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HK Stock MarketDetailed Quotes

00019 SWIRE PACIFIC A

Watchlist
51.850 +1.150+2.27%
Market Closed 12/01 16:08 CST
52.100High50.000Low749.07KVolume

SWIRE PACIFIC A Key Stats

All
YOY yoy
Hide blank lines yoy
(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/06/30
(FY)2021/12/31
(Q6)2021/06/30
(FY)2020/12/31
(Q6)2020/06/30
(FY)2019/12/31
(Q6)2019/06/30
(FY)2018/12/31
Cash flow from operating activities
Earning before tax
----
-3.65%11.69B
----
350.02%12.13B
----
-80.46%2.7B
----
-55.35%13.79B
----
-13.87%30.89B
Profit adjustment
Impairment and provisions:
--0
--0
--0
--0
--0
--0
--0
--125M
--0
--0
-Other impairments and provisions
----
----
----
----
----
----
----
--125M
----
----
Revaluation surplus:
--0
-141.95%-810M
--0
-56.32%1.93B
--0
218.59%4.42B
--0
80.78%-3.73B
--0
26.28%-19.39B
-Fair value of investment properties (increase)
----
-141.95%-810M
----
-56.32%1.93B
----
218.59%4.42B
----
80.76%-3.73B
----
23.50%-19.38B
-Other fair value changes
----
----
----
----
----
----
----
----
----
98.56%-14M
Asset sale loss (gain):
--0
77.32%-458M
--0
-6.43%-2.02B
--0
21.32%-1.9B
--0
47.54%-2.41B
--0
-1,872.53%-4.6B
-Loss (gain) from sale of subsidiary company
----
47.77%-363M
----
65.70%-695M
----
14.80%-2.03B
----
46.99%-2.38B
----
-1,059.17%-4.49B
-Loss (gain) on sale of property, machinery and equipment
----
101.83%4M
----
-1,111.11%-218M
----
64.00%-18M
----
12.28%-50M
----
-181.43%-57M
-Loss (gain) from selling other assets
----
91.05%-99M
----
-852.38%-1.11B
----
764.71%147M
----
132.08%17M
----
-163.10%-53M
Depreciation and amortization:
--0
7.09%4.68B
--0
-52.57%4.37B
--0
19.65%9.21B
--0
-1.62%7.7B
--0
47.26%7.83B
-Depreciation
----
7.09%4.68B
----
-52.57%4.37B
----
19.65%9.21B
----
-1.62%7.7B
----
47.26%7.83B
Special items
----
41.20%586M
----
30.50%415M
----
66.49%318M
----
177.33%191M
----
-341.07%-247M
Operating profit before the change of operating capital
--0
-6.79%15.68B
--0
14.07%16.83B
--0
-5.87%14.75B
--0
8.21%15.67B
--0
-0.71%14.48B
Change of operating capital
Inventory (increase) decrease
----
-247.50%-2.09B
----
-204.90%-600M
----
269.73%572M
----
31.08%-337M
----
-126.39%-489M
Accounts receivable (increase)decrease
----
-313.90%-774M
----
83.48%-187M
----
-218.91%-1.13B
----
425.97%952M
----
-61.24%181M
Accounts payable increase (decrease)
----
-62.17%830M
----
372.84%2.19B
----
119.27%464M
----
-178.72%-2.41B
----
171.67%3.06B
Cash  from business operations
17.23%7.21B
-22.07%12.04B
-42.32%6.15B
2.18%15.45B
105.89%10.66B
18.00%15.12B
18.50%5.18B
-30.07%12.82B
-47.35%4.37B
-6.51%18.33B
Other taxs
30.80%-939M
-2.70%-2.63B
-16.98%-1.36B
-10.59%-2.56B
19.89%-1.16B
-65.64%-2.31B
