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06060 ZA ONLINE

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  • 10.140
  • +0.100+1.00%
Market Closed Aug 30 16:08 CST
14.90BMarket Cap3.48P/E (TTM)

ZA ONLINE Key Stats

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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
-62.62%39.15M
338.29%4.01B
113.51%104.71M
-302.97%-1.68B
-228.52%-774.85M
465.83%829.12M
80.35%602.89M
123.99%146.53M
2,075.63%334.29M
66.26%-610.84M
Profit adjustment
Investment loss (gain)
174.00%170.52M
-138.19%-4.19B
68.52%-230.41M
14.87%-1.76B
22.46%-731.99M
-35.38%-2.07B
-8.73%-944.07M
13.98%-1.53B
-22.04%-868.29M
-129.29%-1.78B
Impairment and provisions:
-30.27%19.92M
75.97%139.69M
-21.40%28.56M
-40.75%79.38M
217.69%36.34M
-62.89%133.98M
-126.35%-30.88M
87.42%361.03M
92.70%117.19M
40.91%192.63M
-Other impairments and provisions
-30.27%19.92M
75.97%139.69M
-21.40%28.56M
-40.75%79.38M
217.69%36.34M
-62.89%133.98M
-126.35%-30.88M
87.42%361.03M
92.70%117.19M
40.91%192.63M
Revaluation surplus:
-15.79%-789.16M
-142.62%-768.42M
-292.72%-681.52M
1,522.42%1.8B
479.39%353.64M
-596.77%-126.76M
-310.83%-93.21M
115.02%25.52M
139.84%44.21M
-210.36%-169.9M
-Other fair value changes
-15.79%-789.16M
-142.62%-768.42M
-292.72%-681.52M
1,522.42%1.8B
479.39%353.64M
-596.77%-126.76M
-310.83%-93.21M
115.02%25.52M
139.84%44.21M
-210.36%-169.9M
Asset sale loss (gain):
----
82.22%-5.92M
----
-9,027.12%-33.31M
----
-88.14%-365K
----
-133.73%-194K
----
---83K
-Loss (gain) on sale of property, machinery and equipment
----
82.22%-5.92M
----
-9,027.12%-33.31M
----
-88.14%-365K
----
-133.73%-194K
----
---83K
Depreciation and amortization:
-13.89%162.94M
-1.05%357.36M
2.80%189.22M
17.79%361.14M
20.99%184.06M
-2.67%306.61M
-7.91%152.12M
6.41%315.01M
10.34%165.2M
162.83%296.03M
-Depreciation
8.06%18.31M
-8.50%32.93M
2.37%16.95M
0.77%35.99M
-7.05%16.55M
-6.94%35.71M
-15.13%17.81M
-11.40%38.37M
-49.30%20.99M
13.63%43.31M
-Amortization of intangible assets
-35.39%64.73M
5.26%186.46M
24.70%100.18M
15.82%177.14M
10.54%80.34M
1.56%152.95M
-1.63%72.68M
25.92%150.6M
28.55%73.88M
60.51%119.6M
Financial expense
2.87%230.16M
8.52%464.86M
6.20%223.74M
10.30%428.36M
25.65%210.68M
66.76%388.34M
166.86%167.67M
109.61%232.87M
24.94%62.83M
156.72%111.1M
Exchange Loss (gain)
-81.15%36.74M
-82.79%94.51M
-37.66%194.97M
472.32%549.14M
676.53%312.76M
26.58%-147.49M
-5,465.88%-54.25M
-10,138.23%-200.87M
145.85%1.01M
-334.13%-1.96M
Special items
----
-14.31%69.67M
106.30%59.26M
471.63%81.31M
1,510.20%28.73M
749.50%14.22M
--1.78M
---2.19M
----
----
Operating profit before the change of operating capital
-16.39%-129.73M
196.95%168.79M
70.72%-111.46M
74.02%-174.11M
-92.30%-380.63M
-3.15%-670.27M
-37.87%-197.94M
66.83%-649.79M
73.83%-143.57M
8.32%-1.96B
Change of operating capital
Accounts receivable (increase)decrease
----
----
----
----
----
16.41%-893.18M
-17,084.55%-1.69B
28.52%-1.07B
-26.62%-9.84M
1.23%-1.49B
Insurance liabilities Increase (decrease)
517.17%1B
-105.67%-846.01M
-205.48%-240.69M
-156.29%-411.34M
-78.53%228.17M
-21.55%730.69M
224,617.55%1.06B
-57.35%931.41M
-99.36%473K
-21.63%2.18B
Special items for working capital changes
-97.17%48.95M
----
--1.73B
----
----
-166.70%-405.86M
-45.35%1.3B
1,001.29%608.46M
1,566.91%2.39B
113.30%55.25M
Customer's deposits increase (decrese)
----
----
----
