HK Stock MarketDetailed Quotes

00388 HKEX

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  • 350.000
  • -15.000-4.11%
Market Closed Feb 28 16:08 CST
443.74BMarket Cap34.00P/E (TTM)

HKEX Key Stats

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YOY yoy
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(FY)Dec 31, 2024
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax
11.41%14.85B
-2.21%6.95B
14.35%13.33B
25.91%7.11B
-21.44%11.66B
-28.59%5.65B
11.32%14.84B
29.52%7.91B
21.74%13.33B
0.89%6.1B
Profit adjustment
Interest (income) - adjustment
1.88%-4.74B
2.32%-2.4B
-156.81%-4.83B
-320.38%-2.46B
-145.43%-1.88B
-33.64%-584M
56.80%-766M
56.90%-437M
8.84%-1.77B
-3.68%-1.01B
Attributable subsidiary (profit) loss
-7.32%-88M
-23.08%-48M
-15.49%-82M
7.14%-39M
11.25%-71M
-10.53%-42M
-15.94%-80M
2.56%-38M
-115.63%-69M
-550.00%-39M
Impairment and provisions:
----
----
----
----
----
----
-41.67%7M
----
33.33%12M
----
-Impairment of trade receivables (reversal)
----
----
----
----
----
----
-41.67%7M
----
33.33%12M
----
Revaluation surplus:
-120.00%-264M
40.30%-120M
-123.67%-120M
-138.43%-201M
204.54%507M
260.92%523M
0.41%-485M
-335.51%-325M
38.28%-487M
125.79%138M
-Other fair value changes
-120.00%-264M
40.30%-120M
-123.67%-120M
-138.43%-201M
204.54%507M
260.92%523M
0.41%-485M
-335.51%-325M
38.28%-487M
125.79%138M
Depreciation and amortization:
-2.84%1.4B
-2.92%698M
-1.10%1.44B
0.28%719M
7.75%1.46B
8.31%717M
13.12%1.35B
21.47%662M
14.66%1.2B
10.10%545M
-Depreciation
-2.84%1.4B
-2.92%698M
-1.10%1.44B
0.28%719M
7.75%1.46B
8.31%717M
13.12%1.35B
21.47%662M
14.66%1.2B
10.10%545M
Financial expense
-15.56%114M
-15.71%59M
-2.17%135M
-4.11%70M
-10.39%138M
-98.35%73M
-14.92%154M
-74.13%4.43B
2.26%181M
63.26%17.12B
Special items
-1.52%388M
-3,925.00%-153M
20.49%394M
-98.92%4M
16.37%327M
109.25%369M
-4.10%281M
76.51%-3.99B
19.11%293M
-65.82%-16.98B
Operating profit before the change of operating capital
13.57%11.67B
-4.17%4.99B
-15.36%10.27B
-22.31%5.21B
-20.69%12.14B
-18.35%6.7B
20.65%15.31B
39.85%8.21B
31.31%12.69B
11.24%5.87B
Change of operating capital
Accounts receivable (increase)decrease
-29.84%-10.69B
----
-269.05%-8.23B
----
-68.36%4.87B
----
203.27%15.39B
----
-171.97%-14.9B
----
prepayments (increase)decrease
624.68%558M
----
-98.31%77M
----
493.28%4.56B
----
75.59%-1.16B
----
-405.79%-4.75B
----
Financial assets at fair value (increase)decrease
-104.37%-9M
-183.33%-155M
-89.12%206M
106.67%186M
221.64%1.89B
106.21%90M
-155.35%-1.56B
-166.24%-1.45B
360.22%2.81B
221.88%2.19B
Special items for working capital changes
8.55%8.83B
----
184.69%8.14B
----
32.42%-9.61B
----
-172.81%-14.22B
----
389.37%19.53B
----
Cash  from business operations
13.18%12.78B
8.47%5.85B
-13.54%11.29B
-20.40%5.4B
-14.73%13.06B
-15.59%6.78B
28.13%15.32B
58.23%8.03B
7.30%11.96B
-13.69%5.08B
Other taxs
56.46%-1.28B
58.48%-805M
-413.41%-2.95B
-331.85%-1.94B
73.30%-574M
24.41%-449M
7.33%-2.15B
66.55%-594M
-438.28%-2.32B
-451.55%-1.78B
Interest received - operating
