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01856 ERNEST BOREL

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  • 1.180
  • +0.190+19.19%
Not Open Apr 1 16:08 CST
425.10MMarket Cap-8.87P/E (TTM)

ERNEST BOREL Key Stats

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YOY yoy
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(FY)Dec 31, 2024
(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
Assets
Current assets
Inventory
-11.29%288.12M
0.64%318.06M
0.78%324.78M
-11.63%316.04M
-13.52%322.28M
-0.97%357.64M
3.63%372.68M
10.20%361.14M
10.01%359.61M
-2.18%327.71M
Accounts receivable
7.00%142.53M
-4.52%132.78M
49.80%133.21M
161.53%139.07M
89.91%88.92M
-4.59%53.17M
-13.37%46.82M
52.50%55.73M
28.77%54.05M
-17.54%36.55M
Cash and equivalents
73.03%10.23M
218.13%9.67M
-5.79%5.91M
-66.60%3.04M
-17.28%6.27M
-62.91%9.1M
-58.78%7.59M
49.88%24.54M
-1.78%18.4M
-34.16%16.37M
Secured deposit
----
-23.08%5M
-23.08%5M
--6.5M
--6.5M
----
----
----
7.46%1.35M
--1.24M
Financial assets at fair value-current assets
-23.73%24.72M
----
--32.41M
----
----
----
----
----
----
----
Total current assets
-7.12%465.6M
0.19%465.52M
18.24%501.31M
10.65%464.65M
-0.73%423.97M
-4.87%419.91M
-1.46%427.08M
15.59%441.41M
11.46%433.41M
-5.52%381.87M
Non-current assets
Property, plant and equipment
-23.57%43.65M
-17.42%49.31M
147.31%57.11M
76.39%59.72M
-41.42%23.09M
-15.31%33.86M
-2.26%39.42M
40.37%39.98M
52.49%40.33M
-43.79%28.48M
Advance payment
-33.27%991K
-21.26%1.49M
68.56%1.49M
114.07%1.89M
0.00%881K
-41.54%881K
-7.75%881K
--1.51M
--955K
----
Intangible assets
-38.04%36.8M
-17.45%55.2M
--59.39M
--66.87M
----
----
----
----
----
----
Goodwill
----
-35.77%27.09M
--27.93M
--42.18M
----
----
----
----
----
----
Deferred tax assets
-38.33%4.54M
-0.78%7.26M
--7.36M
--7.32M
----
----
----
----
----
----
Special items of non-current assets
0.43%1.42M
--1.42M
--1.41M
----
----
----
----
----
----
----
Total non-current assets
-43.50%87.4M
-20.34%141.77M
545.26%154.69M
412.32%177.97M
-40.51%23.97M
-16.26%34.74M
-2.38%40.3M
45.66%41.48M
56.10%41.29M
-43.79%28.48M
Total assets
-15.70%553M
-5.50%607.28M
46.45%656M
41.34%642.61M
-4.16%447.95M
-5.85%454.65M
-1.54%467.38M
17.68%482.89M
14.30%474.7M
-9.79%410.35M
Liabilities
Current liabilities
Accounts payable
0.80%67.79M
-15.44%53.41M
99.61%67.25M
47.57%63.17M
-12.43%33.69M
58.46%42.81M
58.97%38.47M
67.66%27.01M
-27.22%24.2M
-30.10%16.11M
Tax payable
-16.55%1.23M
-14.07%1.26M
-1.67%1.47M
3.39%1.46M
2.75%1.49M
-44.34%1.42M
-43.79%1.45M
5.21%2.54M
8.25%2.59M
0.96%2.42M
Amounts payable to associated parties-current liabilities
10.65%316.42M
8.65%283.56M
14.75%285.98M
-1.36%260.97M
-6.75%249.22M
0.64%264.57M
11.23%267.25M
26.03%262.89M
16.71%240.26M
6.67%208.6M
Bank loans and overdrafts
-35.59%19.92M
-19.65%28.43M
5.22%30.93M
152.18%35.38M
140.57%29.39M
7.91%14.03M
-36.97%12.22M
-25.49%13M
--19.38M
--17.45M
Financial lease liabilities-current liabilities
-40.63%4.53M
-35.55%5.52M
54.51%7.63M
58.64%8.57M
-3.25%4.94M
-4.24%5.4M
4.10%5.1M
-18.48%5.64M
-23.26%4.9M
-1.82%6.92M