----
----
-87.38%635.67M
----
--5.04B
----
----
Cash  from business operations
-32.90%923.3M
-15.68%-677.22M
1,002.55%1.38B
2.90%-585.45M
-131.88%-152.46M
-112.41%-602.95M
-78.59%478.28M
499.96%4.86B
446.58%2.23B
5.02%-1.21B
Special items of business
-33,230.59%-72.56M
2,577.58%2.89B
-99.71%219K
---116.46M
--74.87M
----
----
----
----
----
Net cash from operations
-38.18%850.74M
414.60%2.21B
1,873.69%1.38B
-16.41%-701.91M
-116.22%-77.59M
-112.41%-602.95M
-78.59%478.28M
499.96%4.86B
446.58%2.23B
5.02%-1.21B
Cash flow from investment activities
Dividend received - investment
----
-47.05%909.05M
----
-21.65%1.72B
-19.82%812.37M
46.31%2.19B
9.26%1.01B
-20.30%1.5B
14.23%927.24M
244.16%1.88B
Sale of fixed assets
----
3,125.83%18.36M
----
55.89%569K
----
88.14%365K
----
133.73%194K
----
45.61%83K
Purchase of fixed assets
----
29.17%-290.98M
----
-57.54%-410.79M
-52.92%-200.71M
-5.26%-260.76M
-18.54%-131.25M
13.39%-247.72M
8.57%-110.73M
12.85%-286.03M
Sale of subsidiaries
----
-1,806.18%-1.64B
----
2,735.94%96.08M
2,840.25%99.88M
---3.65M
---3.65M
----
----
----
Acquisition of subsidiaries
----
-1,304.80%-408.81M
----
89.26%-29.1M
90.98%-2.92M
-108.24%-270.93M
-19.06%-32.33M
-109.56%-130.11M
-57.19%-27.15M
64.24%-62.09M
Cash on investment
----
-222.14%-3.92B
----
84.00%-1.22B
-130.77%-1.9B
---7.6B
75.90%-822.42M
----
-459.77%-3.41B
----
Other items in the investment business
253.30%948.53M
----
---618.75M
----
----
----
----
-290.59%-7.39B
----
---1.89B
Net cash from investment operations
253.30%948.53M
-3,470.94%-5.33B
47.97%-618.75M
102.66%158.04M
-5,163.04%-1.19B
5.26%-5.94B
100.90%23.49M
-1,635.93%-6.27B
-7,541.33%-2.62B
92.68%-361.3M
Net cash before financing
137.52%1.8B
-473.50%-3.12B
159.79%757.51M
91.69%-543.87M
-352.49%-1.27B
-363.19%-6.54B
228.93%501.77M
10.35%-1.41B
36.13%-389.18M
74.65%-1.58B
Cash flow from financing activities
New borrowing
----
-20.55%98.87M
----
24.44%124.44M
-23.33%46M
4,628.99%100M
2,757.22%60M
---2.21M
85.28%-2.26M
----
Refund
----
----
----
----
----
----
----
----
----
---60.36M
Issuing shares
----
----
----
----
----
--500.16M
--500.16M
----
----
32.55%814.11M
Issuance of bonds
----
----
----
----
----
----
----
--6.87B
----
----
Interest paid - financing
----
-9.17%-304.88M
----
-17.32%-279.28M
-14.78%-137.88M
---238.05M
---120.12M
----
----
----
Absorb investment income
----
----
----
----
----
15.64%1.11B
----
109.58%955.53M
2,401.04%896.4M
35.49%455.94M
Issuance expenses and redemption of securities expenses
----
----
----
-113.08%-995.57M
---726.96M
8.99%-467.24M
----
-10.02%-513.39M
---511.89M
---466.63M
Other items of the financing business
-15.60%-1.45B
-1.61%1.54B
-164.66%-1.26B
17.10%1.57B
270.55%1.94B
2,271.44%1.34B
-236.11%-1.14B
-104.38%-61.7M
720.73%837.52M
-40.68%1.41B
Net cash from financing operations
-15.60%-1.45B
382.46%1.14B
-219.21%-1.26B
-89.25%236.03M
234.48%1.05B
-69.11%2.19B
-168.46%-784.15M
249.82%7.11B
146.54%1.15B
-39.98%2.03B
Effect of rate
-99.47%430K
-75.70%38.99M
-14.99%81.33M
255.62%160.48M
307.56%95.68M
73.58%-103.12M
-225.21%-46.1M
-1,297.72%-390.37M
193.21%36.82M
3,989.38%32.59M
Net Cash
169.29%346.15M
-543.29%-1.98B
-135.24%-499.57M
92.92%-307.84M
24.80%-212.36M
-176.40%-4.35B
-137.34%-282.38M
1,150.24%5.69B
622.38%756.22M
116.08%455.4M
Begining period cash
-53.66%1.68B
-3.91%3.62B
-3.91%3.62B
-54.19%3.77B
-54.19%3.77B
