(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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Assets | ||||||||||
Current assets | ||||||||||
Developing and for sale properties | -2.59%131.21B | -4.65%130.1B | 9.93%134.7B | 7.03%136.45B | -8.55%122.53B | 4.72%127.48B | 12.47%133.99B | -0.16%121.74B | -16.58%119.13B | -14.96%121.93B |
Accounts receivable | -9.53%8.31B | -24.85%7.49B | -4.71%9.18B | 23.27%9.97B | -8.91%9.64B | -22.35%8.09B | 54.99%10.58B | 54.19%10.41B | 31.45%6.83B | 82.05%6.75B |
Cash and equivalents | -25.19%32.78B | -30.58%42.48B | -26.71%43.82B | -3.42%61.2B | 36.06%59.79B | 6.46%63.37B | -25.34%43.95B | -1.30%59.52B | -0.92%58.86B | 6.31%60.3B |
Special items of current assets | -31.45%1.93B | 5.56%2.39B | -2.12%2.81B | -93.56%2.27B | 243.13%2.87B | 3,204.04%35.19B | -60.50%837M | -30.26%1.07B | -79.08%2.12B | -91.08%1.53B |
Total current assets | -8.55%174.23B | -13.06%182.47B | -2.21%190.52B | -10.35%209.88B | 2.89%194.83B | 21.47%234.12B | 1.29%189.35B | 1.17%192.74B | -14.07%186.93B | -13.76%190.52B |
Non-current assets | ||||||||||
Fixed assets | -0.51%72.81B | 3.93%73.03B | 3.51%73.18B | -8.08%70.27B | -25.21%70.7B | -19.62%76.44B | 4.25%94.54B | -2.48%95.1B | 127.43%90.68B | 158.95%97.52B |
Investment property | 16.47%150.19B | 17.60%147.22B | 7.78%128.95B | -5.39%125.19B | -7.99%119.64B | 2.83%132.32B | 5.10%130.04B | 7.39%128.68B | -0.04%123.72B | -2.95%119.83B |
Associated company interest | -0.46%6.99B | -1.37%6.96B | -1.24%7.02B | 0.06%7.06B | -0.15%7.11B | -0.32%7.05B | 2.40%7.12B | 1.10%7.08B | -3.53%6.95B | -3.53%7B |
Interests in Joint Venture | 3.80%80.1B | 7.11%79.99B | -0.70%77.17B | -7.51%74.69B | -9.03%77.72B | 29.27%80.75B | 46.98%85.43B | 5.21%62.47B | -2.13%58.13B | -0.79%59.37B |
Stock investment | -40.46%5.82B | -38.46%6.42B | -6.31%9.77B | -13.78%10.44B | -6.81%10.43B | -27.90%12.1B | -30.02%11.19B | -0.81%16.79B | -16.21%15.99B | 0.76%16.92B |
Derivative financial instruments-non-current assets | -15.06%6.48B | -38.90%4.99B | --7.63B | 130.35%8.16B | ---- | --3.54B | ---- | ---- | ---- | ---- |
Goodwill | -43.73%2.56B | -40.27%2.57B | 8.74%4.54B | -6.53%4.31B | -38.07%4.18B | -30.74%4.61B | 12.82%6.74B | 2.51%6.66B | --5.98B | --6.49B |
Deferred tax assets | ---- | ---- | ---- | ---- | -17.93%2.92B | ---- | 6.01%3.56B | 15.40%3.1B | 24.90%3.36B | -14.23%2.69B |
Other illiquid assets | 2.02%5.3B | 8.11%5.24B | -48.92%5.19B | -15.93%4.84B | 36.27%10.16B | -28.84%5.76B | -28.05%7.46B | 4.92%8.1B | --10.36B | 12.58%7.72B |
Total non-current assets | 5.35%330.23B | 7.04%326.42B | 3.50%313.46B | -5.47%304.94B | -12.49%302.86B | -1.64%322.59B | 9.80%346.08B | 3.28%327.97B | 21.67%315.18B | 24.52%317.54B |
Total assets | 0.10%504.46B | -1.15%508.89B | 1.26%503.98B | -7.52%514.82B | -7.05%497.69B | 6.92%556.71B | 6.64%535.43B | 2.49%520.7B | 5.36%502.11B | 6.75%508.06B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Accounts payable | -25.71%19.16B | -38.49%23.56B | -3.27%25.79B | 55.63%38.3B | 21.47%26.66B | 15.35%24.61B | 0.13%21.95B | -2.89%21.34B | 30.17%21.92B | 40.64%21.97B |
Tax payable | -82.46%573M | -47.12%2.66B | -49.86%3.27B | 0.60%5.03B | 64.05%6.52B | 16.27%5B | -14.25%3.97B | -21.70%4.3B | 57.12%4.63B | 78.18%5.49B |
Advance payment | -0.88%8.1B | -15.56%7.78B | 16.68%8.17B | -47.68%9.22B | -64.89%7B | -21.03%17.61B | 40.67%19.94B | 44.27%22.3B | -57.02%14.18B | -54.42%15.46B |
Bank loans and overdrafts | 61.39%14.88B | 630.97%17.8B | 78.64%9.22B | -91.55%2.44B | -78.20%5.16B | 25.89%28.81B | 84.36%23.67B | 234.56%22.89B | 245.05%12.84B | 274.03%6.84B |
Special items of current liabilities | ---- | ---- | ---- | ---- | ---- | --2.48B | ---- | ---- | ---- | ---- |
Total current liabilities | -8.05%42.7B | -5.78%51.8B | 2.44%46.44B | -29.98%54.98B | -34.79%45.33B | 10.86%78.52B | 29.81%69.52B | 42.33%70.82B | -5.19%53.56B | -8.61%49.76B |
