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01910 SAMSONITE

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  • 18.080
  • -0.220-1.20%
Not Open Nov 6 16:08 CST
25.71BMarket Cap7.68P/E (TTM)

SAMSONITE Key Stats

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YOY yoy
Hide blank lines yoy
(Q6)Jun 30, 2024
(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
(Q9)Sep 30, 2022
(Q6)Jun 30, 2022
(Q3)Mar 31, 2022
Cash flow from operating activities
Earning before tax
4.49%179.1M
7.87%90.5M
33.11%450.3M
119.94%294.5M
150.22%171.4M
295.75%83.9M
1,339.57%338.3M
192.47%133.9M
148.17%68.5M
129.78%21.2M
Profit adjustment
Interest expense - adjustment
-3.46%64.2M
-0.61%32.6M
16.36%133M
18.65%99.9M
22.24%66.5M
17.56%32.8M
-10.63%114.3M
-15.21%84.2M
-22.84%54.4M
-22.93%27.9M
Impairment and provisions:
---5.1M
----
-16.34%-84M
----
----
----
-128.48%-72.2M
-64.57%10.7M
-60.60%11.9M
--800K
-Other impairments and provisions
---5.1M
----
-16.34%-84M
----
----
----
-128.48%-72.2M
-64.57%10.7M
-60.60%11.9M
--800K
Revaluation surplus:
-109.76%-800K
-87.50%500K
21.11%21.8M
54.08%15.1M
34.43%8.2M
150.00%4M
130.77%18M
308.33%9.8M
710.00%6.1M
169.57%1.6M
-Other fair value changes
-109.76%-800K
-87.50%500K
21.11%21.8M
54.08%15.1M
34.43%8.2M
150.00%4M
130.77%18M
308.33%9.8M
710.00%6.1M
169.57%1.6M
Depreciation and amortization:
16.21%106.8M
17.29%52.9M
9.64%192.3M
5.74%140.1M
3.03%91.9M
-0.66%45.1M
-11.28%175.4M
-12.14%132.5M
-13.23%89.2M
-12.69%45.4M
-Depreciation
33.15%24.1M
31.46%11.7M
14.04%39.8M
3.40%27.4M
0.00%18.1M
-4.30%8.9M
-23.80%34.9M
-25.98%26.5M
-28.17%18.1M
-28.46%9.3M
-Amortization of intangible assets
9.68%10.2M
8.70%5M
-14.80%19M
-19.54%14M
-20.51%9.3M
-23.33%4.6M
-30.31%22.3M
-28.40%17.4M
-28.66%11.7M
-26.83%6M
Financial expense
115.91%9.5M
----
--4.4M
--4.4M
--4.4M
----
----
----
----
----
Special items
9.91%73.2M
26.64%32.8M
292.13%149.4M
55.33%93.2M
88.14%66.6M
137.61%25.9M
186.00%38.1M
489.61%60M
183.69%35.4M
218.48%10.9M
Adjustment items
---100K
----
----
---100K
----
----
----
----
----
----
Operating profit before the change of operating capital
4.35%426.8M
9.18%209.3M
41.72%867.2M
50.10%647.1M
54.05%409M
77.83%191.7M
96.69%611.9M
182.50%431.1M
530.64%265.5M
1,860.00%107.8M
Change of operating capital
Inventory (increase) decrease
171.89%37.6M
273.56%15.1M
97.91%-7.3M
75.27%-59.8M
61.37%-52.3M
85.33%-8.7M
-528.43%-349.6M
-341.32%-241.8M
-386.26%-135.4M
-552.67%-59.3M
Accounts receivable (increase)decrease
-46.09%-37.4M
-40.52%-21.5M
65.73%-33M
37.09%-60.9M
53.37%-25.6M
-363.64%-15.3M
-29.26%-96.3M
-112.28%-96.8M
-91.96%-54.9M
-127.97%-3.3M
Accounts payable increase (decrease)
-51.83%-78.8M
28.03%-106.3M
-113.96%-41.5M
-117.73%-37.7M
-166.71%-51.9M
-533.91%-147.7M
64.71%297.3M
295.90%212.6M
2,188.24%77.8M
-95.80%-23.3M
Special items for working capital changes
-111.43%-7.4M
-23.81%3.2M
85.77%-3.8M
69.89%-5.3M
82.50%-3.5M
