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01222 WANG ON GROUP

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  • 0.026
  • -0.001-3.70%
Not Open Jul 29 16:08 CST
368.33MMarket Cap-490P/E (TTM)

WANG ON GROUP Key Stats

All
YOY yoy
Hide blank lines yoy
(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
(Q6)Sep 30, 2019
Cash flow from operating activities
Earning before tax
-993.99%-878.15M
----
150.56%98.23M
----
-180.37%-194.3M
----
-74.01%241.76M
----
-12.66%930.37M
----
Profit adjustment
Interest (income) - adjustment
9.79%-21.65M
----
-11.27%-24M
----
-7.31%-21.57M
----
32.64%-20.1M
----
-2.48%-29.84M
----
Investment loss (gain)
----
----
----
----
----
----
103.97%208K
----
-59.46%-5.24M
----
Attributable subsidiary (profit) loss
15.39%-270.95M
----
25.05%-320.22M
----
28.72%-427.26M
----
-1,400.92%-599.45M
----
-62.12%-39.94M
----
Impairment and provisions:
463.82%799.5M
----
-44.50%141.8M
----
21.53%255.51M
----
20.88%210.24M
----
273.95%173.92M
----
-Impairment of property, plant and equipment (reversal)
672.78%774.83M
----
1,667.87%100.27M
----
-103.56%-6.4M
----
90.98%179.57M
----
185.85%94.03M
----
-Impairmen of inventory (reversal)
-1.82%2.91M
----
-40.34%2.97M
----
4.70%4.97M
----
-50.38%4.75M
----
1.20%9.57M
----
-Other impairments and provisions
-43.58%21.76M
----
-84.99%38.57M
----
891.29%256.93M
----
-63.15%25.92M
----
78,042.22%70.33M
----
Revaluation surplus:
49.52%263.14M
----
-36.79%175.99M
----
-16.74%278.43M
----
10.10%334.4M
----
432.80%303.71M
----
-Fair value of investment properties (increase)
63.47%266.3M
----
-11.86%162.9M
----
-38.76%184.83M
----
0.64%301.8M
----
436.74%299.89M
----
-Other fair value changes
-124.18%-3.16M
----
-86.02%13.09M
----
187.18%93.61M
----
753.05%32.6M
----
273.60%3.82M
----
Asset sale loss (gain):
1,094.41%80.73M
----
-95.29%6.76M
----
401.22%143.43M
----
69.29%-47.62M
----
-1,168.21%-155.06M
----
-Loss (gain) from sale of subsidiary company
233.41%5.9M
----
104.86%1.77M
----
23.44%-36.4M
----
-348.19%-47.55M
----
352.92%19.16M
----
-Loss (gain) on sale of property, machinery and equipment
-3,969.84%-12.41M
----
-104.80%-305K
----
2,018.67%6.36M
----
100.53%300K
----
-296,178.95%-56.29M
----
-Loss (gain) from selling other assets
1,547.69%87.25M
----
-96.95%5.3M
----
47,628.22%173.48M
----
99.69%-365K
----
-2,445.43%-117.93M
----
Depreciation and amortization:
-6.84%137.14M
----
-8.67%147.21M
----
11.89%161.19M
----
-4.19%144.06M
----
103.50%150.36M
----
-Depreciation
-6.84%137.14M
----
56.45%147.21M
----
-34.69%94.09M
----
-4.19%144.06M
----
103.50%150.36M
----
Financial expense
26.36%364.38M
----
38.90%288.36M
----
-16.80%207.61M
----
10.78%249.53M
----
67.24%225.25M
----
Special items
-679.23%-9.72M
----
-109.12%-1.25M
----
174.89%13.67M
----
96.82%-18.25M
----
-134,027.80%-573.21M
----
Operating profit before the change of operating capital
-9.45%464.41M
----
23.08%512.88M
----
-15.78%416.7M
----
-49.53%494.77M
----
-3.03%980.32M
----
Change of operating capital
Inventory (increase) decrease
