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00755 DEVGREAT

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  • 0.023
  • +0.003+15.00%
Not Open Nov 7 16:08 CST
342.23MMarket Cap-1210P/E (TTM)

DEVGREAT Key Stats

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YOY yoy
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(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
Assets
Current assets
Inventory
-88.34%154K
-7.46%1.33M
-12.92%1.32M
-39.32%1.44M
-33.41%1.52M
2.43%2.37M
-2.27%2.28M
-16.01%2.31M
-48.30%2.33M
-14.57%2.75M
Developing and for sale properties
-41.04%108.98M
-8.83%178.39M
-26.20%184.83M
-96.42%195.67M
-95.68%250.43M
-7.32%5.47B
-48.89%5.79B
-46.31%5.9B
5.80%11.33B
-0.17%10.98B
Accounts receivable
-74.03%72.68M
-10.47%317.57M
31.49%279.82M
24.95%354.7M
-53.67%212.81M
-14.54%283.87M
34.27%459.32M
-3.48%332.16M
-53.05%342.09M
-48.22%344.14M
Related party payments receivable
-69.57%414.48M
-67.95%410.68M
--1.36B
--1.28B
----
----
----
----
----
-1.79%10.39M
Advance deposits and other receivables
-21.35%10.52M
-9.33%14.31M
321.74%13.37M
218.80%15.79M
-89.11%3.17M
-4.59%4.95M
594.56%29.12M
182.68%5.19M
-42.90%4.19M
-87.97%1.84M
Withholding and tax receivable
-76.40%4.68M
-54.52%6.55M
61.34%19.83M
-93.90%14.4M
-95.80%12.29M
-8.42%235.81M
-11.45%292.83M
-6.03%257.49M
38.95%330.69M
27.34%274M
Cash and equivalents
-46.60%46.36M
-19.21%122.67M
-50.17%86.81M
-51.85%151.83M
-18.86%174.2M
36.63%315.35M
-51.54%214.7M
-54.76%230.8M
-18.75%443.02M
-39.49%510.15M
Secured deposit
----
-93.38%7.94M
----
-45.81%119.84M
-43.92%123.96M
-3.30%221.15M
-34.97%221.05M
-74.45%228.7M
-57.33%339.94M
1.72%895.09M
Financial assets at fair value-current assets
----
----
-7.12%8.01M
-61.35%8.34M
-59.33%8.62M
-8.64%21.57M
-2.57%21.2M
-1.81%23.61M
-22.45%21.76M
79.93%24.05M
Special items of current assets
--3.13B
----
----
----
----
----
----
----
----
----
Total current assets
93.73%3.79B
-50.57%1.06B
148.52%1.96B
-67.28%2.14B
-88.82%786.98M
-6.21%6.55B
-45.14%7.04B
-46.53%6.98B
-1.91%12.83B
-4.36%13.06B
Non-current assets
Property, plant and equipment
-99.05%5.53M
-12.11%565.59M
-13.71%580.31M
-14.67%643.52M
-35.71%672.48M
-27.77%754.11M
6.27%1.05B
3.92%1.04B
69.42%984.22M
68.65%1B
Investment property
-82.12%505.45M
-12.89%3.2B
-10.89%2.83B
-40.76%3.67B
-42.67%3.17B
-1.51%6.19B
76.01%5.53B
93.45%6.29B
-4.36%3.14B
2.21%3.25B
Construction in progress
----
----
-11.26%689.68M
----
-3.35%777.17M
----
--804.11M
----
----
----
Secured deposits-non-current assets
----
363.57%2.7M
--1.05M
-95.24%582K
----
-95.08%12.23M
-75.39%97.14M
-54.79%248.62M
-14.89%394.75M
115.93%549.96M
Deferred tax assets
--45.57M
----
----
----
----
----
684.13%18.29M
447.52%18.08M
-45.70%2.33M
-36.91%3.3M
Special items of non-current assets
----
----
----
----
----
----
-54.17%109.53M