-45.82%-1.45B
35.92%-1.4B
-34.55%-993M
-0.37%-2.18B
Dividend received - operating
-42.49%222M
-4.84%610M
60.17%386M
10.33%641M
-32.30%241M
-56.22%581M
-46.39%356M
-22.67%1.33B
22.51%664M
208.08%1.72B
Interest received - operating
75.89%197M
-8.07%296M
-6.67%112M
-31.78%322M
-56.83%120M
18.89%472M
115.50%278M
97.51%397M
51.76%129M
23.31%201M
Interest paid - operating
-49.27%-1.53B
1.23%-2.17B
2.10%-1.03B
8.82%-2.19B
12.87%-1.05B
7.65%-2.4B
3.76%-1.2B
0.99%-2.6B
3.62%-1.25B
-2.98%-2.63B
Special items of business
----
42.03%-1.61B
----
-691.28%-2.78B
----
144.38%470M
----
-196.54%-1.06B
----
-69.90%1.1B
Net cash from operations
20.93%5.15B
-30.08%8.16B
-51.63%4.26B
1.80%11.67B
178.94%8.81B
8.71%11.46B
8.26%3.16B
-31.71%10.54B
-57.65%2.92B
-1.05%15.44B
Cash flow from investment activities
Loan receivable (increase) decrease
-1,316.67%-1.39B
3.81%463M
125.17%114M
-44.73%446M
-220.16%-453M
155.31%807M
-40.25%377M
-0.90%-1.46B
316.84%631M
-4.86%-1.45B
Decrease in deposits (increase)
-276.03%-549M
50.26%-288M
-586.67%-146M
-7,137.50%-579M
36.36%30M
38.46%-8M
100.73%22M
-111.82%-13M
-3,064.71%-3.02B
229.41%110M
Sale of fixed assets
153.49%218M
-72.35%695M
-77.55%86M
191.65%2.51B
12.32%383M
184.49%862M
140.14%341M
-32.67%303M
-53.44%142M
71.10%450M
Purchase of fixed assets
-29.11%-1.72B
18.31%-3.11B
27.75%-1.33B
-34.99%-3.81B
-15.60%-1.85B
25.33%-2.82B
2.09%-1.6B
7.82%-3.78B
37.55%-1.63B
-8.63%-4.1B
Purchase of intangible assets
-26.32%-72M
22.47%-314M
24.00%-57M
-128.81%-405M
15.73%-75M
75.95%-177M
85.94%-89M
-484.13%-736M
-1,372.09%-633M
-22.33%-126M
Sale of subsidiaries
----
38.17%1.44B
-6.07%449M
-88.98%1.04B
--478M
-52.89%9.43B
----
51.97%20.03B
127.37%17.67B
2,046.25%13.18B
Acquisition of subsidiaries
---2.49B
71.79%-1.13B
----
---4B
----
----
----
----
----
----
Recovery of cash from investments
-85.82%60M
-46.04%2.09B
-76.03%423M
193.20%3.88B
1,818.48%1.77B
348.47%1.32B
-2.13%92M
-15.71%295M
-60.17%94M
215.32%350M
Cash on investment
58.87%-2.42B
-219.06%-17.31B
9.04%-5.89B
29.43%-5.43B
-506.08%-6.48B
-242.34%-7.69B
-20.25%-1.07B
60.55%-2.25B
79.53%-889M
48.35%-5.69B
Other items in the investment business
-89.80%-279M
-1,150.00%-75M
-7,250.00%-147M
-100.00%-6M
33.33%-2M
84.21%-3M
82.35%-3M
91.98%-19M
-128.33%-17M
90.00%-237M
Net cash from investment operations
-32.93%-8.65B
-176.51%-17.54B
-4.94%-6.5B
-467.77%-6.34B
-221.97%-6.2B
-86.05%1.73B
-115.60%-1.93B
398.15%12.37B
939.85%12.34B
113.99%2.48B
Net cash before financing
-55.73%-3.49B
-276.40%-9.39B
-185.91%-2.24B
-59.64%5.32B
111.76%2.61B
-42.45%13.18B
-91.92%1.23B
27.85%22.91B
88.98%15.26B
933.83%17.92B
Cash flow from financing activities
New borrowing
24.46%13.51B
426.26%25.68B
376.22%10.85B
-66.41%4.88B