-302.21%-101.89M
----
16.14%-25.33M
----
-150.19%-30.21M
----
-298.35%-12.07M
----
-124.82%-3.03M
----
Developing property (increase)decrease
-215.65%-732.42M
----
123.52%633.32M
----
-143.81%-2.69B
----
-201.14%-1.1B
----
164.89%1.09B
----
Accounts receivable (increase)decrease
364.18%86.28M
----
93.57%-32.66M
----
-1,760.20%-507.54M
----
-174.62%-27.28M
----
-94.43%36.57M
----
Accounts payable increase (decrease)
-144.96%-28.81M
----
-50.49%64.09M
----
-33.88%129.44M
----
171.54%195.75M
----
-176.43%-273.64M
----
Advance payment increase (decrease)
570.74%76.09M
----
-0.36%-16.16M
----
-329.07%-16.11M
----
144.26%7.03M
----
67.90%-15.88M
----
Financial assets at fair value (increase)decrease
-83.16%31.01M
----
251.26%184.07M
----
---121.69M
----
----
----
----
----
Special items for working capital changes
95.56%-25.42M
----
-552.28%-572.26M
----
142.82%126.53M
----
-138.67%-295.47M
----
4,994.93%764.1M
----
Adjustment items for working capital changes
----
----
----
----
---15.7M
----
----
----
----
----
Cash  from business operations
-114.11%-137.49M
----
138.02%974.16M
----
-236.33%-2.56B
----
-221.89%-761.73M
----
235.67%624.94M
----
Other taxs
33.07%-37.18M
21.04%-20.16M
72.94%-55.54M
85.24%-25.54M
20.12%-205.25M
13.29%-172.98M
-125.95%-256.95M
-137.32%-199.49M
-762.23%-113.72M
-3,331.02%-84.06M
Interest received - operating
----
-7.94%2.45M
----
--2.66M
----
----
----
----
----
----
Interest paid - operating
----
-9.41%-24.05M
----
---21.98M
----
----
----
----
----
----
Special items of business
----
-190.81%-345.08M
----
136.95%380.02M
----
-156.13%-1.03B
----
-340.93%-401.6M
----
--166.69M
Net cash from operations
-119.01%-174.67M
-215.42%-386.85M
133.20%918.62M
127.89%335.16M
-171.64%-2.77B
-99.90%-1.2B
-299.26%-1.02B
-827.47%-601.09M
207.89%511.22M
106.17%82.63M
Cash flow from investment activities
Interest received - investment
-3.89%20.2M
191.49%9.22M
365.97%21.02M
-11.77%3.16M
-36.71%4.51M
-18.42%3.58M
-71.12%7.13M
-61.65%4.39M
16.71%24.68M
34.84%11.46M
Dividend received - investment
-87.47%16.78M
--4.5M
-82.66%133.97M
----
8,766.98%772.4M
----
-40.66%8.71M
-53.98%4.74M
-15.00%14.68M
358.06%10.29M
Restricted cash (increase) decrease
----
311.80%6.19M
----
-348.34%-2.92M
----
150.36%1.18M
-1,828.91%-13.04M
99.56%-2.34M
--754K
---532M
Loan receivable (increase) decrease
-169.83%-64.97M
-202.98%-79.36M
-91.53%93.03M
-88.71%77.06M
316.85%1.1B
740.90%682.52M
-263.07%-506.31M
70.55%-106.49M
-1,718.87%-139.45M
-500.52%-361.57M
Decrease in deposits (increase)
200.00%258.06M
--245.61M
---258.06M
----
----
----
----
----
----
----
Sale of fixed assets
287.02%35.13M
34,828.41%61.47M
1,521.07%9.08M
-92.41%176K
-87.55%560K
--2.32M
-96.85%4.5M
----
264,600.00%142.94M
--142.91M
Purchase of fixed assets
23.43%-30.96M
39.14%-13.51M
39.35%-40.43M
-35.14%-22.2M
-2.93%-66.66M
67.88%-16.43M
-81.60%-64.76M
-60.87%-51.15M
-27.91%-35.66M
---31.79M
Purchase of intangible assets
----
71.18%-4.84M
----
---16.8M
----
----
----
----
----
----
Sale of subsidiaries
-52.36%165.02M
-56.75%67.33M
-76.10%346.4M