255.56%4.2M
-585.45%-26.7M
-1,077.78%-17.6M
-224.22%-20M
-152.94%-2.7M
Cash  from business operations
23.61%340.8M
312.40%99.8M
79.02%781.6M
68.14%483.4M
107.29%275.7M
26.04%24.2M
-13.41%436.6M
9.44%287.5M
65.63%133M
-18.64%19.2M
Other taxs
-50.26%-85.2M
-18.31%-16.8M
-134.98%-118.9M
-178.25%-85.7M
-187.82%-56.7M
-21.37%-14.2M
-2,911.11%-50.6M
-65.59%-30.8M
-18.67%-19.7M
5.65%-11.7M
Interest paid - operating
-0.64%-62.8M
0.71%-28M
-18.65%-128.5M
-22.67%-93.6M
-22.59%-62.4M
-25.33%-28.2M
8.92%-108.3M
14.08%-76.3M
21.93%-50.9M
23.47%-22.5M
Adjustment items of business operations
--100K
----
----
----
----
----
----
----
----
----
Net cash from operations
23.18%192.9M
402.20%55M
92.37%534.2M
68.57%304.1M
150.96%156.6M
-21.33%-18.2M
-28.26%277.7M
16.16%180.4M
4,260.00%62.4M
17.58%-15M
Cash flow from investment activities
Purchase of fixed assets
-60.31%-41.2M
-36.08%-13.2M
-75.32%-110.1M
-76.62%-49.1M
-103.97%-25.7M
-102.08%-9.7M
-201.92%-62.8M
-379.31%-27.8M
-173.91%-12.6M
-152.63%-4.8M
Purchase of intangible assets
----
----
----
----
----
----
----
-160.00%-5.2M
-121.43%-3.1M
-400.00%-1M
Net cash from investment operations
-60.31%-41.2M
-36.08%-13.2M
-75.32%-110.1M
-48.79%-49.1M
-63.69%-25.7M
-67.24%-9.7M
-768.09%-62.8M
-220.00%-33M
-161.67%-15.7M
-176.19%-5.8M
Net cash before financing
15.89%151.7M
249.82%41.8M
97.35%424.1M
73.00%255M
180.30%130.9M
-34.13%-27.9M
-45.80%214.9M
-19.37%147.4M
722.67%46.7M
-2.46%-20.8M
Cash flow from financing activities
New borrowing
-65.04%520.5M
2,350.00%18M
-1,336.89%-127.4M
-1,093.48%-91.4M
22,804.62%1.49B
-132.00%-800K
-27.46%10.3M
820.00%9.2M
100.89%6.5M
31.58%2.5M
Refund
61.95%-595.5M
----
----
----
---1.57B
----
----
66.25%-83.7M
----
-606.10%-57.9M
Issuing shares
228.42%31.2M
179.12%25.4M
1,065.22%26.8M
1,944.44%18.4M
--9.5M
--9.1M
--2.3M
--900K
----
----
Dividends paid - financing
-65.67%-11.1M
-366.67%-5.6M
-14.55%-12.6M
-56.92%-10.2M
-103.03%-6.7M
-20.00%-1.2M
-129.17%-11M
-96.97%-6.5M
-43.48%-3.3M
---1M
Other items of the financing business
384.67%85.4M
49.61%-6.5M
87.34%-95.1M
78.93%-95.1M
86.41%-30M
91.40%-12.9M
-405.99%-751.4M
-214.49%-451.3M
-156.36%-220.8M
---150M
Adjustment item of financing business
----
--100K
--100K
---100K
----
----
----
----
----
----
Net cash from financing operations
76.84%-39.6M
89.82%-4M
60.53%-347.8M
55.77%-281.2M
40.54%-171M
83.83%-39.3M
-59.85%-881.1M
-23.72%-635.8M
32.38%-287.6M
-381.19%-243M
Effect of rate
-512.50%-13.2M
-512.50%-9.9M
119.38%4.4M
82.20%-6.3M
116.58%3.2M
160.00%2.4M
-46.45%-22.7M
-240.38%-35.4M
-382.50%-19.3M
36.51%-4M
Net Cash
379.55%112.1M
156.25%37.8M
111.45%76.3M
94.64%-26.2M
83.35%-40.1M
74.53%-67.2M
-330.64%-666.2M
-47.51%-488.4M
44.34%-240.9M
-272.60%-263.8M
Begining period cash
12.69%716.6M
12.69%716.6M
-52.00%635.9M
-52.00%635.9M
-52.00%635.9M
-52.00%635.9M
-11.38%1.32B
-11.38%1.32B
-11.38%1.32B
-11.38%1.32B
Cash at the end
36.14%815.5M
