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02356 DAHSING BANKING

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  • 7.500
  • -0.010-0.13%
Trading Dec 20 13:59 CST
10.54BMarket Cap4.92P/E (TTM)

DAHSING BANKING Key Stats

All
YOY yoy
Hide blank lines yoy
(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
Cash flow from operating activities
Earning before tax
14.65%1.15B
-32.96%2.02B
7.54%1B
51.14%3.01B
-19.24%931M
12.48%1.99B
33.89%1.15B
-18.90%1.77B
-28.13%860.97M
-22.00%2.18B
Profit adjustment
Interest (income) - adjustment
21.59%3.49B
223.10%6.35B
65.65%2.87B
3.64%1.96B
66.88%1.73B
-22.28%1.9B
-14.48%1.04B
-24.73%2.44B
-24.07%1.21B
33.79%3.24B
Interest expense - adjustment
-54.81%-3.64B
-239.20%-5.41B
-340.91%-2.35B
-51.52%-1.6B
1.59%-533.42M
55.35%-1.05B
62.61%-542.04M
15.96%-2.36B
-11.47%-1.45B
-52.70%-2.81B
Dividend (income)- adjustment
--0
--0
--0
--0
--0
--0
--0
--0
--0
13.04%23.4M
Impairment and provisions:
246.62%544.01M
-8.96%731.37M
-48.58%156.95M
114.90%803.34M
160.11%305.21M
-42.29%373.82M
-67.91%117.34M
81.05%647.79M
296.59%365.67M
52.34%357.79M
-Other impairments and provisions
246.62%544.01M
-8.96%731.37M
-48.58%156.95M
114.90%803.34M
160.11%305.21M
-42.29%373.82M
-67.91%117.34M
81.05%647.79M
296.59%365.67M
52.34%357.79M
Depreciation and amortization:
8.74%185.78M
-8.20%349.01M
-3.32%170.85M
-3.64%380.17M
-16.58%176.72M
3.62%394.53M
18.77%211.84M
3.36%380.75M
-3.27%178.36M
109.70%368.39M
-Depreciation
8.74%185.78M
-8.20%349.01M
-3.32%170.85M
-3.64%380.17M
-16.58%176.72M
3.62%394.53M
18.77%211.84M
3.36%380.75M
-3.27%178.36M
109.70%368.39M
Special items
38.37%-481.27M
-150.91%-1.28B
-201.08%-780.85M
-85.39%-511.99M
-166.59%-259.35M
23.61%-276.16M
43.28%-97.29M
-46.46%-361.52M
-33.24%-171.53M
8.34%-246.84M
Operating profit before the change of operating capital
16.76%1.24B
-32.12%2.75B
-54.69%1.07B
21.76%4.05B
25.09%2.35B
32.10%3.32B
88.49%1.88B
-19.28%2.52B
-39.31%997.81M
-11.98%3.12B
Change of operating capital
Accounts receivable (increase)decrease
140.25%472.71M
-60.47%914.38M
-93.34%196.75M
136.07%2.31B
652.89%2.96B
147.86%979.96M
-291.73%-534.63M
-1,304.34%-2.05B
-43.99%278.84M
23.63%-145.81M
Accounts payable increase (decrease)
181.68%337.43M
-194.40%-374.43M
-156.46%-413.12M
201.91%396.66M
--731.72M
89.54%-389.22M
----
-271.86%-3.72B
----
91.41%2.17B
Derivative financial instruments (increase) decrease
-1,238.64%-301.81M
116.64%616.87M
99.08%-22.55M
-196.38%-3.71B
-324.55%-2.45B
-181.76%-1.25B
-131.82%-576.6M
96.43%1.53B
174.24%1.81B
2,118.77%778.98M
Special items for working capital changes
69.76%-689.12M
4.68%-8.3B
65.90%-2.28B
-319.07%-8.7B
-170.94%-6.68B
74.48%-2.08B
35.71%-2.47B
-137.30%-8.14B
31.84%-3.84B
63.57%-3.43B