-82.83%2.28B
37.50%14.53B
134.41%13.27B
-0.56%10.56B
-28.94%5.66B
-47.70%10.62B
Refund
69.71%-4.56B
-59.54%-18.87B
-103.74%-15.04B
17.85%-11.83B
21.80%-7.38B
-1.84%-14.4B
-21.73%-9.44B
19.55%-14.14B
16.72%-7.76B
-34.65%-17.57B
Dividends paid - financing
-13.37%-3.7B
-28.72%-5.7B
-36.67%-3.26B
9.38%-4.43B
28.99%-2.39B
18.29%-4.88B
6.38%-3.36B
-30.42%-5.98B
-46.49%-3.59B
-5.70%-4.58B
Absorb investment income
----
--1B
--986M
----
----
----
----
----
----
----
Issuance expenses and redemption of securities expenses
---684M
---2.64B
----
----
----
----
----
----
----
86.27%-21M
Other items of the financing business
3.26%-445M
9.37%-880M
-0.88%-460M
-3.85%-971M
1.30%-456M
6.97%-935M
35.29%-462M
66.70%-1.01B
---714M
-118.06%-3.02B
Net cash from financing operations
159.61%4.13B
88.64%-1.4B
12.88%-6.92B
-116.98%-12.34B
-99,412.50%-7.95B
46.10%-5.69B
100.13%8M
27.57%-10.55B
-67.64%-6.4B
-1,147.30%-14.57B
Effect of rate
44.31%-274M
-416.94%-973M
-469.92%-492M
-26.02%307M
200.76%133M
400.72%415M
-325.81%-132M
31.00%-138M
34.04%-31M
-177.22%-200M
Net Cash
106.91%633M
-53.65%-10.79B
-71.82%-9.17B
-193.66%-7.02B
-529.81%-5.33B
-39.34%7.5B
-86.00%1.24B
268.79%12.36B
108.10%8.86B
542.08%3.35B
Begining period cash
-52.23%10.76B
-22.97%22.52B
-22.97%22.52B
37.10%29.23B
37.10%29.23B
134.26%21.32B
134.26%21.32B
52.95%9.1B
52.95%9.1B
-7.74%5.95B
Cash at the end
-13.57%11.12B
-52.23%10.76B
-46.48%12.86B
-22.97%22.52B
7.14%24.03B
37.10%29.23B
25.08%22.43B
134.26%21.32B
76.46%17.93B
52.95%9.1B
Cash balance analysis
Cash and cash equivalent balance
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
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)2023/06/30(FY)2022/12/31(Q6)2022/06/30(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30(FY)2019/12/31(Q6)2019/06/30(FY)2018/12/31
Cash flow from operating activities
Earning before tax -----3.65%11.69B----350.02%12.13B-----80.46%2.7B-----55.35%13.79B-----13.87%30.89B
Profit adjustment
Impairment and provisions: --0--0--0--0--0--0--0--125M--0--0
-Other impairments and provisions ------------------------------125M--------
Revaluation surplus: --0-141.95%-810M--0-56.32%1.93B--0218.59%4.42B--080.78%-3.73B--026.28%-19.39B
-Fair value of investment properties (increase) -----141.95%-810M-----56.32%1.93B----218.59%4.42B----80.76%-3.73B----23.50%-19.38B
-Other fair value changes ------------------------------------98.56%-14M
Asset sale loss (gain): --077.32%-458M--0-6.43%-2.02B--021.32%-1.9B--047.54%-2.41B--0-1,872.53%-4.6B
-Loss (gain) from sale of subsidiary company ----47.77%-363M----65.70%-695M----14.80%-2.03B----46.99%-2.38B-----1,059.17%-4.49B
-Loss (gain) on sale of property, machinery and equipment ----101.83%4M-----1,111.11%-218M----64.00%-18M----12.28%-50M-----181.43%-57M
