HK Stock MarketDetailed Quotes

00799 IGG

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  • 3.900
  • -0.040-1.02%
Market Closed Dec 13 16:08 CST
4.57BMarket Cap5.98P/E (TTM)

IGG 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
591.84%339K
-25.09%433K
-92.76%49K
-75.15%578K
-69.31%677K
26.83%2.33M
665.97%2.21M
476.73%1.83M
-14.54%288K
13.57%318K
Accounts receivable
-5.83%451.37M
17.76%475.99M
18.36%479.31M
-15.91%404.2M
-32.86%404.94M
3.49%480.69M
783.99%603.1M
905.24%464.48M
-5.23%68.22M
-7.77%46.21M
Advance deposits and other receivables
5.62%38.07M
-10.65%36.62M
-31.81%36.04M
-29.50%40.99M
--52.85M
-13.29%58.14M
----
--67.05M
----
----
Cash and equivalents
30.97%1.94B
-7.09%1.47B
-11.31%1.48B
-18.88%1.58B
-31.85%1.67B
-10.25%1.95B
621.16%2.45B
607.51%2.17B
25.68%339.87M
6.80%307.09M
Fixed time deposit-current assets
----
----
----
--5.09M
--5.27M
----
----
----
----
----
Secured deposit
-46.05%23.67M
214.99%44.34M
207.24%43.86M
120.02%14.08M
123.31%14.28M
7.96%6.4M
1,170.97%6.39M
1,073.47%5.93M
-90.43%503K
--505K
Financial assets at fair value-current assets
22,479.49%17.61M
--19.02M
--78K
----
----
----
----
----
----
----
Total current assets
21.10%2.47B
-0.03%2.05B
-5.01%2.04B
-18.05%2.05B
-29.85%2.15B
-7.91%2.5B
649.03%3.06B
665.84%2.71B
17.49%408.88M
4.79%354.12M
Non-current assets
Property, plant and equipment
17.46%699.54M
12.98%661.9M
11.88%595.56M
36.94%585.84M
56.05%532.32M
27.97%427.81M
756.67%341.11M
672.86%334.31M
83.27%39.82M
390.38%43.26M
Investment property
-2.83%25.42M
--26.11M
--26.16M
----
----
----
----
----
----
----
Land use right
-1.65%209.45M
-3.99%213.81M
-9.63%212.95M
-10.80%222.69M
-5.14%235.64M
--249.65M
--248.41M
----
----
----
Associated company interest
-14.05%189.37M
----
-37.86%220.33M
----
-14.32%354.56M
----
5,767.19%413.81M
----
38.16%7.05M
----
Interests in Joint Venture
----
-16.94%185.13M
----
-54.27%222.89M
----
20.95%487.41M
----
9,027.41%402.98M
----
--4.42M
Secured deposits-non-current assets
----
----
----
--30.64M
--32.01M
----
----
----
----
----
Financial assets at fair value-non-current assets
10.44%426.35M
8.92%471.04M
-31.01%386.06M
-19.03%432.45M
--559.59M
--534.09M
----
----
----
----
Intangible assets
5.61%3.98M
-59.25%3.13M
-61.14%3.76M
-36.70%7.69M
-73.67%9.69M
-23.48%12.15M
6,061.98%36.79M
2,298.19%15.88M
-25.28%597K
43.60%662K
Deferred tax assets
-3.56%38.9M
4.44%40.59M
40.63%40.34M
28.07%38.87M
1,329.10%28.68M
1,411.40%30.35M
1,455.81%2.01M
1,506.40%2.01M
--129K
--125K
Other illiquid assets
6.54%39.56M
2.65%49.58M
-29.60%37.13M
-77.56%48.3M
-70.27%52.75M
40.33%215.23M
6,951.55%177.42M
5,912.31%153.37M
-90.91%2.52M
16.91%2.55M
Total non-current assets
7.24%1.63B
3.90%1.65B
-15.67%1.52B
-18.77%1.59B
6.28%1.81B
-9.80%1.96B
846.42%1.7B
1,671.97%2.17B
81.92%179.48M
99.09%122.42M
Total assets
15.18%4.1B
1.69%3.7B
-9.88%3.56B
-18.37%3.64B
-16.96%3.95B
-8.75%4.45B
709.25%4.76B
924.30%4.88B
