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01552 BHCC HOLDING

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  • 0.121
  • +0.006+5.22%
Not Open Nov 19 16:08 CST
96.80MMarket Cap5.76P/E (TTM)

BHCC HOLDING 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
Developing and for sale properties
--86.59M
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----
----
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Accounts receivable
-82.27%1.72M
38.67%8.91M
1,190.40%9.7M
92.59%6.43M
-84.26%751.91K
-18.25%3.34M
127.27%4.78M
-42.55%4.08M
28.50%2.1M
25.97%7.11M
Related party payments receivable
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----
----
0.00%182
0.00%182
-99.94%182
0.00%182
154,321.98%281.05K
-99.91%182
-99.99%182
Payments receivable from contract clients-current assets
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----
----
----
----
----
----
32.21%33.25M
----
66.50%25.15M
Advance deposits and other receivables
-9.18%5.44M
-59.20%4.42M
-54.36%5.99M
112.70%10.85M
259.20%13.13M
10.28%5.1M
-22.73%3.66M
81.93%4.62M
340.86%4.73M
46.30%2.54M
Cash and equivalents
71.48%57.16M
89.68%56.7M
47.88%33.33M
-19.52%29.89M
-22.26%22.54M
7.77%37.14M
0.46%28.99M
26.91%34.47M
3.49%28.86M
-15.98%27.16M
Secured deposit
----
----
----
----
----
----
----
----
--988.77K
----
Short-term investment
----
----
----
----
----
----
--10.01M
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----
----
Special items of current assets
10,231.73%7.96M
13.63%71.85K
147.59%77.08K
-53.36%63.23K
-76.43%31.13K
-98.67%135.59K
-9.13%132.1K
6,732.23%10.16M
--145.38K
--148.76K
Total current assets
80.38%170.76M
9.49%100.87M
24.16%94.67M
10.64%92.13M
7.24%76.24M
-4.15%83.27M
30.04%71.1M
39.87%86.87M
7.81%54.67M
10.43%62.11M
Non-current assets
Property, plant and equipment
-11.74%11.89M
-10.54%12.64M
-7.39%13.47M
-4.65%14.14M
-2.95%14.55M
-5.17%14.83M
-7.25%14.99M
-7.77%15.63M
-9.13%16.16M
-9.08%16.95M
Investment property
-57.19%6.46M
-4.74%14.73M
-4.63%15.1M
-4.52%15.46M
-4.42%15.83M
-4.33%16.19M
-4.24%16.56M
-4.15%16.93M
-4.13%17.29M
20.87%17.66M
Advance payment
5,602.42%2.83M
--796.14K
-83.90%49.6K
----
-58.84%308.14K
-58.84%308.14K
6.96%748.7K
-55.67%748.7K
-70.20%700K
-28.11%1.69M
Intangible assets
0.00%380K
0.00%380K
0.00%380K
0.00%380K
0.00%380K
117.14%380K
117.14%380K
0.00%175K
0.00%175K
0.00%175K
Other illiquid assets
-64.43%29.64K
-59.36%31.01K
469.83%83.3K
227.69%76.32K
-61.50%14.62K
-92.02%23.29K
-73.23%37.97K
36.38%291.75K
--141.83K
--213.92K
Special items of non-current assets
--488K
--2.83M
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Total non-current assets
-24.47%22.22M
4.31%31.64M
-5.63%29.42M
-5.01%30.33M
-5.58%31.17M
-6.59%31.93M
-5.05%33.02M
-7.32%34.18M
-9.32%34.77M
3.07%36.88M
Total assets
55.52%192.98M
8.21%132.51M
15.52%124.09M
6.31%122.46M
3.17%107.42M
-4.84%115.19M
16.40%104.11M
22.29%121.05M
0.44%89.45M
7.57%98.98M
Liabilities
Current liabilities
Accounts payable
-25.02%50.3M
14.34%77.33M
27.86%67.09M
33.65%67.63M
30.88%52.47M
1.04%50.6M
65.98%40.09M
44.36%50.08M
-14.07%24.15M
7.08%34.69M
Tax payable
167.98%459.83K
4.37%199.04K