-Loss (gain) from selling other assets ----91.05%-99M-----852.38%-1.11B----764.71%147M----132.08%17M-----163.10%-53M
Depreciation and amortization: --07.09%4.68B--0-52.57%4.37B--019.65%9.21B--0-1.62%7.7B--047.26%7.83B
-Depreciation ----7.09%4.68B-----52.57%4.37B----19.65%9.21B-----1.62%7.7B----47.26%7.83B
Special items ----41.20%586M----30.50%415M----66.49%318M----177.33%191M-----341.07%-247M
Operating profit before the change of operating capital --0-6.79%15.68B--014.07%16.83B--0-5.87%14.75B--08.21%15.67B--0-0.71%14.48B
Change of operating capital
Inventory (increase) decrease -----247.50%-2.09B-----204.90%-600M----269.73%572M----31.08%-337M-----126.39%-489M
Accounts receivable (increase)decrease -----313.90%-774M----83.48%-187M-----218.91%-1.13B----425.97%952M-----61.24%181M
Accounts payable increase (decrease) -----62.17%830M----372.84%2.19B----119.27%464M-----178.72%-2.41B----171.67%3.06B
Cash  from business operations 17.23%7.21B-22.07%12.04B-42.32%6.15B2.18%15.45B105.89%10.66B18.00%15.12B18.50%5.18B-30.07%12.82B-47.35%4.37B-6.51%18.33B
Other taxs 30.80%-939M-2.70%-2.63B-16.98%-1.36B-10.59%-2.56B19.89%-1.16B-65.64%-2.31B-45.82%-1.45B35.92%-1.4B-34.55%-993M-0.37%-2.18B
Dividend received - operating -42.49%222M-4.84%610M60.17%386M10.33%641M-32.30%241M-56.22%581M-46.39%356M-22.67%1.33B22.51%664M208.08%1.72B
Interest received - operating 75.89%197M-8.07%296M-6.67%112M-31.78%322M-56.83%120M18.89%472M115.50%278M97.51%397M51.76%129M23.31%201M
Interest paid - operating -49.27%-1.53B1.23%-2.17B2.10%-1.03B8.82%-2.19B12.87%-1.05B7.65%-2.4B3.76%-1.2B0.99%-2.6B3.62%-1.25B-2.98%-2.63B
Special items of business ----42.03%-1.61B-----691.28%-2.78B----144.38%470M-----196.54%-1.06B-----69.90%1.1B
Net cash from operations 20.93%5.15B-30.08%8.16B-51.63%4.26B1.80%11.67B178.94%8.81B8.71%11.46B8.26%3.16B-31.71%10.54B-57.65%2.92B-1.05%15.44B
Cash flow from investment activities
Loan receivable (increase) decrease -1,316.67%-1.39B3.81%463M125.17%114M-44.73%446M-220.16%-453M155.31%807M-40.25%377M-0.90%-1.46B316.84%631M-4.86%-1.45B
Decrease in deposits (increase) -276.03%-549M50.26%-288M-586.67%-146M-7,137.50%-579M36.36%30M38.46%-8M100.73%22M-111.82%-13M-3,064.71%-3.02B229.41%110M
Sale of fixed assets 153.49%218M-72.35%695M-77.55%86M191.65%2.51B12.32%383M184.49%862M140.14%341M-32.67%303M-53.44%142M71.10%450M
Purchase of fixed assets -29.11%-1.72B18.31%-3.11B27.75%-1.33B-34.99%-3.81B-15.60%-1.85B25.33%-2.82B2.09%-1.6B7.82%-3.78B37.55%-1.63B-8.63%-4.1B
Purchase of intangible assets -26.32%-72M22.47%-314M24.00%-57M-128.81%-405M15.73%-75M75.95%-177M85.94%-89M-484.13%-736M-1,372.09%-633M-22.33%-126M