30.36%744.5M
12.69%716.6M
-24.67%603.4M
-43.73%599M
-45.97%571.1M
-52.00%635.9M
-30.56%801M
0.60%1.06B
-25.45%1.06B
Cash balance analysis
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
Auditor
--
--
KPMG LLP
--
--
--
KPMG LLP
--
--
--
(Q6)Jun 30, 2024(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022(Q9)Sep 30, 2022(Q6)Jun 30, 2022(Q3)Mar 31, 2022
Cash flow from operating activities
Earning before tax 4.49%179.1M7.87%90.5M33.11%450.3M119.94%294.5M150.22%171.4M295.75%83.9M1,339.57%338.3M192.47%133.9M148.17%68.5M129.78%21.2M
Profit adjustment
Interest expense - adjustment -3.46%64.2M-0.61%32.6M16.36%133M18.65%99.9M22.24%66.5M17.56%32.8M-10.63%114.3M-15.21%84.2M-22.84%54.4M-22.93%27.9M
Impairment and provisions: ---5.1M-----16.34%-84M-------------128.48%-72.2M-64.57%10.7M-60.60%11.9M--800K
-Other impairments and provisions ---5.1M-----16.34%-84M-------------128.48%-72.2M-64.57%10.7M-60.60%11.9M--800K
Revaluation surplus: -109.76%-800K-87.50%500K21.11%21.8M54.08%15.1M34.43%8.2M150.00%4M130.77%18M308.33%9.8M710.00%6.1M169.57%1.6M
-Other fair value changes -109.76%-800K-87.50%500K21.11%21.8M54.08%15.1M34.43%8.2M150.00%4M130.77%18M308.33%9.8M710.00%6.1M169.57%1.6M
Depreciation and amortization: 16.21%106.8M17.29%52.9M9.64%192.3M5.74%140.1M3.03%91.9M-0.66%45.1M-11.28%175.4M-12.14%132.5M-13.23%89.2M-12.69%45.4M
-Depreciation 33.15%24.1M31.46%11.7M14.04%39.8M3.40%27.4M0.00%18.1M-4.30%8.9M-23.80%34.9M-25.98%26.5M-28.17%18.1M-28.46%9.3M
-Amortization of intangible assets 9.68%10.2M8.70%5M-14.80%19M-19.54%14M-20.51%9.3M-23.33%4.6M-30.31%22.3M-28.40%17.4M-28.66%11.7M-26.83%6M
Financial expense 115.91%9.5M------4.4M--4.4M--4.4M--------------------
Special items 9.91%73.2M26.64%32.8M292.13%149.4M55.33%93.2M88.14%66.6M137.61%25.9M186.00%38.1M489.61%60M183.69%35.4M218.48%10.9M
Adjustment items ---100K-----------100K------------------------
Operating profit before the change of operating capital 4.35%426.8M9.18%209.3M41.72%867.2M50.10%647.1M54.05%409M77.83%191.7M96.69%611.9M182.50%431.1M530.64%265.5M1,860.00%107.8M
Change of operating capital
Inventory (increase) decrease 171.89%37.6M273.56%15.1M97.91%-7.3M75.27%-59.8M61.37%-52.3M85.33%-8.7M-528.43%-349.6M-341.32%-241.8M-386.26%-135.4M-552.67%-59.3M
Accounts receivable (increase)decrease -46.09%-37.4M-40.52%-21.5M65.73%-33M37.09%-60.9M53.37%-25.6M-363.64%-15.3M-29.26%-96.3M-112.28%-96.8M-91.96%-54.9M-127.97%-3.3M
Accounts payable increase (decrease) -51.83%-78.8M28.03%-106.3M-113.96%-41.5M-117.73%-37.7M-166.71%-51.9M-533.91%-147.7M64.71%297.3M295.90%212.6M2,188.24%77.8M-95.80%-23.3M
Special items for working capital changes -111.43%-7.4M-23.81%3.2M85.77%-3.8M69.89%-5.3M82.50%-3.5M255.56%4.2M-585.45%-26.7M-1,077.78%-17.6M-224.22%-20M-152.94%-2.7M
Cash  from business operations 23.61%340.8M312.40%99.8M79.02%781.6M68.14%483.4M107.29%275.7M26.04%24.2M-13.41%436.6M9.44%287.5M65.63%133M-18.64%19.2M
