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01140 WEALTHINK AI

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  • 0.092
  • +0.003+3.37%
Market Closed Dec 27 16:08 CST
967.87MMarket Cap18.40P/E (TTM)

WEALTHINK AI Key Stats

All
YOY yoy
Hide blank lines yoy
(Q6)Sep 30, 2024
(FY)Mar 31, 2024
(Q6)Sep 30, 2023
(FY)Mar 31, 2023
(Q6)Sep 30, 2022
(FY)Mar 31, 2022
(Q6)Sep 30, 2021
(FY)Mar 31, 2021
(Q6)Sep 30, 2020
(FY)Mar 31, 2020
Turnover
-12.56%128.9M
59.97%308.33M
71.61%147.42M
105.20%192.74M
75.49%85.9M
-15.01%93.93M
1.41%48.95M
-39.21%110.52M
-54.52%48.27M
-20.22%181.82M
Operating income
-12.56%128.9M
59.97%308.33M
71.61%147.42M
105.20%192.74M
75.49%85.9M
-15.01%93.93M
1.41%48.95M
-39.21%110.52M
-54.52%48.27M
-20.22%181.82M
Operating expenses
Gross profit
Administrative expenses
43.02%-18.25M
19.80%-61.94M
22.46%-32.03M
-56.09%-77.23M
-14.99%-41.3M
20.37%-49.48M
20.13%-35.92M
60.17%-62.14M
33.18%-44.97M
-33.06%-156.01M
Profit from asset sales
182.45%37.22M
-412.13%-41.92M
-309.86%-45.14M
-254.67%-8.19M
238.26%21.51M
105.39%5.29M
86.88%-15.56M
-925.03%-98.15M
-17,421.27%-118.62M
-104.55%-9.58M
Revaluation surplus
9.64%-101.16M
51.14%-38.11M
-286.23%-111.95M
70.50%-78M
78.88%-28.99M
-217.18%-264.37M
-131.09%-137.23M
189.14%225.6M
7.38%441.43M
-47.63%-253.08M
-Changes in the fair value of financial assets
----
----
----
----
----
----
----
----
----
-102.50%-320.84M
-Changes in the fair value of other assets
9.64%-101.16M
51.14%-38.11M
-286.23%-111.95M
70.50%-78M
78.88%-28.99M
-217.18%-264.37M
-131.09%-137.23M
232.94%225.6M
137,617.13%441.43M
621.79%67.76M
Impairment and provision
-377.05%-31.05M
-103.63%-3.96M
-89.17%11.21M
-76.33%108.97M
-69.55%103.53M
516.21%460.37M
542.35%340.01M
111.20%74.71M
186.06%52.93M
-817.56%-666.95M
-Other impairment is provision
-377.05%-31.05M
-103.63%-3.96M
-89.17%11.21M
-76.33%108.97M
-69.55%103.53M
516.21%460.37M
542.35%340.01M
111.20%74.71M
186.06%52.93M
-817.56%-666.95M
Special items of operating profit
-88.51%8.74M
6,143.89%77.66M
4,280.97%76.01M
-198.69%-1.29M
-136.13%-1.82M
-30.93%1.3M
-54.85%5.03M
971.02%1.89M
213.11%11.15M
-96.21%176K
Operating profit
-46.40%24.39M
75.22%240.07M
-67.22%45.52M
-44.54%137.01M
-32.37%138.84M
-2.14%247.05M
-47.39%205.29M
127.94%252.44M
3.26%390.19M
-1,206.31%-903.62M
Financing cost
41.10%-25.07M
-15.11%-86.37M
-42.40%-42.56M
-117.08%-75.03M
-172.50%-29.89M
-38.00%-34.56M
-13.39%-10.97M
-32.15%-25.05M
-37.85%-9.67M
-80.87%-18.95M
Share of profits of associates
24.04%25.05M
-213.20%-99.1M
-80.63%20.19M
1,771.33%87.54M
6,441.67%104.26M
-96.87%4.68M
-102.00%-1.64M
133.62%149.28M
--82.25M
---444.05M
Earning before tax
5.31%24.37M
-63.48%54.61M
-89.14%23.15M
-31.15%149.52M
10.65%213.21M
-42.35%217.16M
-58.36%192.68M
127.56%376.67M
105.40%462.77M
-593.08%-1.37B
Tax
----
69.59%-955K
----
-176.34%-3.14M
----
200.00%4.11M
111.01%4.11M
32.10%-4.11M
-191.64%-37.36M
70.41%-6.06M
After-tax profit from continuing operations
5.31%24.37M
-63.35%53.65M
-89.14%23.15M
-33.85%146.38M
8.34%213.21M
-40.61%221.27M
-53.74%196.79M
127.14%372.56M
59.89%425.41M
-634.76%-1.37B
Earning after tax
5.31%24.37M
-63.35%53.65M
-89.14%23.15M
-33.85%146.38M
8.34%213.21M
-40.61%221.27M
-53.74%196.79M
127.14%372.56M
59.89%425.41M
-634.76%-1.37B
Profit attributable to shareholders
5.31%24.37M
-63.35%53.65M
-89.14%23.15M
-33.85%146.38M
8.34%213.21M
-40.61%221.27M
-53.74%196.79M
127.14%372.56M
59.89%425.41M
-634.76%-1.37B
Basic earnings per share
4.55%0.0023
-71.67%0.0051
-93.23%0.0022
-70.00%0.018
-53.57%0.0325
-53.85%0.06
-53.33%0.07
127.66%0.13
63.58%0.15
-637.76%-0.47
Diluted earnings per share
4.55%0.0023
-71.67%0.0051
-93.23%0.0022
-70.00%0.018
-53.57%0.0325
-53.85%0.06
-53.33%0.07
127.66%0.13
64.11%0.15
-641.47%-0.47