118.20%155.69M
933.67%1.45B
-22.28%71.35M
-50.08%140.2M
-67.36%91.81M
-35.47%280.85M
-35.38%281.25M
Acquisition of subsidiaries
----
----
----
----
----
----
----
----
---118.5M
----
Recovery of cash from investments
----
----
-39.66%26.53M
--17.09M
780.83%43.97M
----
-97.40%4.99M
-98.12%4.99M
11.08%192.08M
289.32%265.65M
Cash on investment
12.04%-213.23M
77.33%-43.08M
63.83%-242.43M
45.84%-190.07M
-32.31%-670.28M
-13.20%-350.96M
72.44%-506.59M
72.25%-310.02M
-140.39%-1.84B
-247.88%-1.12B
Other items in the investment business
6.74%247.27M
-54.45%39.96M
-59.24%231.66M
-75.17%87.74M
-68.45%568.36M
-45.39%353.38M
66.71%1.8B
-2.21%647.15M
140.87%1.08B
211.80%661.8M
Adjustment items of investment business
----
----
----
----
--15.7M
----
----
--635K
----
----
Net cash from investment operations
35.08%433.31M
169.42%293.49M
-90.02%320.77M
-85.42%108.93M
267.05%3.22B
163.27%746.95M
321.64%876.08M
142.40%283.72M
-233.99%-395.28M
-235.01%-669.17M
Net cash before financing
-79.13%258.64M
-121.02%-93.36M
176.34%1.24B
197.68%444.09M
414.51%448.5M
-43.25%-454.63M
-223.00%-142.61M
45.89%-317.37M
164.84%115.94M
30.54%-586.54M
Cash flow from financing activities
New borrowing
90.94%3.24B
33.09%2.24B
-60.58%1.69B
-17.97%1.68B
95.11%4.3B
61.63%2.05B
85.48%2.2B
-31.70%1.27B
-51.18%1.19B
41.08%1.86B
Refund
-13.22%-2.71B
-17.66%-1.86B
44.40%-2.39B
-7.23%-1.58B
-267.41%-4.3B
-103.52%-1.47B
11.95%-1.17B
58.93%-723.5M
27.84%-1.33B
-159.85%-1.76B
Interest paid - financing
-45.69%-503.71M
-64.76%-229M
-32.72%-345.75M
-11.36%-138.99M
2.86%-260.51M
15.58%-124.82M
5.98%-268.17M
-42.50%-147.86M
-50.93%-285.23M
-36.16%-103.76M
Dividends paid - financing
-22.60%-43.13M
-28.11%-37.27M
64.31%-35.18M
49.84%-29.1M
38.38%-98.57M
48.32%-58M
29.22%-159.97M
45.04%-112.23M
59.68%-226.02M
34.39%-204.21M
Issuance expenses and redemption of securities expenses
-3.92%-125.71M
-114.48%-48.97M
35.51%-120.96M
---22.83M
-5.29%-187.57M
----
-139.99%-178.13M
----
25.97%-74.23M
---48.23M
Pledged bank deposit (increase) decrease
-109.90%-11.15M
-269.38%-27.11M
83.00%-5.31M
153.13%16.01M
---31.25M
---30.13M
----
----
----
----
Other items of the financing business
-27.27%-203.02M
-22.85%-107.65M
---159.52M
---87.63M
----
----
68.00%-39.8M
-11.33%-103.18M
-232.54%-124.38M
-195.74%-92.68M
Net cash from financing operations
73.68%-358.94M
55.85%-71.01M
-85.20%-1.36B
-155.73%-160.82M
-402.43%-736.38M
59.62%288.57M
128.59%243.49M
150.97%180.79M
-414.45%-851.62M
-202.25%-354.68M
Effect of rate
-9.68%-17.15M
1.30%-40.23M
-146.93%-15.64M
-1,195.16%-40.76M
6.44%33.32M
-85.58%3.72M
564.46%31.3M
6,017.30%25.82M
-98.09%-6.74M
-61.25%422K
Net Cash
19.38%-100.29M
-158.03%-164.37M
56.79%-124.4M
270.58%283.27M
-385.35%-287.88M
-21.58%-166.07M
113.71%100.88M
85.49%-136.58M
-113.64%-735.68M
-89.20%-941.22M
Begining period cash
-9.63%1.31B
-9.51%1.31B
-14.90%1.45B
-15.03%1.45B
8.39%1.71B
8.39%1.71B
-32.03%1.58B
-32.03%1.58B
-13.04%2.32B
-12.99%2.32B
Cash at the end
-8.94%1.2B
-34.54%1.11B
-9.63%1.31B
9.59%1.69B
-14.90%1.45B
5.50%1.55B
8.39%1.71B