-47.04%171.59K
-64.22%190.71K
15,469.34%324K
-2.90%532.98K
-98.18%2.08K
0.95%548.93K
-71.76%114.34K
-15.64%543.75K
Bank loans and overdrafts
-79.27%2.47M
373.55%11.37M
398.63%11.92M
3.61%2.4M
89.53%2.39M
45.22%2.32M
-6.87%1.26M
19.38%1.6M
2.18%1.35M
36.06%1.34M
Provision-current liabilities
-77.76%199.88K
-75.82%445.49K
-70.81%898.9K
--1.84M
--3.08M
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Financial lease liabilities-current liabilities
-28.62%145.58K
4.91%176.65K
106.04%203.95K
-10.66%168.38K
-46.93%98.98K
-5.06%188.46K
174.48%186.53K
46.92%198.5K
254.66%67.96K
827.16%135.11K
Total current liabilities
-26.33%59.41M
27.25%91.92M
37.76%80.64M
34.05%72.23M
40.34%58.54M
2.78%53.89M
47.94%41.71M
42.82%52.43M
-5.56%28.2M
7.83%36.71M
Net current assets
694.15%111.35M
-54.99%8.95M
-20.80%14.02M
-32.29%19.89M
-39.74%17.71M
-14.70%29.38M
10.97%29.38M
35.61%34.44M
26.95%26.48M
14.42%25.4M
Total assets less current liabilities
207.48%133.58M
-19.18%40.59M
-11.12%43.44M
-18.08%50.22M
-21.67%48.88M
-10.66%61.31M
1.88%62.4M
10.19%68.62M
3.46%61.25M
7.42%62.28M
Non-current liabilities
Long-term bank loan
4,166.27%73.71M
-91.37%1.07M
-87.34%1.73M
-15.70%12.45M
-17.15%13.64M
-35.57%14.77M
-12.00%16.47M
18.15%22.92M
20.96%18.71M
26.95%19.4M
Financial lease liabilities-non-current liabilities
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-14.08%319.55K
1,542.73%145.58K
47.22%371.94K
-91.78%8.86K
-12.20%252.65K
-22.54%107.84K
27.53%287.74K
417.19%139.22K
1,177.41%225.62K
Deferred tax liability
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----
----
----
-2.76%92.6K
-24.43%92.6K
2.79%95.23K
-12.72%122.53K
-51.35%92.65K
-36.61%140.39K
Special items of non-current liabilities
-52.50%126.76K
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-12.04%266.89K
----
34.79%303.43K
----
16.71%225.12K
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--192.88K
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Total non-current liabilities
3,350.00%73.84M
-89.12%1.39M
-84.76%2.14M
-15.16%12.82M
-16.85%14.05M
-35.23%15.11M
-11.71%16.9M
18.04%23.33M
21.99%19.14M
27.35%19.77M
Total liabilities
60.95%133.25M
9.71%93.31M
14.05%82.78M
23.27%85.05M
23.85%72.59M
-8.92%69M
23.82%58.61M
34.14%75.76M
3.93%47.33M
13.95%56.47M
Total assets less total liabilities
44.64%59.74M
4.79%39.2M
18.58%41.3M
-19.04%37.4M
-23.46%34.83M
2.00%46.2M
8.05%45.5M
6.54%45.29M
-3.22%42.11M
0.13%42.51M
Total equity and non-current liabilities
207.48%133.58M
-19.18%40.59M
-11.12%43.44M
-18.08%50.22M
-21.67%48.88M
-10.66%61.31M
1.88%62.4M
10.19%68.62M
3.46%61.25M
7.42%62.28M
Equity
Share capital
0.00%1.39M
0.00%1.39M
0.00%1.39M
0.00%1.39M
0.00%1.39M
0.00%1.39M
0.00%1.39M
0.00%1.39M
0.00%1.39M
0.00%1.39M
Reserve
7.35%42.84M
4.98%37.81M
19.35%39.91M
-19.63%36.01M
-24.20%33.44M
2.06%44.81M
8.33%44.12M
6.76%43.9M
-3.33%40.72M
0.13%41.12M
Shareholders' Equity
7.10%44.23M
4.79%39.2M
18.58%41.3M
-19.04%37.4M
-23.46%34.83M
2.00%46.2M
8.05%45.5M
6.54%45.29M
-3.22%42.11M
0.13%42.51M
Non-controlling interest
--15.5M
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Total equity
44.64%59.74M
4.79%39.2M
18.58%41.3M
-19.04%37.4M
