(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 | (FY)Dec 31, 2019 | |
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Cash flow from operating activities | ||||||||||
Earning before tax | -119.25%-27.61M | -90.00%40.63M | -39.69%143.38M | -32.49%406.51M | -21.00%237.74M | 25.38%602.17M | 69.07%300.92M | -14.29%480.3M | -42.40%177.98M | -9.94%560.38M |
Profit adjustment | ||||||||||
Interest expense - adjustment | 90.73%2.47M | 17.93%2.84M | -2.78%1.3M | -16.85%2.41M | -9.45%1.33M | -14.06%2.9M | -15.41%1.47M | -9.01%3.37M | -2.85%1.74M | --3.71M |
Dividend (income)- adjustment | -95.62%-268K | -9.02%-278K | -0.74%-137K | -7.59%-255K | 17.07%-136K | -24.08%-237K | -43.86%-164K | -38.41%-191K | -9.62%-114K | 83.13%-138K |
Impairment and provisions: | ---- | --486K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
-Other impairments and provisions | ---- | --486K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Revaluation surplus: | 470.88%24.37M | 130.33%30.45M | -401.93%-6.57M | 246.99%13.22M | 160.83%2.18M | -126.95%-9M | -130.49%-3.58M | 153.35%33.38M | 133.28%11.73M | -188.57%-62.56M |
-Fair value of investment properties (increase) | 470.88%24.37M | 130.33%30.45M | -401.93%-6.57M | 246.99%13.22M | 160.83%2.18M | -126.95%-9M | -130.49%-3.58M | 153.35%33.38M | 133.28%11.73M | -188.57%-62.56M |
Asset sale loss (gain): | -28.00%18K | 633.33%418K | -10.71%25K | 714.29%57K | 300.00%28K | 333.33%7K | 200.00%7K | -102.97%-3K | -112.96%-7K | 2,625.00%101K |
-Loss (gain) on sale of property, machinery and equipment | -28.00%18K | 633.33%418K | -10.71%25K | 714.29%57K | 300.00%28K | 333.33%7K | 200.00%7K | -102.97%-3K | -112.96%-7K | 2,625.00%101K |
Depreciation and amortization: | 1.70%52.69M | 1.22%103.58M | 0.43%51.81M | 0.38%102.33M | 2.45%51.58M | -3.28%101.94M | -5.11%50.35M | 3.73%105.4M | 4.89%53.06M | 214.09%101.61M |
-Depreciation | 6.42%24.31M | 4.27%46.74M | 4.49%22.84M | 7.38%44.82M | 7.09%21.86M | 1.05%41.74M | -0.12%20.41M | 18.02%41.31M | 15.23%20.44M | 8.19%35M |
Exchange Loss (gain) | 43.78%-24.93M | 67.60%-24.62M | -5.81%-44.35M | -380.13%-75.99M | -525.75%-41.91M | -49.51%27.13M | 150.31%9.84M | 480.36%53.73M | -1,555.25%-19.57M | 69.89%-14.13M |
Special items | -63.61%-90.03M | 136.39%36.96M | -24.06%-55.02M | -35.71%-101.59M | 22.82%-44.35M | 46.41%-74.85M | 40.17%-57.47M | -1,219.44%-139.68M | -589.25%-96.05M | 92.09%-10.59M |
Operating profit before the change of operating capital | -169.98%-63.29M | -45.06%190.47M | -56.20%90.43M | -46.67%346.69M | -31.50%206.46M | 21.21%650.06M | 134.02%301.38M | -7.28%536.3M | -58.59%128.78M | 28.17%578.38M |
Change of operating capital | ||||||||||
Derivative financial instruments (increase) decrease | 201.05%12.88M | -249.41%-12.36M | 203.16%4.28M | -112.52%-3.54M | -115.51%-4.15M | 330.27%28.27M | 121.49%26.73M | 20.95%-12.28M | 195.69%12.07M | -311.12%-15.53M |
Bank deposits (increase) decrese | 471.37%291.12M | -61.19%136.69M | 118.89%50.95M | -36.14%352.19M | -168.21%-269.73M | 148.54%551.5M | 164.36%395.43M | -230.48%-1.14B | -245.98%-614.37M | 363.37%870.81M |
Loans and payments (increase) decrese | -216.36%-384.31M | -56.57%594.58M | -69.07%330.27M | 17,887.05%1.37B | 151.49%1.07B | -99.71%7.61M | -71.56%424.62M | 111.84%2.59B | 112.49%1.49B | 401.89%1.22B |
Special items of changes in operating assets | ---- | 63.30%-27.97M | ---- | ---76.2M | ---22.18M | ---- | ---- | 61.84%-61.44M | 153.28%66.36M | 78.63%-161.02M |
Customer's deposits increase (decrese) | 219.23%2.21B | 47.37%-909.97M | -398.50%-1.85B | 14.30%-1.73B | 57.61%-371.82M | -832.75%-2.02B | -545.58%-877.06M | 120.14%275.32M | -3,150.92%-135.86M | -205.13%-1.37B |
Special items for changes in operating liabilities | 225.75%79.57M | -49.45%66.19M | ---63.28M | 138.88%130.95M | ---- | ---336.78M | ---193.26M | ---- | ---- | 2,022.94%130.91M |