6.36%1.47B
-32.03%1.58B
-36.47%1.38B
Cash balance analysis
Cash and bank balance
5.35%851.04M
-20.79%1.1B
-33.00%807.79M
-8.32%1.39B
-7.77%1.21B
5.62%1.52B
--1.31B
--1.44B
----
----
Cash and cash equivalent balance
5.35%851.04M
-20.79%1.1B
-33.00%807.79M
-8.32%1.39B
-7.77%1.21B
5.62%1.52B
--1.31B
--1.44B
----
----
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)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(Q6)Sep 30, 2019
Cash flow from operating activities
Earning before tax -993.99%-878.15M----150.56%98.23M-----180.37%-194.3M-----74.01%241.76M-----12.66%930.37M----
Profit adjustment
Interest (income) - adjustment 9.79%-21.65M-----11.27%-24M-----7.31%-21.57M----32.64%-20.1M-----2.48%-29.84M----
Investment loss (gain) ------------------------103.97%208K-----59.46%-5.24M----
Attributable subsidiary (profit) loss 15.39%-270.95M----25.05%-320.22M----28.72%-427.26M-----1,400.92%-599.45M-----62.12%-39.94M----
Impairment and provisions: 463.82%799.5M-----44.50%141.8M----21.53%255.51M----20.88%210.24M----273.95%173.92M----
-Impairment of property, plant and equipment (reversal) 672.78%774.83M----1,667.87%100.27M-----103.56%-6.4M----90.98%179.57M----185.85%94.03M----
-Impairmen of inventory (reversal) -1.82%2.91M-----40.34%2.97M----4.70%4.97M-----50.38%4.75M----1.20%9.57M----
-Other impairments and provisions -43.58%21.76M-----84.99%38.57M----891.29%256.93M-----63.15%25.92M----78,042.22%70.33M----
Revaluation surplus: 49.52%263.14M-----36.79%175.99M-----16.74%278.43M----10.10%334.4M----432.80%303.71M----
-Fair value of investment properties (increase) 63.47%266.3M-----11.86%162.9M-----38.76%184.83M----0.64%301.8M----436.74%299.89M----
-Other fair value changes -124.18%-3.16M-----86.02%13.09M----187.18%93.61M----753.05%32.6M----273.60%3.82M----
Asset sale loss (gain): 1,094.41%80.73M-----95.29%6.76M----401.22%143.43M----69.29%-47.62M-----1,168.21%-155.06M----
-Loss (gain) from sale of subsidiary company 233.41%5.9M----104.86%1.77M----23.44%-36.4M-----348.19%-47.55M----352.92%19.16M----
-Loss (gain) on sale of property, machinery and equipment -3,969.84%-12.41M-----104.80%-305K----2,018.67%6.36M----100.53%300K-----296,178.95%-56.29M----
-Loss (gain) from selling other assets 1,547.69%87.25M-----96.95%5.3M----47,628.22%173.48M----99.69%-365K-----2,445.43%-117.93M----
Depreciation and amortization: -6.84%137.14M-----8.67%147.21M----11.89%161.19M-----4.19%144.06M----103.50%150.36M----
-Depreciation -6.84%137.14M----56.45%147.21M-----34.69%94.09M-----4.19%144.06M----103.50%150.36M----
Financial expense 26.36%364.38M----38.90%288.36M-----16.80%207.61M----10.78%249.53M----67.24%225.25M----
Special items -679.23%-9.72M-----109.12%-1.25M----174.89%13.67M----96.82%-18.25M-----134,027.80%-573.21M----
Operating profit before the change of operating capital -9.45%464.41M----23.08%512.88M-----15.78%416.7M-----49.53%494.77M-----3.03%980.32M----
Change of operating capital
Inventory (increase) decrease -302.21%-101.89M----16.14%-25.33M-----150.19%-30.21M-----298.35%-12.07M-----124.82%-3.03M----