Bank deposits (increase) decrese
-298.47%-5.53B
336.85%1.97B
170.22%2.79B
-3,118.39%-831.76M
-50.88%1.03B
95.63%-25.84M
147.58%2.1B
-112.75%-591.02M
-84.34%847.62M
118.09%4.63B
Loans and payments (increase) decrese
158.01%1.68B
-183.76%-6.52B
-151.81%-2.89B
215.55%7.78B
435.94%5.58B
-968.31%-6.74B
-28.82%-1.66B
92.42%-630.52M
65.72%-1.29B
11.18%-8.32B
Financial assets at fair value (increase)decrease
1,029.73%2.41M
-77.43%1.09M
-105.77%-259K
134.11%4.82M
--4.49M
-104.29%-14.12M
----
25,685.06%328.77M
31,895.74%328.77M
-100.34%-1.29M
Special items of changes in operating assets
----
128.73%757.62M
----
131.61%331.23M
----
-321.16%-1.05B
----
-80.99%473.84M
----
325.14%2.49B
Customer's deposits increase (decrese)
-65.90%909.84M
103.45%7.44B
147.29%2.67B
-36.88%3.66B
944.32%1.08B
-24.85%5.79B
-97.97%103.3M
-20.19%7.71B
48.99%5.09B
-8.05%9.66B
Cash  from business operations
-268.65%-1.88B
-113.98%-739.97M
-75.81%1.11B
467.14%5.29B
498.37%4.6B
43.81%-1.44B
-127.31%-1.15B
-123.42%-2.57B
88.63%4.23B
549.76%10.96B
Hong Kong profits tax paid
74.51%-22.91M
14.52%-215.93M
-299.46%-89.89M
51.95%-252.61M
92.47%-22.5M
-41.94%-525.7M
8.75%-298.91M
19.51%-370.37M
28.79%-327.56M
-80.85%-460.12M
China income tax paid
-4,534.09%-1.95M
8.27%-12.31M
--44K
---13.42M
----
----
----
----
----
----
Other taxs
----
----
----
----
----
52.26%-10.68M
-10,876.19%-2.31M
24.42%-22.36M
---21K
8.90%-29.59M
Interest paid - operating
0.83%-57.39M
-168.24%-176.73M
-274.72%-57.87M
22.63%-65.89M
79.44%-15.44M
46.56%-85.16M
6.97%-75.1M
-18.22%-159.36M
10.32%-80.73M
16.32%-134.8M
Net cash from operations
-302.99%-1.96B
-123.08%-1.14B
-78.84%965.06M
340.45%4.96B
397.97%4.56B
33.83%-2.06B
-140.08%-1.53B
-130.17%-3.12B
125.82%3.82B
458.24%10.33B
Cash flow from investment activities
Dividend received - investment
----
-5.33%218.38M
----
0.04%230.66M
----
61.94%230.58M
----
--142.39M
----
----
Loan receivable (increase) decrease
----
----
----
----
----
---15.3M
----
----
----
----
Sale of fixed assets
1,100.00%36K
8,463.94%17.81M
-95.95%3K
-3.26%208K
-97.88%74K
58.09%215K
12,339.29%3.48M
-85.33%136K
-78.63%28K
591.79%927K
Purchase of fixed assets
-250.90%-140.64M
-2.89%-275.08M
81.76%-40.08M
11.39%-267.35M
-18.08%-219.74M
-120.05%-301.71M
-276.24%-186.1M
-34.96%-137.11M
-13.34%-49.46M
41.56%-101.59M
Net cash from investment operations
-250.84%-140.6M
-6.63%-38.89M
81.76%-40.08M
57.69%-36.47M
-20.29%-219.66M
-1,692.67%-86.21M
-269.41%-182.62M
105.38%5.41M
-13.61%-49.44M
42.05%-100.67M
Net cash before financing
-326.98%-2.1B
-124.04%-1.18B
-78.70%924.99M
329.11%4.92B
353.39%4.34B
30.94%-2.15B
-145.45%-1.71B
-130.42%-3.11B
128.78%3.77B
434.60%10.23B
Cash flow from financing activities
Refund
----
----
----
---895.32M
