M
88.38%2.17B
-17.78%1.86B
-11.43%1.54B
Advance payment
27.87%232.35B
-0.24%187.45B
-13.72%186.47B
-22.70%176.17B
-10.58%181.71B
-24.67%187.9B
-28.27%216.13B
11.97%227.9B
-8.19%203.21B
30.36%249.45B
Bank loans and overdrafts
-11.78%382M
-11.57%382M
-11.37%382M
-11.16%382M
27.35%433M
27.06%432M
26.76%431M
26.47%430M
0.00%340M
0.00%340M
Derivative financial instrument-current liabilities
71.86%93.33B
32.55%91.51B
-17.68%56.71B
-28.01%58.1B
--54.31B
--69.04B
--68.89B
-11.72%80.71B
----
----
Provision-current liabilities
5.63%75M
2.53%81M
6.02%88M
-7.46%62M
-28.28%71M
-26.85%79M
-18.63%83M
-18.29%67M
-13.91%99M
-14.29%108M
Financial lease liabilities-current liabilities
4.45%258M
-3.85%250M
-4.59%270M
-9.09%270M
-18.48%247M
-13.33%260M
-6.91%283M
-0.67%297M
2.71%303M
0.33%300M
Deferred income-current liabilities
-2.16%498M
-2.50%703M
-0.97%915M
-1.49%1.06B
-0.20%509M
-3.48%721M
-2.43%924M
-2.18%1.08B
-1.54%510M
3.03%747M
Special items of current liabilities
40.69%30.18B
29.64%30.04B
-4.40%20.74B
3.48%21.98B
-84.21%21.45B
-87.68%23.17B
-91.00%21.69B
7.87%21.25B
-1.36%135.82B
31.47%188.05B
Total current liabilities
48.70%431.72B
11.56%337.5B
-12.29%287.16B
-18.82%286.51B
-19.45%290.32B
-34.29%302.53B
-42.77%327.38B
2.02%352.95B
-7.14%360.43B
29.81%460.41B
Net current assets
-3.89%26.28B
-6.67%28.17B
-2.76%27.74B
0.55%29.69B
2.43%27.35B
4.83%30.18B
7.02%28.53B
1.46%29.53B
-1.18%26.7B
-2.63%28.79B
Total assets less current liabilities
3.04%53.74B
1.70%55.9B
1.26%52.77B
2.95%54.67B
3.54%52.16B
4.43%54.97B
2.90%52.12B
-0.44%53.1B
-1.07%50.37B
-1.71%52.64B
Non-current liabilities
Long-term bank loan
6.25%68M
6.35%67M
6.45%66M
6.56%65M
-28.09%64M
-28.41%63M
-28.74%62M
-29.07%61M
3.49%89M
3.53%88M
Financial lease liabilities-non-current liabilities
-15.43%1.1B
-14.75%1.16B
-8.97%1.29B
-7.87%1.33B
-13.25%1.3B
-14.38%1.36B
-15.61%1.42B
-17.73%1.45B
-17.74%1.5B
-16.30%1.59B
Deferred tax liability
0.19%1.03B
-0.58%1.03B
-2.24%1.05B
-1.77%1.05B
-4.19%1.03B
-4.16%1.04B
-4.89%1.07B
-5.30%1.07B
0.00%1.07B
0.46%1.08B
Deferred income-non-current liabilities
-6.05%295M
-4.66%307M
-7.88%304M
-7.81%307M
-7.92%314M
-8.26%322M
-5.71%330M
-5.93%333M
-6.06%341M
-0.28%351M
Provision-non-current liabilities
11.71%124M
5.56%114M
0.93%108M
25.56%113M
16.84%111M
12.50%108M
10.31%107M
-8.16%90M
-3.06%95M
-2.04%96M
Total non-current liabilities
-7.13%2.62B
-7.33%2.68B
-5.76%2.81B
-4.39%2.87B
-9.03%2.82B
-9.85%2.89B
-10.55%2.99B
-12.42%3B
-10.04%3.1B
-8.68%3.21B
Total liabilities
48.16%434.33B
11.38%340.18B
-12.23%289.98B
-18.70%289.38B
-19.36%293.14B
-34.12%305.42B
-42.59%330.37B
1.88%355.95B
-7.17%363.53B
29.44%463.62B
Total assets less total liabilities
3.62%51.12B
2.20%53.22B
1.68%49.96B
3.39%51.8B
4.37%49.34B
5.36%52.07B
3.85%49.13B
0.38%50.1B
-0.42%47.27B
-1.23%49.43B
Total equity and non-current liabilities