Sale of subsidiaries ----38.17%1.44B-6.07%449M-88.98%1.04B--478M-52.89%9.43B----51.97%20.03B127.37%17.67B2,046.25%13.18B
Acquisition of subsidiaries ---2.49B71.79%-1.13B-------4B------------------------
Recovery of cash from investments -85.82%60M-46.04%2.09B-76.03%423M193.20%3.88B1,818.48%1.77B348.47%1.32B-2.13%92M-15.71%295M-60.17%94M215.32%350M
Cash on investment 58.87%-2.42B-219.06%-17.31B9.04%-5.89B29.43%-5.43B-506.08%-6.48B-242.34%-7.69B-20.25%-1.07B60.55%-2.25B79.53%-889M48.35%-5.69B
Other items in the investment business -89.80%-279M-1,150.00%-75M-7,250.00%-147M-100.00%-6M33.33%-2M84.21%-3M82.35%-3M91.98%-19M-128.33%-17M90.00%-237M
Net cash from investment operations -32.93%-8.65B-176.51%-17.54B-4.94%-6.5B-467.77%-6.34B-221.97%-6.2B-86.05%1.73B-115.60%-1.93B398.15%12.37B939.85%12.34B113.99%2.48B
Net cash before financing -55.73%-3.49B-276.40%-9.39B-185.91%-2.24B-59.64%5.32B111.76%2.61B-42.45%13.18B-91.92%1.23B27.85%22.91B88.98%15.26B933.83%17.92B
Cash flow from financing activities
New borrowing 24.46%13.51B426.26%25.68B376.22%10.85B-66.41%4.88B-82.83%2.28B37.50%14.53B134.41%13.27B-0.56%10.56B-28.94%5.66B-47.70%10.62B
Refund 69.71%-4.56B-59.54%-18.87B-103.74%-15.04B17.85%-11.83B21.80%-7.38B-1.84%-14.4B-21.73%-9.44B19.55%-14.14B16.72%-7.76B-34.65%-17.57B
Dividends paid - financing -13.37%-3.7B-28.72%-5.7B-36.67%-3.26B9.38%-4.43B28.99%-2.39B18.29%-4.88B6.38%-3.36B-30.42%-5.98B-46.49%-3.59B-5.70%-4.58B
Absorb investment income ------1B--986M----------------------------
Issuance expenses and redemption of securities expenses ---684M---2.64B----------------------------86.27%-21M
Other items of the financing business 3.26%-445M9.37%-880M-0.88%-460M-3.85%-971M1.30%-456M6.97%-935M35.29%-462M66.70%-1.01B---714M-118.06%-3.02B
Net cash from financing operations 159.61%4.13B88.64%-1.4B12.88%-6.92B-116.98%-12.34B-99,412.50%-7.95B46.10%-5.69B100.13%8M27.57%-10.55B-67.64%-6.4B-1,147.30%-14.57B
Effect of rate 44.31%-274M-416.94%-973M-469.92%-492M-26.02%307M200.76%133M400.72%415M-325.81%-132M31.00%-138M34.04%-31M-177.22%-200M
Net Cash 106.91%633M-53.65%-10.79B-71.82%-9.17B-193.66%-7.02B-529.81%-5.33B-39.34%7.5B-86.00%1.24B268.79%12.36B108.10%8.86B542.08%3.35B
Begining period cash -52.23%10.76B-22.97%22.52B-22.97%22.52B37.10%29.23B37.10%29.23B134.26%21.32B134.26%21.32B52.95%9.1B52.95%9.1B-7.74%5.95B
Cash at the end -13.57%11.12B-52.23%10.76B-46.48%12.86B-22.97%22.52B7.14%24.03B37.10%29.23B25.08%22.43B134.26%21.32B76.46%17.93B52.95%9.1B
Cash balance analysis
Cash and cash equivalent balance --0--0--0--0--0--0--0--0--0--0
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.

Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
--
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