Special items of current liabilities
----
----
----
--11.59M
----
----
----
----
----
----
Total current liabilities
4.23%409.88M
1.45%386.65M
23.38%393.24M
16.12%381.13M
-1.78%318.73M
5.51%328.22M
11.38%324.49M
23.70%311.09M
17.52%291.33M
10.29%251.49M
Net current assets
-48.44%55.72M
-5.57%78.87M
2.68%108.07M
-8.92%83.51M
2.58%105.24M
-29.64%91.69M
-27.79%102.59M
-0.04%130.32M
0.78%142.08M
-25.99%130.38M
Total assets less current liabilities
-45.53%143.12M
-15.62%220.63M
103.35%262.76M
106.82%261.48M
-9.57%129.22M
-26.41%126.43M
-22.07%142.89M
8.15%171.81M
9.52%183.37M
-29.97%158.86M
Non-current liabilities
Long-term bank loan
-22.73%1.79M
-14.60%2.17M
-33.10%2.31M
-17.53%2.54M
-0.89%3.46M
-26.90%3.08M
-20.63%3.49M
3.49%4.22M
--4.4M
--4.07M
Long-term accounts payable
----
----
----
--66.1M
----
----
----
----
----
----
Financial lease liabilities-non-current liabilities
-23.32%11.84M
5.72%13.58M
435.84%15.44M
124.08%12.84M
-65.84%2.88M
-45.73%5.73M
1.27%8.44M
501.08%10.56M
175.55%8.33M
-69.38%1.76M
Deferred tax liability
-11.69%26.82M
-1.08%30.88M
115.13%30.37M
123.37%31.21M
0.36%14.12M
-0.80%13.97M
-1.38%14.07M
-9.81%14.09M
-29.93%14.27M
-22.74%15.62M
Retirement benefit responsibility
-60.53%763K
-17.24%1.23M
111.26%1.93M
120.56%1.49M
-77.81%915K
-80.97%676K
-9.00%4.12M
7.70%3.55M
25.27%4.53M
-16.99%3.3M
Special items of non-current liabilities
----
--18.31M
--44.91M
----
----
----
----
----
----
----
Total non-current liabilities
-56.60%41.22M
-42.05%66.17M
344.30%94.97M
386.68%114.19M
-29.03%21.38M
-27.62%23.46M
-4.46%30.12M
30.98%32.42M
16.76%31.52M
-17.31%24.75M
Total liabilities
-7.60%451.1M
-8.58%452.82M
43.55%488.21M
40.84%495.32M
-4.09%340.1M
2.38%351.68M
9.84%354.61M
24.35%343.5M
17.45%322.85M
7.08%276.24M
Total assets less total liabilities
-39.27%101.91M
4.87%154.46M
55.59%167.79M
43.05%147.29M
-4.37%107.84M
-26.13%102.97M
-25.73%112.78M
3.94%139.39M
8.13%151.84M
-31.89%134.11M
Total equity and non-current liabilities
-45.53%143.12M
-15.62%220.63M
103.35%262.76M
106.82%261.48M
-9.57%129.22M
-26.41%126.43M
-22.07%142.89M
8.15%171.81M
9.52%183.37M
-29.97%158.86M
Equity
Share capital
0.00%3.6M
0.00%3.6M
3.71%3.6M
3.71%3.6M
0.00%3.47M
0.00%3.47M
0.00%3.47M
0.00%3.47M
0.00%3.47M
0.00%3.47M
Reserve
-40.13%98.3M
4.99%150.86M
57.32%164.19M
44.42%143.69M
-4.51%104.37M
-26.80%99.5M
-26.33%109.3M
4.04%135.92M
8.34%148.37M
-32.46%130.64M
Shareholders' Equity
-39.27%101.91M
4.87%154.46M
55.59%167.79M
43.05%147.29M
-4.37%107.84M
-26.13%102.97M
-25.73%112.78M
3.94%139.39M
8.13%151.84M
-31.89%134.11M
Total equity
-39.27%101.91M
4.87%154.46M
55.59%167.79M
43.05%147.29M
-4.37%107.84M
-26.13%102.97M
-25.73%112.78M
3.94%139.39M
8.13%151.84M
-31.89%134.11M
Total equity and total liabilities
-15.70%553M
-5.50%607.28M
46.45%656M
41.34%642.61M
-4.16%447.95M
-5.85%454.65M
-1.54%467.38M
17.68%482.89M
14.30%474.7M
-9.79%410.35M
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
--
Auditor
--
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Lixin Dehao Certified Public Accountants Co., Ltd.