3.04%53.74B
1.70%55.9B
1.26%52.77B
2.95%54.67B
3.54%52.16B
4.43%54.97B
2.90%52.12B
-0.44%53.1B
-1.07%50.37B
-1.71%52.64B
Equity
Share capital
0.09%31.95B
0.09%31.95B
0.09%31.95B
0.09%31.95B
0.07%31.92B
0.07%31.92B
0.07%31.92B
0.07%31.92B
0.02%31.9B
0.02%31.9B
Exchange reserve
-87.22%-249M
-51.64%-185M
-143.10%-141M
-8.39%-168M
-60.24%-133M
-159.57%-122M
-31.82%-58M
-32.48%-155M
45.03%-83M
75.26%-47M
Other reserves
53.10%1.56B
61.27%1.37B
61.74%1.21B
65.45%996M
33.12%1.02B
24.56%852M
14.97%745M
7.50%602M
10.09%764M
11.58%684M
Retained profit
5.91%18.26B
3.29%20.72B
2.53%17.65B
6.34%19.72B
10.35%17.24B
13.12%20.06B
10.69%17.22B
2.06%18.55B
0.52%15.62B
-2.59%17.73B
Special items of shareholders' rights and interests
20.07%-924M
-8.34%-1.14B
-8.61%-1.19B
2.62%-1.15B
3.43%-1.16B
4.95%-1.06B
-6.33%-1.09B
-33.63%-1.18B
-51.90%-1.2B
-43.41%-1.11B
Shareholders' Equity
3.48%50.59B
2.05%52.71B
1.53%49.48B
3.25%51.34B
4.01%48.88B
5.08%51.65B
3.62%48.73B
0.21%49.73B
-0.39%47B
-1.18%49.15B
Non-controlling interest
18.28%537M
21.04%512M
20.20%482M
21.83%452M
66.91%454M
54.95%423M
43.21%401M
30.63%371M
-4.56%272M
-8.39%273M
Total equity
3.62%51.12B
2.20%53.22B
1.68%49.96B
3.39%51.8B
4.37%49.34B
5.36%52.07B
3.85%49.13B
0.38%50.1B
-0.42%47.27B
-1.23%49.43B
Total equity and total liabilities
41.75%485.46B
10.04%393.4B
-10.43%339.93B
-15.98%341.18B
-16.63%342.48B
-30.32%357.49B
-39.06%379.5B
1.69%406.05B
-6.44%410.8B
25.68%513.05B
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
Auditor
--
--
--
PricewaterhouseCoopers
--
--
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PricewaterhouseCoopers
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(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022(Q9)Sep 30, 2022(Q6)Jun 30, 2022
Assets
Current assets
Accounts receivable 72.42%52.39B23.49%26.41B37.72%30.17B31.39%33.31B31.27%30.38B-19.83%21.39B-37.08%21.91B-22.51%25.35B-33.66%23.15B-2.21%26.68B
Withholding and tax receivable 651.35%278M564.29%279M264.29%51M276.47%64M--37M--42M133.33%14M-10.53%17M--------
Cash and equivalents 63.96%227.76B3.64%153.99B-21.75%135.9B-32.36%125.11B-20.80%138.91B-29.08%148.58B-34.34%173.68B1.99%184.97B-0.60%175.4B35.49%209.5B
Financial assets at fair value-current assets 2.34%6.53B6.30%6.8B5.08%6.68B2.91%6.36B-94.57%6.38B-96.23%6.39B-97.24%6.36B-27.25%6.18B-5.67%117.55B30.62%169.51B
Derivative financial instruments-current assets 72.03%93.37B32.41%91.46B-17.74%56.69B-27.99%58.13B--54.27B--69.07B--68.92B-11.71%80.72B--------
Special items of current assets -11.41%77.68B-0.58%86.72B0.45%85.42B9.37%93.23B23.46%87.69B4.45%87.23B22.58%85.04B39.62%85.25B-10.32%71.02B15.10%83.52B
Total current assets 44.17%458B9.91%365.66B-11.52%314.9B-17.33%316.2B-17.94%317.67B-31.99%332.71B-40.56%355.91B1.98%382.48B-6.76%387.13B27.32%489.2B
Non-current assets