-4.75%9.52B
-8.84%4.76B
153.50%10B
610.88%5.23B
408.90%3.94B
67.81%735M
-62.49%775M
-66.59%438M
-33.27%2.07B
-15.36%1.31B
Interest paid - operating
3.08%-5.83B
2.68%-3.02B
-164.77%-6.01B
-1,375.24%-3.1B
-4,731.91%-2.27B
-854.55%-210M
86.53%-47M
93.31%-22M
72.04%-349M
47.19%-329M
Special items of business
-190.99%-2.42B
-54,800.00%-1.1B
-204.65%-832M
-114.29%-2M
151.06%795M
101.10%14M
-145.58%-1.56B
-142.64%-1.27B
236.75%3.42B
224.29%2.98B
Net cash from operations
11.08%12.77B
2.08%5.7B
-23.11%11.5B
-18.74%5.58B
21.20%14.96B
4.38%6.87B
-16.45%12.34B
-9.42%6.58B
46.78%14.77B
77.86%7.26B
Cash flow from investment activities
Interest received - investment
14.71%967M
100.00%656M
307.25%843M
455.93%328M
444.74%207M
180.95%59M
-32.14%38M
-34.38%21M
-42.27%56M
-38.46%32M
Dividend received - investment
19.05%25M
----
-12.50%21M
-12.50%21M
--24M
--24M
----
----
----
----
Decrease in deposits (increase)
329.40%11.03B
523.20%8.12B
-966.52%-4.81B
-74.84%-1.92B
-113.77%-451M
-186.51%-1.1B
156.00%3.28B
140.08%1.27B
-145.39%-5.85B
-7.88%-3.16B
Purchase of fixed assets
-15.73%-1.6B
-24.44%-784M
-7.94%-1.39B
-2.27%-630M
-20.00%-1.28B
14.44%-616M
20.80%-1.07B
-13.03%-720M
-23.83%-1.35B
-25.39%-637M
Recovery of cash from investments
----
----
----
----
----
----
----
--79M
----
----
Cash on investment
-654.49%-7.23B
-108.84%-4.42B
-87.11%-958M
-160.15%-2.12B
-19.35%-512M
-46.75%-813M
-11.72%-429M
-81.64%-554M
39.43%-384M
-134.62%-305M
Other items in the investment business
----
----
----
266.89%1.11B
-31.45%316M
--302M
880.85%461M
----
-90.33%47M
-220.00%-160M
Net cash from investment operations
150.78%3.19B
211.42%3.57B
-270.00%-6.29B
-49.74%-3.21B
-174.69%-1.7B
-2,377.66%-2.14B
130.42%2.28B
102.22%94M
-114.69%-7.48B
-20.01%-4.23B
Net cash before financing
206.49%15.97B
290.27%9.27B
-60.70%5.21B
-49.76%2.38B
-9.30%13.26B
-29.17%4.73B
100.58%14.62B
120.26%6.67B
10.80%7.29B
444.96%3.03B
Cash flow from financing activities
Interest paid - financing
6.78%-55M
6.67%-28M
13.24%-59M
16.67%-30M
13.92%-68M
12.20%-36M
11.24%-79M
10.87%-41M
11.00%-89M
16.36%-46M
Dividends paid - financing
-0.97%-10.42B
-5.89%-4.92B
-6.74%-10.32B
12.50%-4.65B
16.15%-9.67B
5.46%-5.31B
-65.07%-11.53B
-142.87%-5.62B
-20.71%-6.98B
-23.61%-2.31B
Absorb investment income
----
----
----
----
--85M
----
----
----
----
----
Other items of the financing business
5.81%-535M
-33.33%-60M
-36.54%-568M
41.56%-45M
44.75%-416M
78.90%-77M
-538.14%-753M
-630.00%-365M
67.76%-118M
-21.95%-50M
Net cash from financing operations
-0.10%-11.26B
-5.37%-5.14B
-8.45%-11.25B
12.53%-4.88B
18.12%-10.37B
9.78%-5.58B
-69.51%-12.67B
-142.47%-6.18B
-4.47%-7.47B
9.80%-2.55B
Effect of rate
-50.00%-9M
33.33%-6M
73.91%-6M
25.00%-9M
-355.56%-23M
-340.00%-12M
-65.38%9M
--5M
--26M
----
Net Cash
177.93%4.71B
264.86%4.13B
-309.50%-6.04B
-194.24%-2.5B
48.07%2.88B
-273.32%-851M
1,141.18%1.95B
2.29%491M
67.59%-187M
121.14%480M
Begining period cash
-39.63%9.21B
-39.63%9.21B
23.07%15.26B
23.07%15.26B
18.73%12.4B
18.73%12.4B
-1.52%10.44B