Net current assets | -8.71%131.52B | -15.64%130.67B | -3.63%144.08B | -0.45%154.9B | 24.76%149.5B | 27.64%155.61B | -10.16%119.83B | -13.39%121.91B | -17.18%133.37B | -15.45%140.76B |
Total assets less current liabilities | 0.92%461.76B | -0.60%457.09B | 1.15%457.54B | -3.84%459.84B | -2.91%452.35B | 6.29%478.2B | 3.87%465.91B | -1.84%449.88B | 6.78%448.55B | 8.73%458.3B |
Non-current liabilities | ||||||||||
Long-term bank loan | 2.69%41.23B | -19.59%37.07B | -1.34%40.15B | -31.86%46.1B | -41.46%40.69B | 23.00%67.66B | 8.79%69.51B | -24.90%55.01B | 11.23%63.89B | 8.24%73.24B |
Financial lease liabilities-non-current liabilities | -3.44%5.37B | 5.29%5.56B | 6.76%5.56B | -13.49%5.28B | -12.03%5.21B | -12.62%6.1B | -9.14%5.92B | 5.18%6.98B | --6.51B | --6.64B |
Deferred tax liability | 4.94%14.53B | 0.72%14.04B | -7.91%13.85B | -12.73%13.94B | -11.50%15.04B | 6.94%15.97B | 10.98%16.99B | 7.96%14.94B | 27.93%15.31B | 10.92%13.84B |
Derivative financial instruments-non-current liabilities | -59.79%226M | 23.79%895M | -2.94%562M | -66.40%723M | -85.49%579M | -61.35%2.15B | 55.80%3.99B | 73.03%5.57B | 742.43%2.56B | 1,826.95%3.22B |
Retirement benefit responsibility | -6.25%90M | -5.38%88M | 123.26%96M | 132.50%93M | -75.43%43M | -76.47%40M | 25.00%175M | 25.00%170M | -19.08%140M | -18.07%136M |
Total non-current liabilities | 2.05%61.44B | -12.83%57.65B | -2.19%60.21B | -28.05%66.13B | -36.26%61.56B | 11.20%91.92B | 9.23%96.58B | -14.84%82.66B | 26.51%88.42B | 20.63%97.07B |
Total liabilities | -2.35%104.14B | -9.63%109.45B | -0.23%106.65B | -28.94%121.11B | -35.65%106.89B | 11.04%170.44B | 16.99%166.11B | 4.54%153.49B | 12.34%141.98B | 8.83%146.83B |
Total assets less total liabilities | 0.75%400.32B | 1.46%399.44B | 1.67%397.33B | 1.92%393.71B | 5.81%390.8B | 5.19%386.28B | 2.55%369.33B | 1.66%367.22B | 2.84%360.13B | 5.92%361.23B |
Total equity and non-current liabilities | 0.92%461.76B | -0.60%457.09B | 1.15%457.54B | -3.84%459.84B | -2.91%452.35B | 6.29%478.2B | 3.87%465.91B | -1.84%449.88B | 6.78%448.55B | 8.73%458.3B |
Equity | ||||||||||
Share capital | -0.94%236.49B | -0.85%238.07B | -1.46%238.73B | -1.04%240.1B | -0.14%242.28B | -1.23%242.62B | -1.23%242.62B | 0.00%245.64B | 0.00%245.64B | 0.00%245.64B |
Other equity instruments | 0.00%7.93B | 0.00%7.93B | 0.00%7.93B | 0.00%7.93B | 27.89%7.93B | 27.89%7.93B | -46.87%6.2B | -46.87%6.2B | 0.00%11.67B | 0.00%11.67B |
Reserve | 4.00%150.5B | 5.91%147.77B | 8.17%144.7B | 8.49%139.53B | 17.72%133.78B | 17.99%128.61B | 17.36%113.64B | 10.53%109B | 11.20%96.83B | 26.62%98.61B |
Special items of shareholders' rights and interests | 0.00%-7.93B | 0.00%-7.93B | 0.00%-7.93B | 0.00%-7.93B | -27.89%-7.93B | -27.89%-7.93B | 46.87%-6.2B | 46.87%-6.2B | 0.00%-11.67B | 0.00%-11.67B |
Shareholders' Equity | 0.93%386.99B | 1.64%385.84B | 1.96%383.43B | 2.26%379.63B | 5.56%376.05B | 4.68%371.23B | 4.03%356.26B | 3.02%354.64B | 2.93%342.47B | 6.41%344.25B |
Non-controlling interest | -9.51%5.4B | -7.87%5.66B | -12.39%5.97B | -13.64%6.15B | -0.80%6.81B | 11.58%7.12B | 14.50%6.87B | 20.15%6.38B | 3.24%6B | -9.06%5.31B |
Total equity | 0.75%400.32B | 1.46%399.44B | 1.67%397.33B | 1.92%393.71B | 5.81%390.8B | 5.19%386.28B | 2.55%369.33B | 1.66%367.22B | 2.84%360.13B | 5.92%361.23B |
Total equity and total liabilities | 0.10%504.46B | -1.15%508.89B | 1.26%503.98B | -7.52%514.82B | -7.05%497.69B | 6.92%556.71B | 6.64%535.43B | 2.49%520.7B | 5.36%502.11B | 6.75%508.06B |
Currency Unit | HKD | HKD | HKD | HKD | HKD | HKD | HKD | HKD | HKD | HKD |
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 | -- | Deloitte & Touche Tohmatsu Certified Public Accountants | -- | Deloitte & Touche Tohmatsu Certified Public Accountants | -- | Deloitte & Touche Tohmatsu Certified Public Accountants | -- | Deloitte & Touche Tohmatsu Certified Public Accountants | -- | Deloitte & Touche Tohmatsu Certified Public Accountants |
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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