-55.76%108.3M
-6.72%238.99M
-0.85%244.8M
Total non-current assets
-86.65%556.54M
-12.58%3.83B
-10.29%4.17B
-37.24%4.38B
-39.11%4.65B
-9.63%6.98B
59.07%7.63B
51.80%7.73B
-5.91%4.8B
5.82%5.09B
Other items of assets
----
----
----
----
--7.68B
--3.55M
----
----
----
----
Total assets
-29.03%4.35B
-25.06%4.89B
-53.31%6.12B
-51.79%6.53B
-10.59%13.11B
-7.98%13.54B
-16.78%14.67B
-18.96%14.71B
-3.03%17.63B
-1.70%18.15B
Liabilities
Current liabilities
Accounts payable
-66.74%378.23M
2.71%1.17B
25.71%1.14B
-75.52%1.14B
-74.36%904.72M
50.84%4.67B
10.16%3.53B
15.98%3.1B
-8.07%3.2B
-27.48%2.67B
Tax payable
----
-56.30%47.5M
1.06%104.02M
-85.09%108.71M
-85.56%102.92M
-0.88%729.29M
175.73%712.98M
151.49%735.74M
-18.02%258.58M
-28.58%292.55M
Amounts payable to associated parties-current liabilities
-98.95%16.52M
-91.55%126.41M
1,244.00%1.58B
1,119.05%1.5B
-3.63%117.37M
1.95%122.77M
-88.30%121.8M
6.70%120.42M
-19.42%1.04B
-80.23%112.86M
Bank loans and overdrafts
-79.25%217.69M
-36.59%1.17B
-45.67%1.05B
-70.73%1.85B
-59.82%1.93B
47.52%6.33B
23.13%4.81B
-12.62%4.29B
123.28%3.9B
56.33%4.91B
Provision-current liabilities
----
114.53%309.87M
--138M
--144.44M
----
----
----
----
----
----
Financial lease liabilities-current liabilities
-48.63%24.41M
-18.39%33.24M
37.33%47.52M
29.33%40.73M
-12.21%34.6M
-0.89%31.49M
1.27%39.41M
-11.90%31.77M
-33.49%38.92M
--36.07M
Special items of current liabilities
--3.16B
----
----
----
----
----
----
----
----
----
Total current liabilities
-6.75%3.79B
-40.12%2.87B
30.99%4.07B
-65.87%4.79B
-72.27%3.11B
35.93%14.02B
-18.19%11.2B
-18.69%10.32B
31.15%13.69B
14.48%12.69B
Net current assets
99.78%-4.75M
31.65%-1.81B
8.90%-2.11B
64.63%-2.64B
44.30%-2.32B
-124.28%-7.47B
-382.19%-4.16B
-985.46%-3.33B
-132.72%-863.43M
-85.39%376.2M
Total assets less current liabilities
-73.15%551.79M
16.38%2.03B
-79.47%2.05B
459.80%1.74B
188.70%10.01B
-111.00%-483.68M
-11.86%3.47B
-19.58%4.4B
-49.16%3.93B
-25.98%5.47B
Non-current liabilities
Long-term bank loan
----
108.16%594.54M
133.08%730.2M
-55.98%285.62M
-85.19%313.29M
-76.38%648.79M
3.80%2.11B
-8.61%2.75B
-56.30%2.04B
-21.51%3.01B
Financial lease liabilities-non-current liabilities
-33.30%18.18M
-45.16%23.34M
-51.36%27.25M
-36.53%42.56M
-8.22%56.04M
-11.84%67.05M
24.72%61.05M
-0.25%76.05M
-30.80%48.95M
--76.24M
Deferred tax liability
----
-28.71%158.84M
-35.03%212.89M
-62.41%222.82M
-51.22%327.65M
-10.79%592.82M
-0.88%671.62M
-6.26%664.51M
-8.19%677.6M
-5.45%708.87M
Special items of non-current liabilities
----
----
----
----
----
----
22,139.50%610.92M
10,228.20%604.72M
-71.68%2.75M
-69.70%5.86M
Total non-current liabilities
-98.13%18.18M
40.97%776.72M
39.22%970.34M
-57.90%550.99M
-79.85%696.97M
-68.02%1.31B
25.00%3.46B
7.78%4.09B
-49.51%2.77B
-17.43%3.8B
Other items of liabilities
----
----
----
----
--11.47B
----
----
----