----
----
---15.3M
----
----
----
Issuing shares
----
----
----
----
----
----
----
----
----
-95.14%727K
Issuance of bonds
----
--1.94B
----
----
----
--2.32B
----
----
----
--1.75B
Interest paid - financing
-50.41%-218.5M
-88.49%-309.76M
-82.71%-145.27M
3.85%-164.34M
6.87%-79.51M
25.37%-170.92M
40.59%-85.37M
21.56%-229.02M
1.58%-143.69M
0.60%-291.96M
Dividends paid - financing
-68.97%-688.82M
-17.65%-562.3M
-20.83%-407.67M
-6.25%-477.96M
-9.09%-337.38M
25.58%-449.84M
37.14%-309.27M
10.42%-604.47M
0.00%-492.01M
-9.17%-674.76M
Other items of the financing business
-9,766.23%-1.78B
-113.35%-36.01M
13.35%-18.02M
113.55%269.76M
-0.76%-20.79M
-11.36%-1.99B
98.83%-20.64M
1.05%-1.79B
1.05%-1.77B
-4,529.47%-1.81B
Net cash from financing operations
-327.52%-2.76B
162.34%883.17M
-25.80%-645.34M
-194.07%-1.42B
5.79%-512.97M
82.82%-481.77M
78.17%-544.5M
-134.41%-2.8B
-225.84%-2.49B
-27.84%-1.2B
Effect of rate
22.31%-88.83M
101.74%5.04M
26.72%-114.34M
-1,844.33%-289.88M
-711.22%-156.03M
-108.15%-14.91M
86.60%-19.23M
697.37%182.88M
-1,568.72%-143.49M
77.19%-30.61M
Net Cash
-1,837.38%-4.86B
-108.57%-300.65M
-92.70%279.65M
233.31%3.51B
269.57%3.83B
55.53%-2.63B
-276.93%-2.26B
-165.49%-5.92B
44.60%1.28B
326.23%9.04B
Begining period cash
-1.53%18.96B
20.06%19.26B
20.06%19.26B
-14.16%16.04B
-14.16%16.04B
-23.48%18.69B
-23.48%18.69B
58.40%24.42B
58.40%24.42B
-21.12%15.42B
Cash at the end
-27.84%14.02B
-1.53%18.96B
-1.47%19.43B
20.06%19.26B
20.13%19.72B
-14.16%16.04B
-35.78%16.41B
-23.48%18.69B
56.86%25.56B
58.40%24.42B
Cash balance analysis
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
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
(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
Cash flow from operating activities
Earning before tax 14.65%1.15B-32.96%2.02B7.54%1B51.14%3.01B-19.24%931M12.48%1.99B33.89%1.15B-18.90%1.77B-28.13%860.97M-22.00%2.18B
Profit adjustment
Interest (income) - adjustment 21.59%3.49B223.10%6.35B65.65%2.87B3.64%1.96B66.88%1.73B-22.28%1.9B-14.48%1.04B-24.73%2.44B-24.07%1.21B33.79%3.24B
Interest expense - adjustment -54.81%-3.64B-239.20%-5.41B-340.91%-2.35B-51.52%-1.6B1.59%-533.42M55.35%-1.05B62.61%-542.04M15.96%-2.36B-11.47%-1.45B-52.70%-2.81B
Dividend (income)- adjustment --0--0--0--0--0--0--0--0--013.04%23.4M
Impairment and provisions: 246.62%544.01M-8.96%731.37M-48.58%156.95M114.90%803.34M160.11%305.21M-42.29%373.82M-67.91%117.34M81.05%647.79M296.59%365.67M52.34%357.79M
-Other impairments and provisions 246.62%544.01M-8.96%731.37M-48.58%156.95M114.90%803.34M160.11%305.21M-42.29%373.82M-67.91%117.34M81.05%647.79M296.59%365.67M52.34%357.79M
Depreciation and amortization: 8.74%185.78M-8.20%349.01M-3.32%170.85M-3.64%380.17M-16.58%176.72M3.62%394.53M18.77%211.84M3.36%380.75M-3.27%178.36M109.70%368.39M
