donwloadimg

Download App

Log in to access Online Inquiry
Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
Moomoo > Quotes > 00635 PLAYMATES > Key Indicators
00635 PLAYMATES
0.670
-0.040-5.63%
YOY
Do not show
Hide blank lines
(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30
Per Share IndicaTor
Operating Cash Flow Per Share
64.25% 0.0765 199.32% 0.0508 -62.67% 0.0466 25.25% 0.017
Cash Flow Per Share
88.6% -0.0034 203.91% 0.0312 -199.68% -0.0296 -373.84% -0.03
Operating Income Per Share
60.71% 0.4118 57.97% 0.1565 -12.86% 0.2563 -31.06% 0.0991
Net Asset Per Share
-1.75% 2.8331 -4.71% 2.8444 -8.17% 2.8836 -7.38% 2.985
Basic Earning Per Share
90.2% -0.0236 75.3% -0.0309 -219.2% -0.2409 -246.66% -0.1251
Diluted  Earning Per Share
90.2% -0.0236 75.3% -0.0309 -219.2% -0.2409 -246.66% -0.1251
Profitability
Gross Profit Ratio
-11.95% 60.862% -10.75% 66.028% 0.89% 69.121% 5.77% 73.979%
Operating Profit Ratio
101.21% 1.090% 91.3% -11.353% -226.82% -89.982% -308.72% -130.491%
Net Profit Ratio
96.83% -3.089% 87.75% -17.054% -252.62% -97.421% -344.36% -139.164%
Earning Before Tax Ratio
99.38% -0.555% 90.3% -12.650% -225.17% -89.833% -310.89% -130.414%
ROE
89.67% -0.827% 73.6% -1.079% -226.27% -8.005% -251.37% -4.086%
ROA
89.84% -0.659% 73.98% -0.864% -225.9% -6.491% -251.45% -3.319%
Yield Quality
Operating Cash To Total Revenue
2.21% 18.573% 89.47% 32.433% -57.16% 18.172% 81.7% 17.118%
Capital Structure
Debt Assets Ratio
17.09% 14.960% 12.82% 14.508% -1.13% 12.777% -1.4% 12.860%
Equity Multipler
3.08% 1.2731 2.63% 1.2632 0.26% 1.2351 -0.45% 1.2308
Debt Equity Ratio
20.1% 17.592% 14.99% 16.970% -1.3% 14.648% -1.61% 14.758%
Current Assets To tatal Assets
11.82% 25.028% 10.62% 23.784% 2.75% 22.382% -5.91% 21.502%
Non Current Assets To Total Assets
-3.41% 74.972% -2.91% 76.216% -0.76% 77.618% 1.75% 78.498%
Current Liabilities To tatal Liabilities
5.04% 77.423% 1.97% 76.045% -2.11% 73.711% 0.43% 74.577%
Non Current Liabilities To Total Liabilities
-14.12% 22.577% -5.77% 23.955% 6.44% 26.289% -1.24% 25.423%
Solvency
Current Ratio
-9.08% 2.1608 -3.84% 2.1558 6.16% 2.3765 -4.98% 2.242
Quick Ratio
-11.32% 2.0943 -4.24% 2.1332 6.68% 2.3617 -4.62% 2.2276
Operating Profit To Current Liabilities
101.56% 0.0107 87.78% -0.0448 -224.02% -0.6875 -257.6% -0.3669
Operrating Cash Flow To Current Liabilities
31.88% 0.1831 166.06% 0.128 -58.1% 0.1388 37.19% 0.0481
Share Equity Without Minority Interest To Total Liabilities
-17.15% 5.2506 -13.63% 5.4565 0.88% 6.3371 1.88% 6.3177
Operating Cash Flow To Total Liabilities
38.52% 0.1418 171.3% 0.0974 -58.99% 0.1023 37.78% 0.0359
Operating Profit To Total Liabilities
101.64% 0.0083 87.54% -0.0341 -221.4% -0.5068 -258.28% -0.2736
Operating Capacity
Current Assets Turnover(T)
55.85% 0.4843 56.31% 0.1894 -9.57% 0.3107 -23.4% 0.1212
Fixed Assets Turnover(T)
71.3% 0.1522 70% 0.0575 -11.24% 0.0888 -28.88% 0.0338
Total Assets Turnover(T)
67.45% 0.1148 66.7% 0.0437 -10.96% 0.0686 -27.76% 0.0262
Growth Ability
Operating Revenue GR 3Y
137.01% 17.341% 145.06% 24.026% 6.7% -46.860% 10.89% -53.320%
Gross Income GR 3Y
145.76% 22.424% 147.81% 26.773% 3.81% -49.006% 7.51% -55.996%
Operating Profit GR 3Y
57.09% -98.153% 65.86% -117.120% -133.11% -228.740% -128.07% -343.048%
EBT GR 3Y
56.04% -100.865% 65.48% -119.281% -124.59% -229.472% -117.3% -345.555%
Net Profit GR 3Y
60.85% -105.108% 70.46% -127.322% -131.32% -268.443% -221.53% -431.075%
Net Profit Attributable To The Parent Company GR 3Y
60.88% -109.494% 73.06% -129.452% -158.5% -279.875% -289.81% -480.550%
Total Assets GR 3Y
-136.78% -5.514% -241.34% -3.407% -124.91% -2.329% -55.2% 2.411%
Share Equity Without Minority Interest GR 3Y
-234.6% -8.895% -268.9% -5.870% -132.17% -2.658% -44.34% 3.475%
Equity GR 3Y
-147.24% -8.411% -400.91% -5.577% -154.33% -3.402% -55.83% 1.853%
Total Liabilities GR 3Y
167.21% 15.203% 84.48% 11.721% -84.18% 5.689% -54.7% 6.353%
Basic Earning Per Share GR 3Y
60.72% -109.169% 73.37% -128.219% -299.04% -277.917% -514.66% -481.402%
Net Assets Per Share GR 3Y
-48.91% -8.459% -615.11% -10.323% 93.61% -5.681% 102.26% 2.004%
Other Indicators
Currency Unit
HKDHKDHKDHKD

Q6, Q9, and FY are cumulative quarterly reports: Q6 is the interim report; Q9 is third quarter report; FY is the annual report.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

Company Overview More
Caixing Group Co., Ltd. is a Hong Kong investment holding company mainly engaged in toy business. The company operates through three major divisions. The property Investment and related Business Division is engaged in investment and leasing of commercial, industrial and residential properties, provision of property management services and operation of restaurants. The investment segment invests in financial instruments, including listed shares and managed funds. The Toy Division is engaged in the design, development, marketing and distribution of toys and family entertainment products.
CEO: Guanghui Chen
Market: Hong Kong motherboard
Hot List
TradeSearchNews
SymbolLatest price%Chg

Loading...