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Moomoo > Quotes > 01680 MACAU LEGEND > Key Indicators
01680 MACAU LEGEND
0.275
-0.015-5.17%
YOY
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(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30
Per Share IndicaTor
Operating Cash Flow Per Share
21.79% -0.0555 40.25% -0.0255 -253.52% -0.071 -1260.02% -0.0426
Cash Flow Per Share
99.2% -0.0019 100.01% 0 -1381.93% -0.2318 -132.51% -0.1681
Operating Income Per Share
62.06% 0.1831 44.87% 0.0851 -70.2% 0.113 -66.06% 0.0587
Net Asset Per Share
-21.85% 0.6958 -29.94% 0.7767 -25.78% 0.8903 -8.14% 1.1085
Basic Earning Per Share
39.05% -0.192 -24.72% -0.111 -950% -0.315 -423.53% -0.089
Diluted  Earning Per Share
-- -- -- -- -- -0.315 -423.53% -0.089
Profitability
Gross Profit Ratio
51.05% -32.693% 48.3% -32.337% -374.63% -66.785% -374.66% -62.546%
Operating Profit Ratio
49.02% -30.843% -109.18% -121.433% -313.35% -60.497% -326.1% -58.053%
Net Profit Ratio
62.43% -104.831% 13.6% -130.564% -3360.61% -279.017% -1420.71% -151.115%
Earning Before Tax Ratio
62.99% -98.414% 8.79% -123.650% -4402.3% -265.939% -1503.77% -135.561%
ROE
19.62% -24.206% -73.61% -13.323% -1099.45% -30.113% -443.91% -7.674%
ROA
27.38% -14.288% -56.31% -8.160% -1046.61% -19.677% -424.88% -5.220%
Yield Quality
Operating Cash To Total Revenue
51.74% -30.328% 58.75% -29.926% -615.24% -62.846% -3518.71% -72.551%
Capital Structure
Debt Assets Ratio
25.69% 45.861% 34.71% 41.169% 9.79% 36.487% 5.47% 30.561%
Equity Multipler
17.31% 1.8471 18.03% 1.6998 5.12% 1.5745 2.28% 1.4401
Debt Equity Ratio
47.46% 84.710% 59.01% 69.979% 15.41% 57.448% 7.88% 44.011%
Current Assets To tatal Assets
12.06% 5.316% -39.71% 4.767% -73.56% 4.744% -39.48% 7.906%
Non Current Assets To Total Assets
-0.6% 94.684% 3.41% 95.233% 16.09% 95.256% 5.93% 92.094%
Current Liabilities To tatal Liabilities
-8.38% 33.142% 131.86% 92.817% -30.09% 36.173% 5.71% 40.032%
Non Current Liabilities To Total Liabilities
4.75% 66.858% -88.02% 7.183% 32.27% 63.827% -3.48% 59.968%
Solvency
Current Ratio
-2.7% 0.3498 -80.7% 0.1247 -65.55% 0.3595 -45.72% 0.6463
Quick Ratio
-1.58% 0.3297 -81.23% 0.1169 -67.43% 0.335 -46.58% 0.6229
Operating Profit To Current Liabilities
21.75% -0.2891 -17.31% -0.2047 -206.17% -0.3695 -173.25% -0.1745
Operrating Cash Flow To Current Liabilities
25.93% -0.2843 76.87% -0.0505 -356.4% -0.3838 -1207.5% -0.2181
Share Equity Without Minority Interest To Total Liabilities
-32.18% 1.1805 -37.11% 1.429 -13.35% 1.7407 -7.3% 2.2722
Operating Cash Flow To Total Liabilities
32.14% -0.0942 46.36% -0.0468 -279.24% -0.1388 -1270.74% -0.0873
Operating Profit To Total Liabilities
28.3% -0.0958 -172% -0.19 -174.22% -0.1337 -177.43% -0.0699
Operating Capacity
Inventory Turnover(T)
39.04% 57.5844 27.13% 26.5498 -31.5% 41.4162 -25.89% 20.8846
Current Assets Turnover(T)
368.75% 2.7162 403.34% 1.3142 -52.71% 0.5795 -60.98% 0.2611
Fixed Assets Turnover(T)
75.12% 0.1999 57.48% 0.0914 -69.16% 0.1141 -65.63% 0.058
Total Assets Turnover(T)
93.28% 0.1363 80.91% 0.0625 -66.87% 0.0705 -65.48% 0.0345
Growth Ability
Operating Revenue GR 3Y
36.73% -39.123% 22.43% -44.573% -202.44% -61.835% -192.05% -57.462%
Gross Income GR 3Y
11.82% -171.565% 19.5% -155.892% -599.68% -194.563% -354.01% -193.660%
Operating Profit GR 3Y
-302.1% -113.679% -190.36% -119.002% -107.3% -28.271% -114.69% -40.984%
EBT GR 3Y
55.77% -145.593% 23.72% -119.728% -820.43% -329.142% -423.18% -156.957%
Net Profit GR 3Y
43.74% -160.548% 11.79% -124.131% -1007.68% -285.371% -463.88% -140.727%
Net Profit Attributable To The Parent Company GR 3Y
43.74% -160.548% 11.79% -124.131% -1007.68% -285.371% -463.88% -140.727%
Total Assets GR 3Y
-7.62% -27.499% -112.14% -35.098% -3153.81% -25.554% -90.83% -16.545%
Share Equity Without Minority Interest GR 3Y
-282.86% -43.903% -849.27% -43.861% -199.42% -11.467% -42.55% 5.854%
Equity GR 3Y
-282.86% -43.903% -849.27% -43.861% -199.42% -11.467% -42.55% 5.854%
Total Liabilities GR 3Y
125.71% 10.721% 62.27% -16.467% -121.79% -41.701% -22.38% -43.642%
Basic Earning Per Share GR 3Y
44.22% -161.146% 11.49% -124.396% -1007.94% -288.889% -457.74% -140.541%
Net Assets Per Share GR 3Y
-311.65% -43.302% -719.14% -43.260% -185.19% -10.519% -36.85% 6.987%
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
Macau Lijun Establishment Co., Ltd. is an investment holding company mainly engaged in providing gambling services. The company and its subsidiaries operate through two major divisions. The gaming department is engaged in providing gaming-related services for midfield tables, VIP rooms and slot machines, as well as operating casinos in Laos. The non-gaming department is engaged in the operation of Macau Land Plaza, Macau Fisherman's Wharf and Laos, including hotel and other operations (such as franchise income of shops), provision of building management services and catering services.
CEO: Zhukun Li
Market: Hong Kong motherboard
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