-Depreciation 8.74%185.78M-8.20%349.01M-3.32%170.85M-3.64%380.17M-16.58%176.72M3.62%394.53M18.77%211.84M3.36%380.75M-3.27%178.36M109.70%368.39M
Special items 38.37%-481.27M-150.91%-1.28B-201.08%-780.85M-85.39%-511.99M-166.59%-259.35M23.61%-276.16M43.28%-97.29M-46.46%-361.52M-33.24%-171.53M8.34%-246.84M
Operating profit before the change of operating capital 16.76%1.24B-32.12%2.75B-54.69%1.07B21.76%4.05B25.09%2.35B32.10%3.32B88.49%1.88B-19.28%2.52B-39.31%997.81M-11.98%3.12B
Change of operating capital
Accounts receivable (increase)decrease 140.25%472.71M-60.47%914.38M-93.34%196.75M136.07%2.31B652.89%2.96B147.86%979.96M-291.73%-534.63M-1,304.34%-2.05B-43.99%278.84M23.63%-145.81M
Accounts payable increase (decrease) 181.68%337.43M-194.40%-374.43M-156.46%-413.12M201.91%396.66M--731.72M89.54%-389.22M-----271.86%-3.72B----91.41%2.17B
Derivative financial instruments (increase) decrease -1,238.64%-301.81M116.64%616.87M99.08%-22.55M-196.38%-3.71B-324.55%-2.45B-181.76%-1.25B-131.82%-576.6M96.43%1.53B174.24%1.81B2,118.77%778.98M
Special items for working capital changes 69.76%-689.12M4.68%-8.3B65.90%-2.28B-319.07%-8.7B-170.94%-6.68B74.48%-2.08B35.71%-2.47B-137.30%-8.14B31.84%-3.84B63.57%-3.43B
Bank deposits (increase) decrese -298.47%-5.53B336.85%1.97B170.22%2.79B-3,118.39%-831.76M-50.88%1.03B95.63%-25.84M147.58%2.1B-112.75%-591.02M-84.34%847.62M118.09%4.63B
Loans and payments (increase) decrese 158.01%1.68B-183.76%-6.52B-151.81%-2.89B215.55%7.78B435.94%5.58B-968.31%-6.74B-28.82%-1.66B92.42%-630.52M65.72%-1.29B11.18%-8.32B
Financial assets at fair value (increase)decrease 1,029.73%2.41M-77.43%1.09M-105.77%-259K134.11%4.82M--4.49M-104.29%-14.12M----25,685.06%328.77M31,895.74%328.77M-100.34%-1.29M
Special items of changes in operating assets ----128.73%757.62M----131.61%331.23M-----321.16%-1.05B-----80.99%473.84M----325.14%2.49B
Customer's deposits increase (decrese) -65.90%909.84M103.45%7.44B147.29%2.67B-36.88%3.66B944.32%1.08B-24.85%5.79B-97.97%103.3M-20.19%7.71B48.99%5.09B-8.05%9.66B
Cash  from business operations -268.65%-1.88B-113.98%-739.97M-75.81%1.11B467.14%5.29B498.37%4.6B43.81%-1.44B-127.31%-1.15B-123.42%-2.57B88.63%4.23B549.76%10.96B
Hong Kong profits tax paid 74.51%-22.91M14.52%-215.93M-299.46%-89.89M51.95%-252.61M92.47%-22.5M-41.94%-525.7M8.75%-298.91M19.51%-370.37M28.79%-327.56M-80.85%-460.12M
China income tax paid -4,534.09%-1.95M8.27%-12.31M--44K---13.42M------------------------
Other taxs --------------------52.26%-10.68M-10,876.19%-2.31M24.42%-22.36M---21K8.90%-29.59M
Interest paid - operating 0.83%-57.39M-168.24%-176.73M-274.72%-57.87M22.63%-65.89M79.44%-15.44M46.56%-85.16M6.97%-75.1M-18.22%-159.36M10.32%-80.73M16.32%-134.8M