----
----
Total liabilities
-24.35%3.81B
-31.75%3.64B
-67.02%5.04B
-65.19%5.34B
4.21%15.28B
6.41%15.33B
-10.93%14.66B
-12.59%14.41B
3.39%16.46B
5.12%16.48B
Total assets less total liabilities
-50.80%533.61M
4.99%1.25B
150.13%1.08B
166.35%1.19B
-26,328.55%-2.16B
-688.06%-1.79B
-99.29%8.25M
-81.76%304.79M
-48.31%1.17B
-40.09%1.67B
Total equity and non-current liabilities
-73.15%551.79M
16.38%2.03B
240.11%2.05B
459.80%1.74B
-142.31%-1.47B
-111.00%-483.68M
-11.86%3.47B
-19.58%4.4B
-49.16%3.93B
-25.98%5.47B
Equity
Share capital
0.00%297.59M
0.00%297.59M
0.00%297.59M
0.00%297.59M
0.00%297.59M
0.00%297.59M
0.00%297.59M
0.00%297.59M
0.00%297.59M
0.00%297.59M
Reserve
-5.83%2.29B
2.03%2.39B
0.26%2.43B
0.95%2.34B
1.35%2.42B
-0.84%2.32B
-11.14%2.39B
-14.23%2.34B
-2.69%2.69B
-1.68%2.72B
Retained profit
-15.02%-2.11B
5.42%-1.56B
63.99%-1.84B
64.38%-1.65B
-75.68%-5.1B
-80.82%-4.63B
-54.56%-2.9B
-81.56%-2.56B
-128.20%-1.88B
-299.84%-1.41B
Shareholders' Equity
-46.89%472.96M
13.91%1.12B
137.41%890.46M
148.81%985.31M
-1,008.96%-2.38B
-2,932.77%-2.02B
-119.33%-214.61M
-95.57%71.26M
-50.44%1.11B
-40.70%1.61B
Non-controlling interest
-68.75%60.65M
-38.10%126.26M
-10.30%194.09M
-9.89%203.96M
-2.91%216.38M
-3.07%226.35M
296.03%222.86M
281.93%233.53M
239.88%56.27M
-17.80%61.14M
Total equity
-50.80%533.61M
4.99%1.25B
150.13%1.08B
166.35%1.19B
-26,328.55%-2.16B
-688.06%-1.79B
-99.29%8.25M
-81.76%304.79M
-48.31%1.17B
-40.09%1.67B
Total equity and total liabilities
-29.03%4.35B
-25.06%4.89B
-53.31%6.12B
-51.79%6.53B
-10.59%13.11B
-7.98%13.54B
-16.78%14.67B
-18.96%14.71B
-3.03%17.63B
-1.70%18.15B
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
Auditor
--
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PricewaterhouseCoopers
(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
Assets
Current assets
Inventory -88.34%154K-7.46%1.33M-12.92%1.32M-39.32%1.44M-33.41%1.52M2.43%2.37M-2.27%2.28M-16.01%2.31M-48.30%2.33M-14.57%2.75M
Developing and for sale properties -41.04%108.98M-8.83%178.39M-26.20%184.83M-96.42%195.67M-95.68%250.43M-7.32%5.47B-48.89%5.79B-46.31%5.9B5.80%11.33B-0.17%10.98B
Accounts receivable -74.03%72.68M-10.47%317.57M31.49%279.82M24.95%354.7M-53.67%212.81M-14.54%283.87M34.27%459.32M-3.48%332.16M-53.05%342.09M-48.22%344.14M
Related party payments receivable -69.57%414.48M-67.95%410.68M--1.36B--1.28B---------------------1.79%10.39M
Advance deposits and other receivables -21.35%10.52M-9.33%14.31M321.74%13.37M218.80%15.79M-89.11%3.17M-4.59%4.95M594.56%29.12M182.68%5.19M-42.90%4.19M-87.97%1.84M
Withholding and tax receivable -76.40%4.68M-54.52%6.55M61.34%19.83M-93.90%14.4M-95.80%12.29M-8.42%235.81M-11.45%292.83M-6.03%257.49M38.95%330.69M27.34%274M
Cash and equivalents -46.60%46.36M-19.21%122.67M-50.17%86.81M-51.85%151.83M-18.86%174.2M36.63%315.35M-51.54%214.7M-54.76%230.8M-18.75%443.02M-39.49%510.15M