31.72%588.36M
19.31%476.53M
Liabilities
Current liabilities
Accounts payable
-17.53%683.27M
6.03%570.69M
112.45%828.53M
2.52%538.21M
-15.11%389.99M
57.54%524.98M
1,011.71%459.43M
903.63%333.24M
-14.61%41.33M
-19.82%33.2M
Tax payable
21.26%149.52M
-9.65%117.81M
-23.78%123.31M
-39.72%130.4M
-48.08%161.77M
-34.25%216.33M
586.95%311.57M
940.65%329M
27.32%45.36M
-29.28%31.62M
Financial lease liabilities-current liabilities
-24.18%37.58M
-18.78%35.26M
-22.13%49.56M
-49.59%43.42M
33.88%63.64M
124.68%86.13M
1,205.19%47.54M
918.41%38.33M
-1.01%3.64M
--3.76M
Deferred income-current liabilities
-2.94%194.5M
10.25%207.15M
11.71%200.4M
-19.24%187.89M
-19.80%179.39M
-12.70%232.66M
681.40%223.68M
957.02%266.5M
-2.97%28.63M
-20.12%25.21M
Total current liabilities
-11.35%1.07B
3.47%931.14M
51.21%1.2B
-15.11%899.92M
-23.74%794.78M
9.62%1.06B
776.18%1.04B
931.06%967.07M
1.49%118.95M
-20.30%93.79M
Net current assets
67.57%1.41B
-2.78%1.12B
-38.02%839.01M
-20.22%1.15B
-33.00%1.35B
-17.62%1.44B
596.87%2.02B
570.28%1.74B
25.62%289.93M
18.20%260.32M
Total assets less current liabilities
28.68%3.04B
1.10%2.77B
-25.25%2.36B
-19.38%2.74B
-15.06%3.16B
-13.28%3.39B
692.28%3.72B
922.65%3.91B
42.47%469.41M
35.85%382.74M
Non-current liabilities
Financial lease liabilities-non-current liabilities
-8.92%24.4M
42.78%27.96M
-32.50%26.79M
-73.10%19.58M
-11.70%39.7M
43.70%72.78M
625.25%44.96M
564.66%50.65M
-26.06%6.2M
--7.62M
Deferred tax liability
6.13%3.29M
-25.05%3.58M
-48.34%3.1M
-39.31%4.77M
-25.06%6M
50.69%7.86M
1,335.13%8.01M
918.75%5.22M
0.00%558K
45.04%512K
Total non-current liabilities
-7.36%27.69M
29.49%31.53M
-34.58%29.89M
-69.80%24.35M
-13.72%45.7M
44.35%80.64M
683.87%52.97M
586.95%55.86M
-24.44%6.76M
2,203.68%8.13M
Total liabilities
-11.25%1.09B
4.16%962.67M
46.55%1.23B
-18.98%924.27M
-23.26%840.48M
11.52%1.14B
771.22%1.1B
903.60%1.02B
-0.34%125.71M
-13.64%101.93M
Total assets less total liabilities
29.14%3.01B
0.84%2.73B
-25.11%2.33B
-18.16%2.71B
-15.08%3.11B
-14.12%3.31B
692.41%3.67B
929.93%3.86B
44.34%462.65M
33.13%374.61M
Total equity and non-current liabilities
28.68%3.04B
1.10%2.77B
-25.25%2.36B
-19.38%2.74B
-15.06%3.16B
-13.28%3.39B
692.28%3.72B
922.65%3.91B
42.47%469.41M
35.85%382.74M
Equity
Share capital
0.00%23K
0.00%23K
0.00%23K
0.00%23K
0.00%23K
0.00%23K
666.67%23K
666.67%23K
0.00%3K
0.00%3K
Reserve
29.14%3.01B
0.84%2.73B
-25.11%2.33B
-18.16%2.71B
-15.10%3.11B
-14.12%3.31B
692.55%3.67B
930.00%3.86B
44.34%462.65M
32.56%374.6M
Shareholders' Equity
29.14%3.01B
0.84%2.73B
-25.11%2.33B
-18.16%2.71B
-15.10%3.11B
-14.12%3.31B
692.55%3.67B
930.00%3.86B
44.34%462.65M
32.56%374.61M
Non-controlling interest
----
----
----
----
----
----
---657K
---233K
----
----
Total equity
29.14%3.01B
0.84%2.73B
-25.11%2.33B
-18.16%2.71B
-15.08%3.11B
-14.12%3.31B
692.41%3.67B
929.93%3.86B
44.34%462.65M
33.13%374.61M
Total equity and total liabilities
15.18%4.1B
1.69%3.7B
-9.88%3.56B