Cash from business operations | 248.93%2.15B | -90.36%37.63M | -337.58%-1.44B | 134.95%390.34M | 679.17%606.48M | -150.95%-1.12B | -91.81%77.84M | 74.05%2.19B | -34.19%950.29M | 378.75%1.26B |
Special items of business | 727.26%200.66M | 105.50%42.07M | 118.35%24.26M | -300.78%-765.38M | -91.42%-132.19M | 150.18%381.2M | 87.59%-69.06M | -913.57%-759.65M | -28.88%-556.34M | 71.09%-74.95M |
Net cash from operations | 265.65%2.35B | 121.25%79.69M | -398.68%-1.42B | 49.01%-375.05M | 5,301.96%474.29M | -151.35%-735.56M | -97.77%8.78M | 20.93%1.43B | -61.08%393.95M | 30,874.76%1.18B |
Cash flow from investment activities | ||||||||||
Dividend received - investment | 95.62%268K | 9.02%278K | 0.74%137K | 7.59%255K | -17.07%136K | 24.08%237K | 43.86%164K | 38.41%191K | 9.62%114K | -83.13%138K |
Sale of fixed assets | ---- | ---- | ---- | ---- | ---- | -96.53%5K | -96.38%5K | 65.52%144K | 102.94%138K | 383.33%87K |
Purchase of fixed assets | -127.55%-26.84M | -47.30%-56.26M | 23.99%-11.8M | -29.55%-38.19M | -23.24%-15.52M | 47.87%-29.48M | 61.04%-12.59M | -14.73%-56.55M | -4.46%-32.32M | -41.73%-49.29M |
Purchase of intangible assets | ---- | ---- | ---- | ---70.82M | ---70.82M | ---- | ---- | ---- | ---- | ---- |
Cash on investment | ---- | ---- | ---- | ---75.6M | ---- | ---- | ---- | ---- | ---- | ---- |
Net cash from investment operations | -127.92%-26.57M | 69.64%-55.98M | 86.48%-11.66M | -530.53%-184.36M | -593.91%-86.2M | 47.99%-29.24M | 61.26%-12.42M | -14.57%-56.21M | -4.22%-32.07M | 39.46%-49.06M |
Net cash before financing | 262.43%2.32B | 104.24%23.71M | -468.03%-1.43B | 26.86%-559.41M | 10,752.98%388.09M | -155.58%-764.8M | -101.01%-3.64M | 21.20%1.38B | -63.13%361.88M | 1,570.43%1.14B |
Cash flow from financing activities | ||||||||||
New borrowing | --75M | -95.05%61.67M | ---- | 904.03%1.25B | 3,095.25%1.14B | 83.65%124M | 184.95%35.68M | -50.50%67.52M | -87.65%12.52M | 445.66%136.41M |
Refund | -332.45%-169.03M | 99.84%-2M | 96.65%-39.09M | -965.95%-1.27B | -1,499.81%-1.17B | -239.19%-119.38M | ---73M | 8.19%-35.2M | ---- | 76.37%-38.34M |
Dividends paid - financing | ---- | 30.00%-153.71M | 26.67%-120.77M | -17.65%-219.58M | -25.00%-164.69M | 5.56%-186.65M | 20.00%-131.75M | 18.18%-197.63M | 11.76%-164.69M | -4.76%-241.54M |
Net cash from financing operations | 35.20%-122.23M | 50.67%-150.36M | 14.94%-188.64M | -25.24%-304.81M | -10.91%-221.77M | -5.68%-243.38M | -8.00%-199.96M | -8.96%-230.3M | -55.59%-185.16M | 42.53%-211.37M |
Net Cash | 235.92%2.2B | 85.35%-126.65M | -1,072.19%-1.62B | 14.28%-864.22M | 181.69%166.32M | -187.99%-1.01B | -215.21%-203.61M | 24.00%1.15B | -79.51%176.72M | 307.64%924.04M |
Begining period cash | -2.94%4.18B | -16.73%4.3B | -16.73%4.3B | -16.33%5.17B | -16.33%5.17B | 22.79%6.17B | 22.79%6.17B | 22.51%5.03B | 22.51%5.03B | -9.78%4.1B |
Cash at the end | 137.36%6.37B | -2.94%4.18B | -49.65%2.68B | -16.73%4.3B | -10.69%5.33B | -16.33%5.17B | 14.71%5.97B | 22.79%6.17B | 4.80%5.21B | 22.51%5.03B |
Cash balance analysis | ||||||||||
Charge interest - cash balance | 13.76%1.05B | 29.63%1.9B | 31.92%918.73M | 1.14%1.46B | -4.96%696.43M | -14.07%1.45B | -18.78%732.79M | -14.38%1.68B | -7.80%902.2M | 4.39%1.97B |
Interest payment - cash balance | -42.89%-568.52M | -245.57%-847.14M | -389.63%-397.86M | -27.59%-245.14M | 29.17%-81.26M | 64.02%-192.13M | 67.16%-114.72M | 13.98%-533.92M | -39.08%-349.32M | -51.63%-620.72M |
Cash and cash equivalent balance | -8.50%476.6M | -13.85%1.05B | -15.33%520.87M | -2.92%1.22B | -0.47%615.18M | 9.13%1.25B | 11.79%618.06M | -14.56%1.15B | -23.98%552.88M | -8.74%1.34B |
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 | -- | Ernst & Young | -- | Ernst & Young | -- | Ernst & Young | -- | Ernst & Young | -- | Ernst & Young |
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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