181.94%8.22B
181.94%8.22B
20.11%2.91B
20.11%2.91B
-53.86%2.43B
Cash at the end
-36.77%2.02B
-53.66%1.68B
-12.30%3.2B
-3.91%3.62B
-53.76%3.65B
-54.19%3.77B
112.78%7.89B
181.94%8.22B
61.59%3.71B
20.11%2.91B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
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 -62.62%39.15M338.29%4.01B113.51%104.71M-302.97%-1.68B-228.52%-774.85M465.83%829.12M80.35%602.89M123.99%146.53M2,075.63%334.29M66.26%-610.84M
Profit adjustment
Investment loss (gain) 174.00%170.52M-138.19%-4.19B68.52%-230.41M14.87%-1.76B22.46%-731.99M-35.38%-2.07B-8.73%-944.07M13.98%-1.53B-22.04%-868.29M-129.29%-1.78B
Impairment and provisions: -30.27%19.92M75.97%139.69M-21.40%28.56M-40.75%79.38M217.69%36.34M-62.89%133.98M-126.35%-30.88M87.42%361.03M92.70%117.19M40.91%192.63M
-Other impairments and provisions -30.27%19.92M75.97%139.69M-21.40%28.56M-40.75%79.38M217.69%36.34M-62.89%133.98M-126.35%-30.88M87.42%361.03M92.70%117.19M40.91%192.63M
Revaluation surplus: -15.79%-789.16M-142.62%-768.42M-292.72%-681.52M1,522.42%1.8B479.39%353.64M-596.77%-126.76M-310.83%-93.21M115.02%25.52M139.84%44.21M-210.36%-169.9M
-Other fair value changes -15.79%-789.16M-142.62%-768.42M-292.72%-681.52M1,522.42%1.8B479.39%353.64M-596.77%-126.76M-310.83%-93.21M115.02%25.52M139.84%44.21M-210.36%-169.9M
Asset sale loss (gain): ----82.22%-5.92M-----9,027.12%-33.31M-----88.14%-365K-----133.73%-194K-------83K
-Loss (gain) on sale of property, machinery and equipment ----82.22%-5.92M-----9,027.12%-33.31M-----88.14%-365K-----133.73%-194K-------83K
Depreciation and amortization: -13.89%162.94M-1.05%357.36M2.80%189.22M17.79%361.14M20.99%184.06M-2.67%306.61M-7.91%152.12M6.41%315.01M10.34%165.2M162.83%296.03M
-Depreciation 8.06%18.31M-8.50%32.93M2.37%16.95M0.77%35.99M-7.05%16.55M-6.94%35.71M-15.13%17.81M-11.40%38.37M-49.30%20.99M13.63%43.31M
-Amortization of intangible assets -35.39%64.73M5.26%186.46M24.70%100.18M15.82%177.14M10.54%80.34M1.56%152.95M-1.63%72.68M25.92%150.6M28.55%73.88M60.51%119.6M
Financial expense 2.87%230.16M8.52%464.86M6.20%223.74M10.30%428.36M25.65%210.68M66.76%388.34M166.86%167.67M109.61%232.87M24.94%62.83M156.72%111.1M
Exchange Loss (gain) -81.15%36.74M-82.79%94.51M-37.66%194.97M472.32%549.14M676.53%312.76M26.58%-147.49M-5,465.88%-54.25M-10,138.23%-200.87M145.85%1.01M-334.13%-1.96M
Special items -----14.31%69.67M106.30%59.26M471.63%81.31M1,510.20%28.73M749.50%14.22M--1.78M---2.19M--------
Operating profit before the change of operating capital -16.39%-129.73M196.95%168.79M70.72%-111.46M74.02%-174.11M-92.30%-380.63M-3.15%-670.27M-37.87%-197.94M66.83%-649.79M73.83%-143.57M8.32%-1.96B
Change of operating capital
Accounts receivable (increase)decrease --------------------16.41%-893.18M-17,084.55%-1.69B28.52%-1.07B-26.62%-9.84M1.23%-1.49B
Insurance liabilities Increase (decrease) 517.17%1B-105.67%-846.01M-205.48%-240.69M-156.29%-411.34M-78.53%228.17M-21.55%730.69M224,617.55%1.06B-57.35%931.41M-99.36%473K-21.63%2.18B
Special items for working capital changes -97.17%48.95M------1.73B---------166.70%-405.86M-45.35%1.3B1,001.29%608.46M1,566.91%2.39B113.30%55.25M
Customer's deposits increase (decrese) ---------------------87.38%635.67M------5.04B--------
Cash  from business operations -32.90%923.3M-15.68%-677.22M1,002.55%1.38B2.90%-585.45M-131.88%-152.46M-112.41%-602.95M-78.59%478.28M499.96%4.86B446.58%2.23B5.02%-1.21B