-18.37%3.64B
-16.96%3.95B
-8.75%4.45B
709.25%4.76B
924.30%4.88B
31.72%588.36M
19.31%476.53M
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
USD
USD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
(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 591.84%339K-25.09%433K-92.76%49K-75.15%578K-69.31%677K26.83%2.33M665.97%2.21M476.73%1.83M-14.54%288K13.57%318K
Accounts receivable -5.83%451.37M17.76%475.99M18.36%479.31M-15.91%404.2M-32.86%404.94M3.49%480.69M783.99%603.1M905.24%464.48M-5.23%68.22M-7.77%46.21M
Advance deposits and other receivables 5.62%38.07M-10.65%36.62M-31.81%36.04M-29.50%40.99M--52.85M-13.29%58.14M------67.05M--------
Cash and equivalents 30.97%1.94B-7.09%1.47B-11.31%1.48B-18.88%1.58B-31.85%1.67B-10.25%1.95B621.16%2.45B607.51%2.17B25.68%339.87M6.80%307.09M
Fixed time deposit-current assets --------------5.09M--5.27M--------------------
Secured deposit -46.05%23.67M214.99%44.34M207.24%43.86M120.02%14.08M123.31%14.28M7.96%6.4M1,170.97%6.39M1,073.47%5.93M-90.43%503K--505K
Financial assets at fair value-current assets 22,479.49%17.61M--19.02M--78K----------------------------
Total current assets 21.10%2.47B-0.03%2.05B-5.01%2.04B-18.05%2.05B-29.85%2.15B-7.91%2.5B649.03%3.06B665.84%2.71B17.49%408.88M4.79%354.12M
Non-current assets
Property, plant and equipment 17.46%699.54M12.98%661.9M11.88%595.56M36.94%585.84M56.05%532.32M27.97%427.81M756.67%341.11M672.86%334.31M83.27%39.82M390.38%43.26M
Investment property -2.83%25.42M--26.11M--26.16M----------------------------
Land use right -1.65%209.45M-3.99%213.81M-9.63%212.95M-10.80%222.69M-5.14%235.64M--249.65M--248.41M------------
Associated company interest -14.05%189.37M-----37.86%220.33M-----14.32%354.56M----5,767.19%413.81M----38.16%7.05M----
Interests in Joint Venture -----16.94%185.13M-----54.27%222.89M----20.95%487.41M----9,027.41%402.98M------4.42M
Secured deposits-non-current assets --------------30.64M--32.01M--------------------
Financial assets at fair value-non-current assets 10.44%426.35M8.92%471.04M-31.01%386.06M-19.03%432.45M--559.59M--534.09M----------------
Intangible assets 5.61%3.98M-59.25%3.13M-61.14%3.76M-36.70%7.69M-73.67%9.69M-23.48%12.15M6,061.98%36.79M2,298.19%15.88M-25.28%597K43.60%662K
Deferred tax assets -3.56%38.9M4.44%40.59M40.63%40.34M28.07%38.87M1,329.10%28.68M1,411.40%30.35M1,455.81%2.01M1,506.40%2.01M--129K--125K
Other illiquid assets 6.54%39.56M2.65%49.58M-29.60%37.13M-77.56%48.3M-70.27%52.75M40.33%215.23M6,951.55%177.42M5,912.31%153.37M-90.91%2.52M16.91%2.55M
Total non-current assets 7.24%1.63B3.90%1.65B-15.67%1.52B-18.77%1.59B6.28%1.81B-9.80%1.96B846.42%1.7B1,671.97%2.17B81.92%179.48M99.09%122.42M
Total assets 15.18%4.1B1.69%3.7B-9.88%3.56B-18.37%3.64B-16.96%3.95B-8.75%4.45B709.25%4.76B924.30%4.88B31.72%588.36M19.31%476.53M
Liabilities
Current liabilities
Accounts payable -17.53%683.27M6.03%570.69M112.45%828.53M2.52%538.21M-15.11%389.99M57.54%524.98M1,011.71%459.43M903.63%333.24M-14.61%41.33M-19.82%33.2M