Net cash from operations -302.99%-1.96B-123.08%-1.14B-78.84%965.06M340.45%4.96B397.97%4.56B33.83%-2.06B-140.08%-1.53B-130.17%-3.12B125.82%3.82B458.24%10.33B
Cash flow from investment activities
Dividend received - investment -----5.33%218.38M----0.04%230.66M----61.94%230.58M------142.39M--------
Loan receivable (increase) decrease -----------------------15.3M----------------
Sale of fixed assets 1,100.00%36K8,463.94%17.81M-95.95%3K-3.26%208K-97.88%74K58.09%215K12,339.29%3.48M-85.33%136K-78.63%28K591.79%927K
Purchase of fixed assets -250.90%-140.64M-2.89%-275.08M81.76%-40.08M11.39%-267.35M-18.08%-219.74M-120.05%-301.71M-276.24%-186.1M-34.96%-137.11M-13.34%-49.46M41.56%-101.59M
Net cash from investment operations -250.84%-140.6M-6.63%-38.89M81.76%-40.08M57.69%-36.47M-20.29%-219.66M-1,692.67%-86.21M-269.41%-182.62M105.38%5.41M-13.61%-49.44M42.05%-100.67M
Net cash before financing -326.98%-2.1B-124.04%-1.18B-78.70%924.99M329.11%4.92B353.39%4.34B30.94%-2.15B-145.45%-1.71B-130.42%-3.11B128.78%3.77B434.60%10.23B
Cash flow from financing activities
Refund ---------------895.32M-----------15.3M------------
Issuing shares -------------------------------------95.14%727K
Issuance of bonds ------1.94B--------------2.32B--------------1.75B
Interest paid - financing -50.41%-218.5M-88.49%-309.76M-82.71%-145.27M3.85%-164.34M6.87%-79.51M25.37%-170.92M40.59%-85.37M21.56%-229.02M1.58%-143.69M0.60%-291.96M
Dividends paid - financing -68.97%-688.82M-17.65%-562.3M-20.83%-407.67M-6.25%-477.96M-9.09%-337.38M25.58%-449.84M37.14%-309.27M10.42%-604.47M0.00%-492.01M-9.17%-674.76M
Other items of the financing business -9,766.23%-1.78B-113.35%-36.01M13.35%-18.02M113.55%269.76M-0.76%-20.79M-11.36%-1.99B98.83%-20.64M1.05%-1.79B1.05%-1.77B-4,529.47%-1.81B
Net cash from financing operations -327.52%-2.76B162.34%883.17M-25.80%-645.34M-194.07%-1.42B5.79%-512.97M82.82%-481.77M78.17%-544.5M-134.41%-2.8B-225.84%-2.49B-27.84%-1.2B
Effect of rate 22.31%-88.83M101.74%5.04M26.72%-114.34M-1,844.33%-289.88M-711.22%-156.03M-108.15%-14.91M86.60%-19.23M697.37%182.88M-1,568.72%-143.49M77.19%-30.61M
Net Cash -1,837.38%-4.86B-108.57%-300.65M-92.70%279.65M233.31%3.51B269.57%3.83B55.53%-2.63B-276.93%-2.26B-165.49%-5.92B44.60%1.28B326.23%9.04B
Begining period cash -1.53%18.96B20.06%19.26B20.06%19.26B-14.16%16.04B-14.16%16.04B-23.48%18.69B-23.48%18.69B58.40%24.42B58.40%24.42B-21.12%15.42B
Cash at the end -27.84%14.02B-1.53%18.96B-1.47%19.43B20.06%19.26B20.13%19.72B-14.16%16.04B-35.78%16.41B-23.48%18.69B56.86%25.56B58.40%24.42B
Cash balance analysis
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--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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