Developing property (increase)decrease -215.65%-732.42M----123.52%633.32M-----143.81%-2.69B-----201.14%-1.1B----164.89%1.09B----
Accounts receivable (increase)decrease 364.18%86.28M----93.57%-32.66M-----1,760.20%-507.54M-----174.62%-27.28M-----94.43%36.57M----
Accounts payable increase (decrease) -144.96%-28.81M-----50.49%64.09M-----33.88%129.44M----171.54%195.75M-----176.43%-273.64M----
Advance payment increase (decrease) 570.74%76.09M-----0.36%-16.16M-----329.07%-16.11M----144.26%7.03M----67.90%-15.88M----
Financial assets at fair value (increase)decrease -83.16%31.01M----251.26%184.07M-------121.69M--------------------
Special items for working capital changes 95.56%-25.42M-----552.28%-572.26M----142.82%126.53M-----138.67%-295.47M----4,994.93%764.1M----
Adjustment items for working capital changes -------------------15.7M--------------------
Cash  from business operations -114.11%-137.49M----138.02%974.16M-----236.33%-2.56B-----221.89%-761.73M----235.67%624.94M----
Other taxs 33.07%-37.18M21.04%-20.16M72.94%-55.54M85.24%-25.54M20.12%-205.25M13.29%-172.98M-125.95%-256.95M-137.32%-199.49M-762.23%-113.72M-3,331.02%-84.06M
Interest received - operating -----7.94%2.45M------2.66M------------------------
Interest paid - operating -----9.41%-24.05M-------21.98M------------------------
Special items of business -----190.81%-345.08M----136.95%380.02M-----156.13%-1.03B-----340.93%-401.6M------166.69M
Net cash from operations -119.01%-174.67M-215.42%-386.85M133.20%918.62M127.89%335.16M-171.64%-2.77B-99.90%-1.2B-299.26%-1.02B-827.47%-601.09M207.89%511.22M106.17%82.63M
Cash flow from investment activities
Interest received - investment -3.89%20.2M191.49%9.22M365.97%21.02M-11.77%3.16M-36.71%4.51M-18.42%3.58M-71.12%7.13M-61.65%4.39M16.71%24.68M34.84%11.46M
Dividend received - investment -87.47%16.78M--4.5M-82.66%133.97M----8,766.98%772.4M-----40.66%8.71M-53.98%4.74M-15.00%14.68M358.06%10.29M
Restricted cash (increase) decrease ----311.80%6.19M-----348.34%-2.92M----150.36%1.18M-1,828.91%-13.04M99.56%-2.34M--754K---532M
Loan receivable (increase) decrease -169.83%-64.97M-202.98%-79.36M-91.53%93.03M-88.71%77.06M316.85%1.1B740.90%682.52M-263.07%-506.31M70.55%-106.49M-1,718.87%-139.45M-500.52%-361.57M
Decrease in deposits (increase) 200.00%258.06M--245.61M---258.06M----------------------------
Sale of fixed assets 287.02%35.13M34,828.41%61.47M1,521.07%9.08M-92.41%176K-87.55%560K--2.32M-96.85%4.5M----264,600.00%142.94M--142.91M
Purchase of fixed assets 23.43%-30.96M39.14%-13.51M39.35%-40.43M-35.14%-22.2M-2.93%-66.66M67.88%-16.43M-81.60%-64.76M-60.87%-51.15M-27.91%-35.66M---31.79M
Purchase of intangible assets ----71.18%-4.84M-------16.8M------------------------
Sale of subsidiaries -52.36%165.02M-56.75%67.33M-76.10%346.4M118.20%155.69M933.67%1.45B-22.28%71.35M-50.08%140.2M-67.36%91.81M-35.47%280.85M-35.38%281.25M
Acquisition of subsidiaries -----------------------------------118.5M----
Recovery of cash from investments ---------39.66%26.53M--17.09M780.83%43.97M-----97.40%4.99M-98.12%4.99M11.08%192.08M289.32%265.65M