--
(FY)Dec 31, 2024(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
Assets
Current assets
Inventory -11.29%288.12M0.64%318.06M0.78%324.78M-11.63%316.04M-13.52%322.28M-0.97%357.64M3.63%372.68M10.20%361.14M10.01%359.61M-2.18%327.71M
Accounts receivable 7.00%142.53M-4.52%132.78M49.80%133.21M161.53%139.07M89.91%88.92M-4.59%53.17M-13.37%46.82M52.50%55.73M28.77%54.05M-17.54%36.55M
Cash and equivalents 73.03%10.23M218.13%9.67M-5.79%5.91M-66.60%3.04M-17.28%6.27M-62.91%9.1M-58.78%7.59M49.88%24.54M-1.78%18.4M-34.16%16.37M
Secured deposit -----23.08%5M-23.08%5M--6.5M--6.5M------------7.46%1.35M--1.24M
Financial assets at fair value-current assets -23.73%24.72M------32.41M----------------------------
Total current assets -7.12%465.6M0.19%465.52M18.24%501.31M10.65%464.65M-0.73%423.97M-4.87%419.91M-1.46%427.08M15.59%441.41M11.46%433.41M-5.52%381.87M
Non-current assets
Property, plant and equipment -23.57%43.65M-17.42%49.31M147.31%57.11M76.39%59.72M-41.42%23.09M-15.31%33.86M-2.26%39.42M40.37%39.98M52.49%40.33M-43.79%28.48M
Advance payment -33.27%991K-21.26%1.49M68.56%1.49M114.07%1.89M0.00%881K-41.54%881K-7.75%881K--1.51M--955K----
Intangible assets -38.04%36.8M-17.45%55.2M--59.39M--66.87M------------------------
Goodwill -----35.77%27.09M--27.93M--42.18M------------------------
Deferred tax assets -38.33%4.54M-0.78%7.26M--7.36M--7.32M------------------------
Special items of non-current assets 0.43%1.42M--1.42M--1.41M----------------------------
Total non-current assets -43.50%87.4M-20.34%141.77M545.26%154.69M412.32%177.97M-40.51%23.97M-16.26%34.74M-2.38%40.3M45.66%41.48M56.10%41.29M-43.79%28.48M
Total assets -15.70%553M-5.50%607.28M46.45%656M41.34%642.61M-4.16%447.95M-5.85%454.65M-1.54%467.38M17.68%482.89M14.30%474.7M-9.79%410.35M
Liabilities
Current liabilities
Accounts payable 0.80%67.79M-15.44%53.41M99.61%67.25M47.57%63.17M-12.43%33.69M58.46%42.81M58.97%38.47M67.66%27.01M-27.22%24.2M-30.10%16.11M
Tax payable -16.55%1.23M-14.07%1.26M-1.67%1.47M3.39%1.46M2.75%1.49M-44.34%1.42M-43.79%1.45M5.21%2.54M8.25%2.59M0.96%2.42M
Amounts payable to associated parties-current liabilities 10.65%316.42M8.65%283.56M14.75%285.98M-1.36%260.97M-6.75%249.22M0.64%264.57M11.23%267.25M26.03%262.89M16.71%240.26M6.67%208.6M
Bank loans and overdrafts -35.59%19.92M-19.65%28.43M5.22%30.93M152.18%35.38M140.57%29.39M7.91%14.03M-36.97%12.22M-25.49%13M--19.38M--17.45M
Financial lease liabilities-current liabilities -40.63%4.53M-35.55%5.52M54.51%7.63M58.64%8.57M-3.25%4.94M-4.24%5.4M4.10%5.1M-18.48%5.64M-23.26%4.9M-1.82%6.92M
Special items of current liabilities --------------11.59M------------------------
Total current liabilities 4.23%409.88M1.45%386.65M23.38%393.24M16.12%381.13M-1.78%318.73M5.51%328.22M11.38%324.49M23.70%311.09M17.52%291.33M10.29%251.49M