Other taxs -50.26%-85.2M-18.31%-16.8M-134.98%-118.9M-178.25%-85.7M-187.82%-56.7M-21.37%-14.2M-2,911.11%-50.6M-65.59%-30.8M-18.67%-19.7M5.65%-11.7M
Interest paid - operating -0.64%-62.8M0.71%-28M-18.65%-128.5M-22.67%-93.6M-22.59%-62.4M-25.33%-28.2M8.92%-108.3M14.08%-76.3M21.93%-50.9M23.47%-22.5M
Adjustment items of business operations --100K------------------------------------
Net cash from operations 23.18%192.9M402.20%55M92.37%534.2M68.57%304.1M150.96%156.6M-21.33%-18.2M-28.26%277.7M16.16%180.4M4,260.00%62.4M17.58%-15M
Cash flow from investment activities
Purchase of fixed assets -60.31%-41.2M-36.08%-13.2M-75.32%-110.1M-76.62%-49.1M-103.97%-25.7M-102.08%-9.7M-201.92%-62.8M-379.31%-27.8M-173.91%-12.6M-152.63%-4.8M
Purchase of intangible assets -----------------------------160.00%-5.2M-121.43%-3.1M-400.00%-1M
Net cash from investment operations -60.31%-41.2M-36.08%-13.2M-75.32%-110.1M-48.79%-49.1M-63.69%-25.7M-67.24%-9.7M-768.09%-62.8M-220.00%-33M-161.67%-15.7M-176.19%-5.8M
Net cash before financing 15.89%151.7M249.82%41.8M97.35%424.1M73.00%255M180.30%130.9M-34.13%-27.9M-45.80%214.9M-19.37%147.4M722.67%46.7M-2.46%-20.8M
Cash flow from financing activities
New borrowing -65.04%520.5M2,350.00%18M-1,336.89%-127.4M-1,093.48%-91.4M22,804.62%1.49B-132.00%-800K-27.46%10.3M820.00%9.2M100.89%6.5M31.58%2.5M
Refund 61.95%-595.5M---------------1.57B--------66.25%-83.7M-----606.10%-57.9M
Issuing shares 228.42%31.2M179.12%25.4M1,065.22%26.8M1,944.44%18.4M--9.5M--9.1M--2.3M--900K--------
Dividends paid - financing -65.67%-11.1M-366.67%-5.6M-14.55%-12.6M-56.92%-10.2M-103.03%-6.7M-20.00%-1.2M-129.17%-11M-96.97%-6.5M-43.48%-3.3M---1M
Other items of the financing business 384.67%85.4M49.61%-6.5M87.34%-95.1M78.93%-95.1M86.41%-30M91.40%-12.9M-405.99%-751.4M-214.49%-451.3M-156.36%-220.8M---150M
Adjustment item of financing business ------100K--100K---100K------------------------
Net cash from financing operations 76.84%-39.6M89.82%-4M60.53%-347.8M55.77%-281.2M40.54%-171M83.83%-39.3M-59.85%-881.1M-23.72%-635.8M32.38%-287.6M-381.19%-243M
Effect of rate -512.50%-13.2M-512.50%-9.9M119.38%4.4M82.20%-6.3M116.58%3.2M160.00%2.4M-46.45%-22.7M-240.38%-35.4M-382.50%-19.3M36.51%-4M
Net Cash 379.55%112.1M156.25%37.8M111.45%76.3M94.64%-26.2M83.35%-40.1M74.53%-67.2M-330.64%-666.2M-47.51%-488.4M44.34%-240.9M-272.60%-263.8M
Begining period cash 12.69%716.6M12.69%716.6M-52.00%635.9M-52.00%635.9M-52.00%635.9M-52.00%635.9M-11.38%1.32B-11.38%1.32B-11.38%1.32B-11.38%1.32B
Cash at the end 36.14%815.5M30.36%744.5M12.69%716.6M-24.67%603.4M-43.73%599M-45.97%571.1M-52.00%635.9M-30.56%801M0.60%1.06B-25.45%1.06B
Cash balance analysis
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ----Unqualified Opinion------Unqualified Opinion------
Auditor ----KPMG LLP------KPMG LLP------

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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