Cash on investment 12.04%-213.23M77.33%-43.08M63.83%-242.43M45.84%-190.07M-32.31%-670.28M-13.20%-350.96M72.44%-506.59M72.25%-310.02M-140.39%-1.84B-247.88%-1.12B
Other items in the investment business 6.74%247.27M-54.45%39.96M-59.24%231.66M-75.17%87.74M-68.45%568.36M-45.39%353.38M66.71%1.8B-2.21%647.15M140.87%1.08B211.80%661.8M
Adjustment items of investment business ------------------15.7M----------635K--------
Net cash from investment operations 35.08%433.31M169.42%293.49M-90.02%320.77M-85.42%108.93M267.05%3.22B163.27%746.95M321.64%876.08M142.40%283.72M-233.99%-395.28M-235.01%-669.17M
Net cash before financing -79.13%258.64M-121.02%-93.36M176.34%1.24B197.68%444.09M414.51%448.5M-43.25%-454.63M-223.00%-142.61M45.89%-317.37M164.84%115.94M30.54%-586.54M
Cash flow from financing activities
New borrowing 90.94%3.24B33.09%2.24B-60.58%1.69B-17.97%1.68B95.11%4.3B61.63%2.05B85.48%2.2B-31.70%1.27B-51.18%1.19B41.08%1.86B
Refund -13.22%-2.71B-17.66%-1.86B44.40%-2.39B-7.23%-1.58B-267.41%-4.3B-103.52%-1.47B11.95%-1.17B58.93%-723.5M27.84%-1.33B-159.85%-1.76B
Interest paid - financing -45.69%-503.71M-64.76%-229M-32.72%-345.75M-11.36%-138.99M2.86%-260.51M15.58%-124.82M5.98%-268.17M-42.50%-147.86M-50.93%-285.23M-36.16%-103.76M
Dividends paid - financing -22.60%-43.13M-28.11%-37.27M64.31%-35.18M49.84%-29.1M38.38%-98.57M48.32%-58M29.22%-159.97M45.04%-112.23M59.68%-226.02M34.39%-204.21M
Issuance expenses and redemption of securities expenses -3.92%-125.71M-114.48%-48.97M35.51%-120.96M---22.83M-5.29%-187.57M-----139.99%-178.13M----25.97%-74.23M---48.23M
Pledged bank deposit (increase) decrease -109.90%-11.15M-269.38%-27.11M83.00%-5.31M153.13%16.01M---31.25M---30.13M----------------
Other items of the financing business -27.27%-203.02M-22.85%-107.65M---159.52M---87.63M--------68.00%-39.8M-11.33%-103.18M-232.54%-124.38M-195.74%-92.68M
Net cash from financing operations 73.68%-358.94M55.85%-71.01M-85.20%-1.36B-155.73%-160.82M-402.43%-736.38M59.62%288.57M128.59%243.49M150.97%180.79M-414.45%-851.62M-202.25%-354.68M
Effect of rate -9.68%-17.15M1.30%-40.23M-146.93%-15.64M-1,195.16%-40.76M6.44%33.32M-85.58%3.72M564.46%31.3M6,017.30%25.82M-98.09%-6.74M-61.25%422K
Net Cash 19.38%-100.29M-158.03%-164.37M56.79%-124.4M270.58%283.27M-385.35%-287.88M-21.58%-166.07M113.71%100.88M85.49%-136.58M-113.64%-735.68M-89.20%-941.22M
Begining period cash -9.63%1.31B-9.51%1.31B-14.90%1.45B-15.03%1.45B8.39%1.71B8.39%1.71B-32.03%1.58B-32.03%1.58B-13.04%2.32B-12.99%2.32B
Cash at the end -8.94%1.2B-34.54%1.11B-9.63%1.31B9.59%1.69B-14.90%1.45B5.50%1.55B8.39%1.71B6.36%1.47B-32.03%1.58B-36.47%1.38B
Cash balance analysis
Cash and bank balance 5.35%851.04M-20.79%1.1B-33.00%807.79M-8.32%1.39B-7.77%1.21B5.62%1.52B--1.31B--1.44B--------
Cash and cash equivalent balance 5.35%851.04M-20.79%1.1B-33.00%807.79M-8.32%1.39B-7.77%1.21B5.62%1.52B--1.31B--1.44B--------
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
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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