Special items of business -33,230.59%-72.56M2,577.58%2.89B-99.71%219K---116.46M--74.87M--------------------
Net cash from operations -38.18%850.74M414.60%2.21B1,873.69%1.38B-16.41%-701.91M-116.22%-77.59M-112.41%-602.95M-78.59%478.28M499.96%4.86B446.58%2.23B5.02%-1.21B
Cash flow from investment activities
Dividend received - investment -----47.05%909.05M-----21.65%1.72B-19.82%812.37M46.31%2.19B9.26%1.01B-20.30%1.5B14.23%927.24M244.16%1.88B
Sale of fixed assets ----3,125.83%18.36M----55.89%569K----88.14%365K----133.73%194K----45.61%83K
Purchase of fixed assets ----29.17%-290.98M-----57.54%-410.79M-52.92%-200.71M-5.26%-260.76M-18.54%-131.25M13.39%-247.72M8.57%-110.73M12.85%-286.03M
Sale of subsidiaries -----1,806.18%-1.64B----2,735.94%96.08M2,840.25%99.88M---3.65M---3.65M------------
Acquisition of subsidiaries -----1,304.80%-408.81M----89.26%-29.1M90.98%-2.92M-108.24%-270.93M-19.06%-32.33M-109.56%-130.11M-57.19%-27.15M64.24%-62.09M
Cash on investment -----222.14%-3.92B----84.00%-1.22B-130.77%-1.9B---7.6B75.90%-822.42M-----459.77%-3.41B----
Other items in the investment business 253.30%948.53M-------618.75M-----------------290.59%-7.39B-------1.89B
Net cash from investment operations 253.30%948.53M-3,470.94%-5.33B47.97%-618.75M102.66%158.04M-5,163.04%-1.19B5.26%-5.94B100.90%23.49M-1,635.93%-6.27B-7,541.33%-2.62B92.68%-361.3M
Net cash before financing 137.52%1.8B-473.50%-3.12B159.79%757.51M91.69%-543.87M-352.49%-1.27B-363.19%-6.54B228.93%501.77M10.35%-1.41B36.13%-389.18M74.65%-1.58B
Cash flow from financing activities
New borrowing -----20.55%98.87M----24.44%124.44M-23.33%46M4,628.99%100M2,757.22%60M---2.21M85.28%-2.26M----
Refund ---------------------------------------60.36M
Issuing shares ----------------------500.16M--500.16M--------32.55%814.11M
Issuance of bonds ------------------------------6.87B--------
Interest paid - financing -----9.17%-304.88M-----17.32%-279.28M-14.78%-137.88M---238.05M---120.12M------------
Absorb investment income --------------------15.64%1.11B----109.58%955.53M2,401.04%896.4M35.49%455.94M
Issuance expenses and redemption of securities expenses -------------113.08%-995.57M---726.96M8.99%-467.24M-----10.02%-513.39M---511.89M---466.63M
Other items of the financing business -15.60%-1.45B-1.61%1.54B-164.66%-1.26B17.10%1.57B270.55%1.94B2,271.44%1.34B-236.11%-1.14B-104.38%-61.7M720.73%837.52M-40.68%1.41B
Net cash from financing operations -15.60%-1.45B382.46%1.14B-219.21%-1.26B-89.25%236.03M234.48%1.05B-69.11%2.19B-168.46%-784.15M249.82%7.11B146.54%1.15B-39.98%2.03B
Effect of rate -99.47%430K-75.70%38.99M-14.99%81.33M255.62%160.48M307.56%95.68M73.58%-103.12M-225.21%-46.1M-1,297.72%-390.37M193.21%36.82M3,989.38%32.59M
Net Cash 169.29%346.15M-543.29%-1.98B-135.24%-499.57M92.92%-307.84M24.80%-212.36M-176.40%-4.35B-137.34%-282.38M1,150.24%5.69B622.38%756.22M116.08%455.4M
Begining period cash -53.66%1.68B-3.91%3.62B-3.91%3.62B-54.19%3.77B-54.19%3.77B181.94%8.22B181.94%8.22B20.11%2.91B20.11%2.91B-53.86%2.43B
Cash at the end -36.77%2.02B-53.66%1.68B-12.30%3.2B-3.91%3.62B-53.76%3.65B-54.19%3.77B112.78%7.89B181.94%8.22B61.59%3.71B20.11%2.91B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
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.

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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