Fixed assets 0.75%1.47B-2.79%1.46B-4.94%1.5B-5.30%1.55B-7.84%1.46B-5.35%1.51B1.15%1.58B2.18%1.64B5.68%1.58B2.38%1.59B
Interests in Joint Venture 19.82%399M29.45%400M21.54%378M20.96%352M20.65%333M17.94%309M15.61%311M19.26%291M24.32%276M29.70%262M
Financial assets at fair value-non-current assets -14.69%697M-30.47%575M-23.58%606M-23.25%604M1.49%817M-12.02%827M-14.36%793M-16.81%787M-4.51%805M12.31%940M
Goodwill 1.55%19.46B1.72%19.41B1.52%19.37B1.64%19.28B0.78%19.16B0.46%19.08B0.38%19.08B-0.02%18.97B0.52%19.02B0.53%19B
Deferred tax assets -91.80%5M-58.33%15M-21.21%26M-60.38%21M-30.68%61M-47.83%36M-8.33%33M112.00%53M144.44%88M91.67%69M
Special items of non-current assets -0.58%1.54B8.31%1.66B628.63%1.71B632.17%1.68B569.26%1.55B544.73%1.53B-35.36%234M-57.95%230M-45.52%231M-43.97%237M
Total non-current assets 10.68%27.46B11.90%27.74B6.11%25.03B5.96%24.98B4.80%24.81B3.95%24.79B-1.67%23.59B-2.73%23.57B-0.95%23.67B-0.58%23.85B
Total assets 41.75%485.46B10.04%393.4B-10.43%339.93B-15.98%341.18B-16.63%342.48B-30.32%357.49B-39.06%379.5B1.69%406.05B-6.44%410.8B25.68%513.05B
Liabilities
Current liabilities
Accounts payable 142.81%73.47B31.94%26.24B15.33%21.07B46.16%27.85B65.49%30.26B0.04%19.89B-32.38%18.27B-32.75%19.05B-28.55%18.28B16.62%19.88B
Tax payable -11.95%1.18B-19.09%839M-23.91%525M-70.58%639M-28.17%1.34B-32.75%1.04B-41.08%690M88.38%2.17B-17.78%1.86B-11.43%1.54B
Advance payment 27.87%232.35B-0.24%187.45B-13.72%186.47B-22.70%176.17B-10.58%181.71B-24.67%187.9B-28.27%216.13B11.97%227.9B-8.19%203.21B30.36%249.45B
Bank loans and overdrafts -11.78%382M-11.57%382M-11.37%382M-11.16%382M27.35%433M27.06%432M26.76%431M26.47%430M0.00%340M0.00%340M
Derivative financial instrument-current liabilities 71.86%93.33B32.55%91.51B-17.68%56.71B-28.01%58.1B--54.31B--69.04B--68.89B-11.72%80.71B--------
Provision-current liabilities 5.63%75M2.53%81M6.02%88M-7.46%62M-28.28%71M-26.85%79M-18.63%83M-18.29%67M-13.91%99M-14.29%108M
Financial lease liabilities-current liabilities 4.45%258M-3.85%250M-4.59%270M-9.09%270M-18.48%247M-13.33%260M-6.91%283M-0.67%297M2.71%303M0.33%300M
Deferred income-current liabilities -2.16%498M-2.50%703M-0.97%915M-1.49%1.06B-0.20%509M-3.48%721M-2.43%924M-2.18%1.08B-1.54%510M3.03%747M
Special items of current liabilities 40.69%30.18B29.64%30.04B-4.40%20.74B3.48%21.98B-84.21%21.45B-87.68%23.17B-91.00%21.69B7.87%21.25B-1.36%135.82B31.47%188.05B
Total current liabilities 48.70%431.72B11.56%337.5B-12.29%287.16B-18.82%286.51B-19.45%290.32B-34.29%302.53B-42.77%327.38B2.02%352.95B-7.14%360.43B29.81%460.41B
Net current assets -3.89%26.28B-6.67%28.17B-2.76%27.74B0.55%29.69B2.43%27.35B4.83%30.18B7.02%28.53B1.46%29.53B-1.18%26.7B-2.63%28.79B
Total assets less current liabilities 3.04%53.74B1.70%55.9B1.26%52.77B2.95%54.67B3.54%52.16B4.43%54.97B2.90%52.12B-0.44%53.1B-1.07%50.37B-1.71%52.64B