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
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
PricewaterhouseCoopers
(Q6)Sep 30, 2024(FY)Mar 31, 2024(Q6)Sep 30, 2023(FY)Mar 31, 2023(Q6)Sep 30, 2022(FY)Mar 31, 2022(Q6)Sep 30, 2021(FY)Mar 31, 2021(Q6)Sep 30, 2020(FY)Mar 31, 2020
Turnover -12.56%128.9M59.97%308.33M71.61%147.42M105.20%192.74M75.49%85.9M-15.01%93.93M1.41%48.95M-39.21%110.52M-54.52%48.27M-20.22%181.82M
Operating income -12.56%128.9M59.97%308.33M71.61%147.42M105.20%192.74M75.49%85.9M-15.01%93.93M1.41%48.95M-39.21%110.52M-54.52%48.27M-20.22%181.82M
Operating expenses
Gross profit
Administrative expenses 43.02%-18.25M19.80%-61.94M22.46%-32.03M-56.09%-77.23M-14.99%-41.3M20.37%-49.48M20.13%-35.92M60.17%-62.14M33.18%-44.97M-33.06%-156.01M
Profit from asset sales 182.45%37.22M-412.13%-41.92M-309.86%-45.14M-254.67%-8.19M238.26%21.51M105.39%5.29M86.88%-15.56M-925.03%-98.15M-17,421.27%-118.62M-104.55%-9.58M
Revaluation surplus 9.64%-101.16M51.14%-38.11M-286.23%-111.95M70.50%-78M78.88%-28.99M-217.18%-264.37M-131.09%-137.23M189.14%225.6M7.38%441.43M-47.63%-253.08M
-Changes in the fair value of financial assets -------------------------------------102.50%-320.84M
-Changes in the fair value of other assets 9.64%-101.16M51.14%-38.11M-286.23%-111.95M70.50%-78M78.88%-28.99M-217.18%-264.37M-131.09%-137.23M232.94%225.6M137,617.13%441.43M621.79%67.76M
Impairment and provision -377.05%-31.05M-103.63%-3.96M-89.17%11.21M-76.33%108.97M-69.55%103.53M516.21%460.37M542.35%340.01M111.20%74.71M186.06%52.93M-817.56%-666.95M
-Other impairment is provision -377.05%-31.05M-103.63%-3.96M-89.17%11.21M-76.33%108.97M-69.55%103.53M516.21%460.37M542.35%340.01M111.20%74.71M186.06%52.93M-817.56%-666.95M
Special items of operating profit -88.51%8.74M6,143.89%77.66M4,280.97%76.01M-198.69%-1.29M-136.13%-1.82M-30.93%1.3M-54.85%5.03M971.02%1.89M213.11%11.15M-96.21%176K
Operating profit -46.40%24.39M75.22%240.07M-67.22%45.52M-44.54%137.01M-32.37%138.84M-2.14%247.05M-47.39%205.29M127.94%252.44M3.26%390.19M-1,206.31%-903.62M
Financing cost 41.10%-25.07M-15.11%-86.37M-42.40%-42.56M-117.08%-75.03M-172.50%-29.89M-38.00%-34.56M-13.39%-10.97M-32.15%-25.05M-37.85%-9.67M-80.87%-18.95M
Share of profits of associates 24.04%25.05M-213.20%-99.1M-80.63%20.19M1,771.33%87.54M6,441.67%104.26M-96.87%4.68M-102.00%-1.64M133.62%149.28M--82.25M---444.05M
Earning before tax 5.31%24.37M-63.48%54.61M-89.14%23.15M-31.15%149.52M10.65%213.21M-42.35%217.16M-58.36%192.68M127.56%376.67M105.40%462.77M-593.08%-1.37B
Tax ----69.59%-955K-----176.34%-3.14M----200.00%4.11M111.01%4.11M32.10%-4.11M-191.64%-37.36M70.41%-6.06M
After-tax profit from continuing operations 5.31%24.37M-63.35%53.65M-89.14%23.15M-33.85%146.38M8.34%213.21M-40.61%221.27M-53.74%196.79M127.14%372.56M59.89%425.41M-634.76%-1.37B
Earning after tax 5.31%24.37M-63.35%53.65M-89.14%23.15M-33.85%146.38M8.34%213.21M-40.61%221.27M-53.74%196.79M127.14%372.56M59.89%425.41M-634.76%-1.37B
Profit attributable to shareholders 5.31%24.37M-63.35%53.65M-89.14%23.15M-33.85%146.38M8.34%213.21M-40.61%221.27M-53.74%196.79M127.14%372.56M59.89%425.41M-634.76%-1.37B
Basic earnings per share 4.55%0.0023-71.67%0.0051-93.23%0.0022-70.00%0.018-53.57%0.0325-53.85%0.06-53.33%0.07127.66%0.1363.58%0.15-637.76%-0.47
Diluted earnings per share 4.55%0.0023-71.67%0.0051-93.23%0.0022-70.00%0.018-53.57%0.0325-53.85%0.06-53.33%0.07127.66%0.1364.11%0.15-641.47%-0.47
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Zhonghui Anda Certified Public Accountants Co., Ltd.--Zhonghui Anda Certified Public Accountants Co., Ltd.--Zhonghui Anda Certified Public Accountants Co., Ltd.--Zhonghui Anda Certified Public Accountants Co., Ltd.--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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