-23.46%34.83M
2.00%46.2M
8.05%45.5M
6.54%45.29M
-3.22%42.11M
0.13%42.51M
Total equity and total liabilities
55.52%192.98M
8.21%132.51M
15.52%124.09M
6.31%122.46M
3.17%107.42M
-4.84%115.19M
16.40%104.11M
22.29%121.05M
0.44%89.45M
7.57%98.98M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
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
--
Deloitte & Touche
--
Deloitte & Touche
--
Deloitte & Touche
--
Deloitte & Touche
(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
Developing and for sale properties --86.59M------------------------------------
Accounts receivable -82.27%1.72M38.67%8.91M1,190.40%9.7M92.59%6.43M-84.26%751.91K-18.25%3.34M127.27%4.78M-42.55%4.08M28.50%2.1M25.97%7.11M
Related party payments receivable ------------0.00%1820.00%182-99.94%1820.00%182154,321.98%281.05K-99.91%182-99.99%182
Payments receivable from contract clients-current assets ----------------------------32.21%33.25M----66.50%25.15M
Advance deposits and other receivables -9.18%5.44M-59.20%4.42M-54.36%5.99M112.70%10.85M259.20%13.13M10.28%5.1M-22.73%3.66M81.93%4.62M340.86%4.73M46.30%2.54M
Cash and equivalents 71.48%57.16M89.68%56.7M47.88%33.33M-19.52%29.89M-22.26%22.54M7.77%37.14M0.46%28.99M26.91%34.47M3.49%28.86M-15.98%27.16M
Secured deposit ----------------------------------988.77K----
Short-term investment --------------------------10.01M------------
Special items of current assets 10,231.73%7.96M13.63%71.85K147.59%77.08K-53.36%63.23K-76.43%31.13K-98.67%135.59K-9.13%132.1K6,732.23%10.16M--145.38K--148.76K
Total current assets 80.38%170.76M9.49%100.87M24.16%94.67M10.64%92.13M7.24%76.24M-4.15%83.27M30.04%71.1M39.87%86.87M7.81%54.67M10.43%62.11M
Non-current assets
Property, plant and equipment -11.74%11.89M-10.54%12.64M-7.39%13.47M-4.65%14.14M-2.95%14.55M-5.17%14.83M-7.25%14.99M-7.77%15.63M-9.13%16.16M-9.08%16.95M
Investment property -57.19%6.46M-4.74%14.73M-4.63%15.1M-4.52%15.46M-4.42%15.83M-4.33%16.19M-4.24%16.56M-4.15%16.93M-4.13%17.29M20.87%17.66M
Advance payment 5,602.42%2.83M--796.14K-83.90%49.6K-----58.84%308.14K-58.84%308.14K6.96%748.7K-55.67%748.7K-70.20%700K-28.11%1.69M
Intangible assets 0.00%380K0.00%380K0.00%380K0.00%380K0.00%380K117.14%380K117.14%380K0.00%175K0.00%175K0.00%175K
Other illiquid assets -64.43%29.64K-59.36%31.01K469.83%83.3K227.69%76.32K-61.50%14.62K-92.02%23.29K-73.23%37.97K36.38%291.75K--141.83K--213.92K
Special items of non-current assets --488K--2.83M--------------------------------
Total non-current assets -24.47%22.22M4.31%31.64M-5.63%29.42M-5.01%30.33M-5.58%31.17M-6.59%31.93M-5.05%33.02M-7.32%34.18M-9.32%34.77M3.07%36.88M
Total assets 55.52%192.98M8.21%132.51M15.52%124.09M6.31%122.46M3.17%107.42M-4.84%115.19M16.40%104.11M22.29%121.05M0.44%89.45M7.57%98.98M
Liabilities
Current liabilities
Accounts payable -25.02%50.3M14.34%77.33M27.86%67.09M33.65%67.63M30.88%52.47M1.04%50.6M65.98%40.09M44.36%50.08M-14.07%24.15M7.08%34.69M
Tax payable 167.98%459.83K4.37%199.04K-47.04%171.59K-64.22%190.71K15,469.34%324K-2.90%532.98K-98.18%2.08K0.95%548.93K-71.76%114.34K-15.64%543.75K
Bank loans and overdrafts -79.27%2.47M373.55%11.37M398.63%11.92M3.61%2.4M89.53%2.39M45.22%2.32M-6.87%1.26M19.38%1.6M2.18%1.35M36.06%1.34M