Secured deposit -----93.38%7.94M-----45.81%119.84M-43.92%123.96M-3.30%221.15M-34.97%221.05M-74.45%228.7M-57.33%339.94M1.72%895.09M
Financial assets at fair value-current assets ---------7.12%8.01M-61.35%8.34M-59.33%8.62M-8.64%21.57M-2.57%21.2M-1.81%23.61M-22.45%21.76M79.93%24.05M
Special items of current assets --3.13B------------------------------------
Total current assets 93.73%3.79B-50.57%1.06B148.52%1.96B-67.28%2.14B-88.82%786.98M-6.21%6.55B-45.14%7.04B-46.53%6.98B-1.91%12.83B-4.36%13.06B
Non-current assets
Property, plant and equipment -99.05%5.53M-12.11%565.59M-13.71%580.31M-14.67%643.52M-35.71%672.48M-27.77%754.11M6.27%1.05B3.92%1.04B69.42%984.22M68.65%1B
Investment property -82.12%505.45M-12.89%3.2B-10.89%2.83B-40.76%3.67B-42.67%3.17B-1.51%6.19B76.01%5.53B93.45%6.29B-4.36%3.14B2.21%3.25B
Construction in progress ---------11.26%689.68M-----3.35%777.17M------804.11M------------
Secured deposits-non-current assets ----363.57%2.7M--1.05M-95.24%582K-----95.08%12.23M-75.39%97.14M-54.79%248.62M-14.89%394.75M115.93%549.96M
Deferred tax assets --45.57M--------------------684.13%18.29M447.52%18.08M-45.70%2.33M-36.91%3.3M
Special items of non-current assets -------------------------54.17%109.53M-55.76%108.3M-6.72%238.99M-0.85%244.8M
Total non-current assets -86.65%556.54M-12.58%3.83B-10.29%4.17B-37.24%4.38B-39.11%4.65B-9.63%6.98B59.07%7.63B51.80%7.73B-5.91%4.8B5.82%5.09B
Other items of assets ------------------7.68B--3.55M----------------
Total assets -29.03%4.35B-25.06%4.89B-53.31%6.12B-51.79%6.53B-10.59%13.11B-7.98%13.54B-16.78%14.67B-18.96%14.71B-3.03%17.63B-1.70%18.15B
Liabilities
Current liabilities
Accounts payable -66.74%378.23M2.71%1.17B25.71%1.14B-75.52%1.14B-74.36%904.72M50.84%4.67B10.16%3.53B15.98%3.1B-8.07%3.2B-27.48%2.67B
Tax payable -----56.30%47.5M1.06%104.02M-85.09%108.71M-85.56%102.92M-0.88%729.29M175.73%712.98M151.49%735.74M-18.02%258.58M-28.58%292.55M
Amounts payable to associated parties-current liabilities -98.95%16.52M-91.55%126.41M1,244.00%1.58B1,119.05%1.5B-3.63%117.37M1.95%122.77M-88.30%121.8M6.70%120.42M-19.42%1.04B-80.23%112.86M
Bank loans and overdrafts -79.25%217.69M-36.59%1.17B-45.67%1.05B-70.73%1.85B-59.82%1.93B47.52%6.33B23.13%4.81B-12.62%4.29B123.28%3.9B56.33%4.91B
Provision-current liabilities ----114.53%309.87M--138M--144.44M------------------------
Financial lease liabilities-current liabilities -48.63%24.41M-18.39%33.24M37.33%47.52M29.33%40.73M-12.21%34.6M-0.89%31.49M1.27%39.41M-11.90%31.77M-33.49%38.92M--36.07M
Special items of current liabilities --3.16B------------------------------------
Total current liabilities -6.75%3.79B-40.12%2.87B30.99%4.07B-65.87%4.79B-72.27%3.11B35.93%14.02B-18.19%11.2B-18.69%10.32B31.15%13.69B14.48%12.69B