-1.52%10.44B
-5.16%10.6B
-5.16%10.6B
Cash at the end
51.00%13.91B
4.62%13.33B
-39.63%9.21B
10.49%12.75B
23.07%15.26B
5.46%11.54B
18.73%12.4B
-1.31%10.94B
-1.52%10.44B
24.40%11.08B
Cash balance analysis
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
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
(FY)Dec 31, 2024(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax 11.41%14.85B-2.21%6.95B14.35%13.33B25.91%7.11B-21.44%11.66B-28.59%5.65B11.32%14.84B29.52%7.91B21.74%13.33B0.89%6.1B
Profit adjustment
Interest (income) - adjustment 1.88%-4.74B2.32%-2.4B-156.81%-4.83B-320.38%-2.46B-145.43%-1.88B-33.64%-584M56.80%-766M56.90%-437M8.84%-1.77B-3.68%-1.01B
Attributable subsidiary (profit) loss -7.32%-88M-23.08%-48M-15.49%-82M7.14%-39M11.25%-71M-10.53%-42M-15.94%-80M2.56%-38M-115.63%-69M-550.00%-39M
Impairment and provisions: -------------------------41.67%7M----33.33%12M----
-Impairment of trade receivables (reversal) -------------------------41.67%7M----33.33%12M----
Revaluation surplus: -120.00%-264M40.30%-120M-123.67%-120M-138.43%-201M204.54%507M260.92%523M0.41%-485M-335.51%-325M38.28%-487M125.79%138M
-Other fair value changes -120.00%-264M40.30%-120M-123.67%-120M-138.43%-201M204.54%507M260.92%523M0.41%-485M-335.51%-325M38.28%-487M125.79%138M
Depreciation and amortization: -2.84%1.4B-2.92%698M-1.10%1.44B0.28%719M7.75%1.46B8.31%717M13.12%1.35B21.47%662M14.66%1.2B10.10%545M
-Depreciation -2.84%1.4B-2.92%698M-1.10%1.44B0.28%719M7.75%1.46B8.31%717M13.12%1.35B21.47%662M14.66%1.2B10.10%545M
Financial expense -15.56%114M-15.71%59M-2.17%135M-4.11%70M-10.39%138M-98.35%73M-14.92%154M-74.13%4.43B2.26%181M63.26%17.12B
Special items -1.52%388M-3,925.00%-153M20.49%394M-98.92%4M16.37%327M109.25%369M-4.10%281M76.51%-3.99B19.11%293M-65.82%-16.98B
Operating profit before the change of operating capital 13.57%11.67B-4.17%4.99B-15.36%10.27B-22.31%5.21B-20.69%12.14B-18.35%6.7B20.65%15.31B39.85%8.21B31.31%12.69B11.24%5.87B
Change of operating capital
Accounts receivable (increase)decrease -29.84%-10.69B-----269.05%-8.23B-----68.36%4.87B----203.27%15.39B-----171.97%-14.9B----
prepayments (increase)decrease 624.68%558M-----98.31%77M----493.28%4.56B----75.59%-1.16B-----405.79%-4.75B----
Financial assets at fair value (increase)decrease -104.37%-9M-183.33%-155M-89.12%206M106.67%186M221.64%1.89B106.21%90M-155.35%-1.56B-166.24%-1.45B360.22%2.81B221.88%2.19B
Special items for working capital changes 8.55%8.83B----184.69%8.14B----32.42%-9.61B-----172.81%-14.22B----389.37%19.53B----
Cash  from business operations 13.18%12.78B8.47%5.85B-13.54%11.29B-20.40%5.4B-14.73%13.06B-15.59%6.78B28.13%15.32B58.23%8.03B7.30%11.96B-13.69%5.08B
Other taxs 56.46%-1.28B58.48%-805M-413.41%-2.95B-331.85%-1.94B73.30%-574M24.41%-449M7.33%-2.15B66.55%-594M-438.28%-2.32B-451.55%-1.78B
Interest received - operating -4.75%9.52B-8.84%4.76B153.50%10B610.88%5.23B408.90%3.94B67.81%735M-62.49%775M-66.59%438M-33.27%2.07B-15.36%1.31B