Provision-current liabilities -77.76%199.88K-75.82%445.49K-70.81%898.9K--1.84M--3.08M--------------------
Financial lease liabilities-current liabilities -28.62%145.58K4.91%176.65K106.04%203.95K-10.66%168.38K-46.93%98.98K-5.06%188.46K174.48%186.53K46.92%198.5K254.66%67.96K827.16%135.11K
Total current liabilities -26.33%59.41M27.25%91.92M37.76%80.64M34.05%72.23M40.34%58.54M2.78%53.89M47.94%41.71M42.82%52.43M-5.56%28.2M7.83%36.71M
Net current assets 694.15%111.35M-54.99%8.95M-20.80%14.02M-32.29%19.89M-39.74%17.71M-14.70%29.38M10.97%29.38M35.61%34.44M26.95%26.48M14.42%25.4M
Total assets less current liabilities 207.48%133.58M-19.18%40.59M-11.12%43.44M-18.08%50.22M-21.67%48.88M-10.66%61.31M1.88%62.4M10.19%68.62M3.46%61.25M7.42%62.28M
Non-current liabilities
Long-term bank loan 4,166.27%73.71M-91.37%1.07M-87.34%1.73M-15.70%12.45M-17.15%13.64M-35.57%14.77M-12.00%16.47M18.15%22.92M20.96%18.71M26.95%19.4M
Financial lease liabilities-non-current liabilities -----14.08%319.55K1,542.73%145.58K47.22%371.94K-91.78%8.86K-12.20%252.65K-22.54%107.84K27.53%287.74K417.19%139.22K1,177.41%225.62K
Deferred tax liability -----------------2.76%92.6K-24.43%92.6K2.79%95.23K-12.72%122.53K-51.35%92.65K-36.61%140.39K
Special items of non-current liabilities -52.50%126.76K-----12.04%266.89K----34.79%303.43K----16.71%225.12K------192.88K----
Total non-current liabilities 3,350.00%73.84M-89.12%1.39M-84.76%2.14M-15.16%12.82M-16.85%14.05M-35.23%15.11M-11.71%16.9M18.04%23.33M21.99%19.14M27.35%19.77M
Total liabilities 60.95%133.25M9.71%93.31M14.05%82.78M23.27%85.05M23.85%72.59M-8.92%69M23.82%58.61M34.14%75.76M3.93%47.33M13.95%56.47M
Total assets less total liabilities 44.64%59.74M4.79%39.2M18.58%41.3M-19.04%37.4M-23.46%34.83M2.00%46.2M8.05%45.5M6.54%45.29M-3.22%42.11M0.13%42.51M
Total equity and non-current liabilities 207.48%133.58M-19.18%40.59M-11.12%43.44M-18.08%50.22M-21.67%48.88M-10.66%61.31M1.88%62.4M10.19%68.62M3.46%61.25M7.42%62.28M
Equity
Share capital 0.00%1.39M0.00%1.39M0.00%1.39M0.00%1.39M0.00%1.39M0.00%1.39M0.00%1.39M0.00%1.39M0.00%1.39M0.00%1.39M
Reserve 7.35%42.84M4.98%37.81M19.35%39.91M-19.63%36.01M-24.20%33.44M2.06%44.81M8.33%44.12M6.76%43.9M-3.33%40.72M0.13%41.12M
Shareholders' Equity 7.10%44.23M4.79%39.2M18.58%41.3M-19.04%37.4M-23.46%34.83M2.00%46.2M8.05%45.5M6.54%45.29M-3.22%42.11M0.13%42.51M
Non-controlling interest --15.5M------------------------------------
Total equity 44.64%59.74M4.79%39.2M18.58%41.3M-19.04%37.4M-23.46%34.83M2.00%46.2M8.05%45.5M6.54%45.29M-3.22%42.11M0.13%42.51M
Total equity and total liabilities 55.52%192.98M8.21%132.51M15.52%124.09M6.31%122.46M3.17%107.42M-4.84%115.19M16.40%104.11M22.29%121.05M0.44%89.45M7.57%98.98M
Currency Unit SGDSGDSGDSGDSGDSGDSGDSGDSGDSGD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Deloitte & Touche--Deloitte & Touche--Deloitte & Touche--Deloitte & Touche--Deloitte & Touche

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

Analyst Rating

No Data

Price Target

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Heat List
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