Net current assets -48.44%55.72M-5.57%78.87M2.68%108.07M-8.92%83.51M2.58%105.24M-29.64%91.69M-27.79%102.59M-0.04%130.32M0.78%142.08M-25.99%130.38M
Total assets less current liabilities -45.53%143.12M-15.62%220.63M103.35%262.76M106.82%261.48M-9.57%129.22M-26.41%126.43M-22.07%142.89M8.15%171.81M9.52%183.37M-29.97%158.86M
Non-current liabilities
Long-term bank loan -22.73%1.79M-14.60%2.17M-33.10%2.31M-17.53%2.54M-0.89%3.46M-26.90%3.08M-20.63%3.49M3.49%4.22M--4.4M--4.07M
Long-term accounts payable --------------66.1M------------------------
Financial lease liabilities-non-current liabilities -23.32%11.84M5.72%13.58M435.84%15.44M124.08%12.84M-65.84%2.88M-45.73%5.73M1.27%8.44M501.08%10.56M175.55%8.33M-69.38%1.76M
Deferred tax liability -11.69%26.82M-1.08%30.88M115.13%30.37M123.37%31.21M0.36%14.12M-0.80%13.97M-1.38%14.07M-9.81%14.09M-29.93%14.27M-22.74%15.62M
Retirement benefit responsibility -60.53%763K-17.24%1.23M111.26%1.93M120.56%1.49M-77.81%915K-80.97%676K-9.00%4.12M7.70%3.55M25.27%4.53M-16.99%3.3M
Special items of non-current liabilities ------18.31M--44.91M----------------------------
Total non-current liabilities -56.60%41.22M-42.05%66.17M344.30%94.97M386.68%114.19M-29.03%21.38M-27.62%23.46M-4.46%30.12M30.98%32.42M16.76%31.52M-17.31%24.75M
Total liabilities -7.60%451.1M-8.58%452.82M43.55%488.21M40.84%495.32M-4.09%340.1M2.38%351.68M9.84%354.61M24.35%343.5M17.45%322.85M7.08%276.24M
Total assets less total liabilities -39.27%101.91M4.87%154.46M55.59%167.79M43.05%147.29M-4.37%107.84M-26.13%102.97M-25.73%112.78M3.94%139.39M8.13%151.84M-31.89%134.11M
Total equity and non-current liabilities -45.53%143.12M-15.62%220.63M103.35%262.76M106.82%261.48M-9.57%129.22M-26.41%126.43M-22.07%142.89M8.15%171.81M9.52%183.37M-29.97%158.86M
Equity
Share capital 0.00%3.6M0.00%3.6M3.71%3.6M3.71%3.6M0.00%3.47M0.00%3.47M0.00%3.47M0.00%3.47M0.00%3.47M0.00%3.47M
Reserve -40.13%98.3M4.99%150.86M57.32%164.19M44.42%143.69M-4.51%104.37M-26.80%99.5M-26.33%109.3M4.04%135.92M8.34%148.37M-32.46%130.64M
Shareholders' Equity -39.27%101.91M4.87%154.46M55.59%167.79M43.05%147.29M-4.37%107.84M-26.13%102.97M-25.73%112.78M3.94%139.39M8.13%151.84M-31.89%134.11M
Total equity -39.27%101.91M4.87%154.46M55.59%167.79M43.05%147.29M-4.37%107.84M-26.13%102.97M-25.73%112.78M3.94%139.39M8.13%151.84M-31.89%134.11M
Total equity and total liabilities -15.70%553M-5.50%607.28M46.45%656M41.34%642.61M-4.16%447.95M-5.85%454.65M-1.54%467.38M17.68%482.89M14.30%474.7M-9.79%410.35M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ----Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor ----Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--Lixin Dehao Certified Public Accountants Co., Ltd.--

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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