Interest paid - operating 3.08%-5.83B2.68%-3.02B-164.77%-6.01B-1,375.24%-3.1B-4,731.91%-2.27B-854.55%-210M86.53%-47M93.31%-22M72.04%-349M47.19%-329M
Special items of business -190.99%-2.42B-54,800.00%-1.1B-204.65%-832M-114.29%-2M151.06%795M101.10%14M-145.58%-1.56B-142.64%-1.27B236.75%3.42B224.29%2.98B
Net cash from operations 11.08%12.77B2.08%5.7B-23.11%11.5B-18.74%5.58B21.20%14.96B4.38%6.87B-16.45%12.34B-9.42%6.58B46.78%14.77B77.86%7.26B
Cash flow from investment activities
Interest received - investment 14.71%967M100.00%656M307.25%843M455.93%328M444.74%207M180.95%59M-32.14%38M-34.38%21M-42.27%56M-38.46%32M
Dividend received - investment 19.05%25M-----12.50%21M-12.50%21M--24M--24M----------------
Decrease in deposits (increase) 329.40%11.03B523.20%8.12B-966.52%-4.81B-74.84%-1.92B-113.77%-451M-186.51%-1.1B156.00%3.28B140.08%1.27B-145.39%-5.85B-7.88%-3.16B
Purchase of fixed assets -15.73%-1.6B-24.44%-784M-7.94%-1.39B-2.27%-630M-20.00%-1.28B14.44%-616M20.80%-1.07B-13.03%-720M-23.83%-1.35B-25.39%-637M
Recovery of cash from investments ------------------------------79M--------
Cash on investment -654.49%-7.23B-108.84%-4.42B-87.11%-958M-160.15%-2.12B-19.35%-512M-46.75%-813M-11.72%-429M-81.64%-554M39.43%-384M-134.62%-305M
Other items in the investment business ------------266.89%1.11B-31.45%316M--302M880.85%461M-----90.33%47M-220.00%-160M
Net cash from investment operations 150.78%3.19B211.42%3.57B-270.00%-6.29B-49.74%-3.21B-174.69%-1.7B-2,377.66%-2.14B130.42%2.28B102.22%94M-114.69%-7.48B-20.01%-4.23B
Net cash before financing 206.49%15.97B290.27%9.27B-60.70%5.21B-49.76%2.38B-9.30%13.26B-29.17%4.73B100.58%14.62B120.26%6.67B10.80%7.29B444.96%3.03B
Cash flow from financing activities
Interest paid - financing 6.78%-55M6.67%-28M13.24%-59M16.67%-30M13.92%-68M12.20%-36M11.24%-79M10.87%-41M11.00%-89M16.36%-46M
Dividends paid - financing -0.97%-10.42B-5.89%-4.92B-6.74%-10.32B12.50%-4.65B16.15%-9.67B5.46%-5.31B-65.07%-11.53B-142.87%-5.62B-20.71%-6.98B-23.61%-2.31B
Absorb investment income ------------------85M--------------------
Other items of the financing business 5.81%-535M-33.33%-60M-36.54%-568M41.56%-45M44.75%-416M78.90%-77M-538.14%-753M-630.00%-365M67.76%-118M-21.95%-50M
Net cash from financing operations -0.10%-11.26B-5.37%-5.14B-8.45%-11.25B12.53%-4.88B18.12%-10.37B9.78%-5.58B-69.51%-12.67B-142.47%-6.18B-4.47%-7.47B9.80%-2.55B
Effect of rate -50.00%-9M33.33%-6M73.91%-6M25.00%-9M-355.56%-23M-340.00%-12M-65.38%9M--5M--26M----
Net Cash 177.93%4.71B264.86%4.13B-309.50%-6.04B-194.24%-2.5B48.07%2.88B-273.32%-851M1,141.18%1.95B2.29%491M67.59%-187M121.14%480M
Begining period cash -39.63%9.21B-39.63%9.21B23.07%15.26B23.07%15.26B18.73%12.4B18.73%12.4B-1.52%10.44B-1.52%10.44B-5.16%10.6B-5.16%10.6B
Cash at the end 51.00%13.91B4.62%13.33B-39.63%9.21B10.49%12.75B23.07%15.26B5.46%11.54B18.73%12.4B-1.31%10.94B-1.52%10.44B24.40%11.08B
Cash balance analysis
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--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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