Net current assets 99.78%-4.75M31.65%-1.81B8.90%-2.11B64.63%-2.64B44.30%-2.32B-124.28%-7.47B-382.19%-4.16B-985.46%-3.33B-132.72%-863.43M-85.39%376.2M
Total assets less current liabilities -73.15%551.79M16.38%2.03B-79.47%2.05B459.80%1.74B188.70%10.01B-111.00%-483.68M-11.86%3.47B-19.58%4.4B-49.16%3.93B-25.98%5.47B
Non-current liabilities
Long-term bank loan ----108.16%594.54M133.08%730.2M-55.98%285.62M-85.19%313.29M-76.38%648.79M3.80%2.11B-8.61%2.75B-56.30%2.04B-21.51%3.01B
Financial lease liabilities-non-current liabilities -33.30%18.18M-45.16%23.34M-51.36%27.25M-36.53%42.56M-8.22%56.04M-11.84%67.05M24.72%61.05M-0.25%76.05M-30.80%48.95M--76.24M
Deferred tax liability -----28.71%158.84M-35.03%212.89M-62.41%222.82M-51.22%327.65M-10.79%592.82M-0.88%671.62M-6.26%664.51M-8.19%677.6M-5.45%708.87M
Special items of non-current liabilities ------------------------22,139.50%610.92M10,228.20%604.72M-71.68%2.75M-69.70%5.86M
Total non-current liabilities -98.13%18.18M40.97%776.72M39.22%970.34M-57.90%550.99M-79.85%696.97M-68.02%1.31B25.00%3.46B7.78%4.09B-49.51%2.77B-17.43%3.8B
Other items of liabilities ------------------11.47B--------------------
Total liabilities -24.35%3.81B-31.75%3.64B-67.02%5.04B-65.19%5.34B4.21%15.28B6.41%15.33B-10.93%14.66B-12.59%14.41B3.39%16.46B5.12%16.48B
Total assets less total liabilities -50.80%533.61M4.99%1.25B150.13%1.08B166.35%1.19B-26,328.55%-2.16B-688.06%-1.79B-99.29%8.25M-81.76%304.79M-48.31%1.17B-40.09%1.67B
Total equity and non-current liabilities -73.15%551.79M16.38%2.03B240.11%2.05B459.80%1.74B-142.31%-1.47B-111.00%-483.68M-11.86%3.47B-19.58%4.4B-49.16%3.93B-25.98%5.47B
Equity
Share capital 0.00%297.59M0.00%297.59M0.00%297.59M0.00%297.59M0.00%297.59M0.00%297.59M0.00%297.59M0.00%297.59M0.00%297.59M0.00%297.59M
Reserve -5.83%2.29B2.03%2.39B0.26%2.43B0.95%2.34B1.35%2.42B-0.84%2.32B-11.14%2.39B-14.23%2.34B-2.69%2.69B-1.68%2.72B
Retained profit -15.02%-2.11B5.42%-1.56B63.99%-1.84B64.38%-1.65B-75.68%-5.1B-80.82%-4.63B-54.56%-2.9B-81.56%-2.56B-128.20%-1.88B-299.84%-1.41B
Shareholders' Equity -46.89%472.96M13.91%1.12B137.41%890.46M148.81%985.31M-1,008.96%-2.38B-2,932.77%-2.02B-119.33%-214.61M-95.57%71.26M-50.44%1.11B-40.70%1.61B
Non-controlling interest -68.75%60.65M-38.10%126.26M-10.30%194.09M-9.89%203.96M-2.91%216.38M-3.07%226.35M296.03%222.86M281.93%233.53M239.88%56.27M-17.80%61.14M
Total equity -50.80%533.61M4.99%1.25B150.13%1.08B166.35%1.19B-26,328.55%-2.16B-688.06%-1.79B-99.29%8.25M-81.76%304.79M-48.31%1.17B-40.09%1.67B
Total equity and total liabilities -29.03%4.35B-25.06%4.89B-53.31%6.12B-51.79%6.53B-10.59%13.11B-7.98%13.54B-16.78%14.67B-18.96%14.71B-3.03%17.63B-1.70%18.15B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions ------------------Unqualified Opinion
Auditor ------------------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.

Analysis

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