Non-current liabilities
Long-term bank loan 6.25%68M6.35%67M6.45%66M6.56%65M-28.09%64M-28.41%63M-28.74%62M-29.07%61M3.49%89M3.53%88M
Financial lease liabilities-non-current liabilities -15.43%1.1B-14.75%1.16B-8.97%1.29B-7.87%1.33B-13.25%1.3B-14.38%1.36B-15.61%1.42B-17.73%1.45B-17.74%1.5B-16.30%1.59B
Deferred tax liability 0.19%1.03B-0.58%1.03B-2.24%1.05B-1.77%1.05B-4.19%1.03B-4.16%1.04B-4.89%1.07B-5.30%1.07B0.00%1.07B0.46%1.08B
Deferred income-non-current liabilities -6.05%295M-4.66%307M-7.88%304M-7.81%307M-7.92%314M-8.26%322M-5.71%330M-5.93%333M-6.06%341M-0.28%351M
Provision-non-current liabilities 11.71%124M5.56%114M0.93%108M25.56%113M16.84%111M12.50%108M10.31%107M-8.16%90M-3.06%95M-2.04%96M
Total non-current liabilities -7.13%2.62B-7.33%2.68B-5.76%2.81B-4.39%2.87B-9.03%2.82B-9.85%2.89B-10.55%2.99B-12.42%3B-10.04%3.1B-8.68%3.21B
Total liabilities 48.16%434.33B11.38%340.18B-12.23%289.98B-18.70%289.38B-19.36%293.14B-34.12%305.42B-42.59%330.37B1.88%355.95B-7.17%363.53B29.44%463.62B
Total assets less total liabilities 3.62%51.12B2.20%53.22B1.68%49.96B3.39%51.8B4.37%49.34B5.36%52.07B3.85%49.13B0.38%50.1B-0.42%47.27B-1.23%49.43B
Total equity and non-current liabilities 3.04%53.74B1.70%55.9B1.26%52.77B2.95%54.67B3.54%52.16B4.43%54.97B2.90%52.12B-0.44%53.1B-1.07%50.37B-1.71%52.64B
Equity
Share capital 0.09%31.95B0.09%31.95B0.09%31.95B0.09%31.95B0.07%31.92B0.07%31.92B0.07%31.92B0.07%31.92B0.02%31.9B0.02%31.9B
Exchange reserve -87.22%-249M-51.64%-185M-143.10%-141M-8.39%-168M-60.24%-133M-159.57%-122M-31.82%-58M-32.48%-155M45.03%-83M75.26%-47M
Other reserves 53.10%1.56B61.27%1.37B61.74%1.21B65.45%996M33.12%1.02B24.56%852M14.97%745M7.50%602M10.09%764M11.58%684M
Retained profit 5.91%18.26B3.29%20.72B2.53%17.65B6.34%19.72B10.35%17.24B13.12%20.06B10.69%17.22B2.06%18.55B0.52%15.62B-2.59%17.73B
Special items of shareholders' rights and interests 20.07%-924M-8.34%-1.14B-8.61%-1.19B2.62%-1.15B3.43%-1.16B4.95%-1.06B-6.33%-1.09B-33.63%-1.18B-51.90%-1.2B-43.41%-1.11B
Shareholders' Equity 3.48%50.59B2.05%52.71B1.53%49.48B3.25%51.34B4.01%48.88B5.08%51.65B3.62%48.73B0.21%49.73B-0.39%47B-1.18%49.15B
Non-controlling interest 18.28%537M21.04%512M20.20%482M21.83%452M66.91%454M54.95%423M43.21%401M30.63%371M-4.56%272M-8.39%273M
Total equity 3.62%51.12B2.20%53.22B1.68%49.96B3.39%51.8B4.37%49.34B5.36%52.07B3.85%49.13B0.38%50.1B-0.42%47.27B-1.23%49.43B
Total equity and total liabilities 41.75%485.46B10.04%393.4B-10.43%339.93B-15.98%341.18B-16.63%342.48B-30.32%357.49B-39.06%379.5B1.69%406.05B-6.44%410.8B25.68%513.05B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions ------Unqualified Opinion------Unqualified Opinion----
Auditor ------PricewaterhouseCoopers------PricewaterhouseCoopers----

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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