Tax payable 21.26%149.52M-9.65%117.81M-23.78%123.31M-39.72%130.4M-48.08%161.77M-34.25%216.33M586.95%311.57M940.65%329M27.32%45.36M-29.28%31.62M
Financial lease liabilities-current liabilities -24.18%37.58M-18.78%35.26M-22.13%49.56M-49.59%43.42M33.88%63.64M124.68%86.13M1,205.19%47.54M918.41%38.33M-1.01%3.64M--3.76M
Deferred income-current liabilities -2.94%194.5M10.25%207.15M11.71%200.4M-19.24%187.89M-19.80%179.39M-12.70%232.66M681.40%223.68M957.02%266.5M-2.97%28.63M-20.12%25.21M
Total current liabilities -11.35%1.07B3.47%931.14M51.21%1.2B-15.11%899.92M-23.74%794.78M9.62%1.06B776.18%1.04B931.06%967.07M1.49%118.95M-20.30%93.79M
Net current assets 67.57%1.41B-2.78%1.12B-38.02%839.01M-20.22%1.15B-33.00%1.35B-17.62%1.44B596.87%2.02B570.28%1.74B25.62%289.93M18.20%260.32M
Total assets less current liabilities 28.68%3.04B1.10%2.77B-25.25%2.36B-19.38%2.74B-15.06%3.16B-13.28%3.39B692.28%3.72B922.65%3.91B42.47%469.41M35.85%382.74M
Non-current liabilities
Financial lease liabilities-non-current liabilities -8.92%24.4M42.78%27.96M-32.50%26.79M-73.10%19.58M-11.70%39.7M43.70%72.78M625.25%44.96M564.66%50.65M-26.06%6.2M--7.62M
Deferred tax liability 6.13%3.29M-25.05%3.58M-48.34%3.1M-39.31%4.77M-25.06%6M50.69%7.86M1,335.13%8.01M918.75%5.22M0.00%558K45.04%512K
Total non-current liabilities -7.36%27.69M29.49%31.53M-34.58%29.89M-69.80%24.35M-13.72%45.7M44.35%80.64M683.87%52.97M586.95%55.86M-24.44%6.76M2,203.68%8.13M
Total liabilities -11.25%1.09B4.16%962.67M46.55%1.23B-18.98%924.27M-23.26%840.48M11.52%1.14B771.22%1.1B903.60%1.02B-0.34%125.71M-13.64%101.93M
Total assets less total liabilities 29.14%3.01B0.84%2.73B-25.11%2.33B-18.16%2.71B-15.08%3.11B-14.12%3.31B692.41%3.67B929.93%3.86B44.34%462.65M33.13%374.61M
Total equity and non-current liabilities 28.68%3.04B1.10%2.77B-25.25%2.36B-19.38%2.74B-15.06%3.16B-13.28%3.39B692.28%3.72B922.65%3.91B42.47%469.41M35.85%382.74M
Equity
Share capital 0.00%23K0.00%23K0.00%23K0.00%23K0.00%23K0.00%23K666.67%23K666.67%23K0.00%3K0.00%3K
Reserve 29.14%3.01B0.84%2.73B-25.11%2.33B-18.16%2.71B-15.10%3.11B-14.12%3.31B692.55%3.67B930.00%3.86B44.34%462.65M32.56%374.6M
Shareholders' Equity 29.14%3.01B0.84%2.73B-25.11%2.33B-18.16%2.71B-15.10%3.11B-14.12%3.31B692.55%3.67B930.00%3.86B44.34%462.65M32.56%374.61M
Non-controlling interest ---------------------------657K---233K--------
Total equity 29.14%3.01B0.84%2.73B-25.11%2.33B-18.16%2.71B-15.08%3.11B-14.12%3.31B692.41%3.67B929.93%3.86B44.34%462.65M33.13%374.61M
Total equity and total liabilities 15.18%4.1B1.69%3.7B-9.88%3.56B-18.37%3.64B-16.96%3.95B-8.75%4.45B709.25%4.76B924.30%4.88B31.72%588.36M19.31%476.53M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDUSDUSD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --KPMG--KPMG--KPMG--KPMG--KPMG

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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