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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
Moomoo > Quotes > 00733 HOPEFLUENT > Key Indicators
00733 HOPEFLUENT
1.750
-0.010-0.57%
YOY
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(Q6)2022/06/30(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31
Per Share IndicaTor
Operating Cash Flow Per Share
-145.38% -0.1865 -226.82% -1.5159 -56.20% 0.411 -11.88% 1.1954
Cash Flow Per Share
-464.35% -0.4402 -304.59% -1.8133 -79.47% 0.1208 3.73% 0.8863
Operating Income Per Share
-24.36% 4.411 15.72% 10.6295 50.72% 5.8315 1.91% 9.1857
Net Asset Per Share
-33.39% 3.4828 -15.31% 4.3709 7.01% 5.2287 6.42% 5.1609
Basic Earning Per Share
-1,583.78% -0.7226 -395.97% -0.808 -54.61% 0.0487 -62.24% 0.273
Diluted  Earning Per Share
-1,583.78% -0.7226 -395.97% -0.808 -54.61% 0.0487 -62.24% 0.273
Profitability
Operating Profit Ratio
-753.81% -13.809% -236.09% -11.210% -77.19% 2.112% -28.01% 8.237%
Net Profit Ratio
-2,192.80% -22.325% -277.55% -10.504% -82.67% 1.067% -48.65% 5.916%
Earning Before Tax Ratio
-1,585.34% -21.578% -255.53% -11.885% -82.33% 1.453% -27.54% 7.642%
ROE
-2,064.92% -18.403% -411.04% -16.956% -57.52% 0.937% -65.07% 5.452%
ROA
-1,818.39% -7.440% -383.59% -7.532% -61.85% 0.433% -66.40% 2.656%
Yield Quality
Operating Profit To Total Profits
-- -- -- -- 29.06% 145.392% -0.65% 107.786%
Tax To Total Profits
-- -- -- -- 5.76% 26.568% -18.37% 22.581%
Operating Cash To Total Revenue
-160.00% -4.229% -209.59% -14.262% -70.94% 7.048% -13.54% 13.013%
Capital Structure
Debt Assets Ratio
25.89% 45.941% 15.79% 41.201% 21.31% 36.493% 13.10% 35.584%
Equity Multipler
19.29% 2.5987 10.53% 2.3736 12.66% 2.1784 10.05% 2.1475
Debt Equity Ratio
47.89% 84.983% 26.85% 70.070% 33.55% 57.463% 20.34% 55.240%
Current Assets To tatal Assets
1.13% 86.981% -2.68% 82.091% 0.67% 86.010% 2.22% 84.354%
Non Current Assets To Total Assets
-6.94% 13.019% 14.47% 17.909% -3.95% 13.990% -10.47% 15.646%
Current Liabilities To tatal Liabilities
2.44% 87.549% -4.19% 85.788% -4.02% 85.460% 0.42% 89.540%
Non Current Liabilities To Total Liabilities
-14.36% 12.451% 35.88% 14.212% 32.69% 14.540% -3.43% 10.460%
Solvency
Current Ratio
-21.58% 2.1626 -12.27% 2.3225 -13.53% 2.7579 -10.00% 2.6475
Operating Profit To Current Liabilities
-582.60% -0.1673 -251.65% -0.3249 -75.51% 0.0347 -44.84% 0.2143
Operrating Cash Flow To Current Liabilities
-144.28% -0.0512 -222.12% -0.4134 -68.80% 0.1157 -33.75% 0.3385
Share Equity Without Minority Interest To Total Liabilities
-33.41% 0.8376 -21.86% 1.0226 -26.83% 1.2579 -19.66% 1.3086
Operating Cash Flow To Total Liabilities
-145.37% -0.0449 -217.01% -0.3547 -70.05% 0.0989 -33.48% 0.3031
Operating Profit To Total Liabilities
-594.39% -0.1465 -245.30% -0.2788 -76.49% 0.0296 -44.61% 0.1919
Operating Capacity
Current Assets Turnover(T)
-11.64% 0.5383 11.14% 1.1899 25.02% 0.6092 -12.17% 1.0707
Fixed Assets Turnover(T)
-31.78% 10.3038 -0.37% 24.5171 38.15% 15.1042 5.08% 24.6085
Total Assets Turnover(T)
-12.49% 0.4541 10.80% 0.9907 26.83% 0.519 -9.84% 0.8941
Growth Ability
Operating Revenue GR 3Y
-113.67% -8.528% -3.25% 31.493% 288.30% 62.370% -38.83% 32.551%
Operating Profit GR 3Y
-293.69% -241.637% -4,945.19% -220.617% -379.19% -61.378% -109.79% -4.373%
EBT GR 3Y
-387.78% -345.655% -6,317.75% -235.098% -501.89% -70.864% -109.68% -3.663%
Net Profit GR 3Y
-539.27% -447.803% -3,837.62% -265.956% -369.10% -70.049% -94.05% 7.116%
Net Profit Attributable To The Parent Company GR 3Y
-635.23% -559.867% -487.47% -266.606% -88.04% -76.148% -175.31% -45.382%
Total Assets GR 3Y
-104.18% -3.101% -72.43% 19.077% 8.97% 74.212% -14.49% 69.194%
Share Equity Without Minority Interest GR 3Y
-210.25% -22.295% -98.63% 0.312% -34.73% 20.223% -38.20% 22.863%
Equity GR 3Y
-129.63% -19.185% -93.09% 4.723% -12.12% 64.760% -14.55% 68.384%
Total Liabilities GR 3Y
-71.63% 26.534% -32.04% 48.035% 65.80% 93.535% -14.74% 70.679%
Basic Earning Per Share GR 3Y
-627.74% -555.612% -477.96% -264.898% -86.01% -76.348% -176.45% -45.833%
Net Assets Per Share GR 3Y
-220.28% -23.003% -102.77% -0.603% -35.79% 19.126% -39.18% 21.742%
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
The company was founded in 1995 hopefluent is the leading real estate developer for primary and secondary school property market in Guangzhou. The working group is listed on the Hong Kong Stock Exchange on July 15 2004 (stock code: 0733). As a partner, hopefluent, a leading real estate developer in Guangzhou, provides a full range of value-added services, from planned marketing programs and related consulting services, to handle sales and mortgage arrangements to promote exclusive distribution of real estate projects. The group has more than 20 offices in China. In addition to the strong market in Guangzhou, the group's offices include Dongguan, Foshan, Tianjin, Shanghai, Anhui, Hubei, Hunan, Shandong and Guizhou.
CEO: Weicong Fu
Market: Hong Kong motherboard
Listing Date: 07/15/2004
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