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02342 COMBA

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  • 0.610
  • 0.0000.00%
Not Open 02/20 16:08 CST
1.69BMarket Cap7.92P/E (TTM)

COMBA Key Stats

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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
Assets
Current assets
Inventory
-19.28%1.12B
6.75%1.45B
-1.28%1.39B
6.31%1.36B
-1.39%1.41B
7.10%1.28B
7.02%1.43B
-8.84%1.19B
-17.88%1.33B
-3.93%1.31B
Accounts receivable
-6.97%3.84B
-6.45%3.86B
-0.56%4.13B
-0.04%4.13B
7.82%4.15B
3.33%4.13B
-13.08%3.85B
-4.01%4B
-2.29%4.43B
-7.92%4.16B
Notes receivable
-43.71%95.57M
15.93%112.57M
114.85%169.78M
-27.60%97.11M
61.30%79.02M
-14.47%134.13M
-40.82%48.99M
31.84%156.82M
12.04%82.78M
39.21%118.95M
Advance deposits and other receivables
-10.16%448M
-31.33%430.57M
-20.98%498.64M
-24.98%626.99M
-14.85%631.06M
5.68%835.81M
-34.02%741.08M
-19.69%790.9M
16.38%1.12B
11.11%984.85M
Withholding and tax receivable
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-29.21%46.42M
-0.75%48.33M
Cash and equivalents
-7.93%1.56B
-7.30%1.53B
-4.23%1.7B
-3.76%1.65B
0.11%1.77B
-8.05%1.72B
18.30%1.77B
-1.41%1.87B
47.98%1.5B
61.02%1.89B
Fixed time deposit-current assets
38.73%162.45M
-53.83%113.18M
--117.1M
--245.15M
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Secured deposit
-39.94%69.33M
-6.34%101.06M
-18.17%115.43M
-19.30%107.9M
-7.01%141.06M
-20.97%133.7M
-10.28%151.7M
-18.63%169.18M
1.49%169.08M
-11.44%207.91M
Financial assets at fair value-current assets
9.52%2.51M
464.15%17.5M
76.10%2.29M
110.31%3.1M
-16.60%1.3M
--1.48M
--1.56M
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Total current assets
-10.05%7.3B
-7.31%7.62B
-0.80%8.12B
-0.13%8.22B
2.40%8.18B
0.68%8.23B
-7.94%7.99B
-6.33%8.17B
2.87%8.68B
4.94%8.73B
Non-current assets
Property, plant and equipment
-8.66%1.12B
-11.82%1.19B
-7.82%1.22B
-0.70%1.35B
6.67%1.33B
2.80%1.36B
5.76%1.24B
17.02%1.32B
13.92%1.18B
1.93%1.13B
Advance payment
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-0.12%126.78M
Interests in Joint Venture
-71.81%4.98M
-65.18%6.39M
6.85%17.66M
54.81%18.35M
--16.52M
--11.86M
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Fixed time deposit-non-current assets
-52.38%172.85M
36.31%350.86M
--363.01M
--257.41M
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Secured deposits-non-current assets
-17.63%25.17M
3.37%27.08M
-12.65%30.56M
-0.65%26.2M
-43.06%34.98M
-63.14%26.37M
-28.35%61.43M
-7.81%71.53M
-26.67%85.74M
-21.79%77.6M
Financial assets at fair value-non-current assets
9.15%102M
-0.73%89.87M
208.25%93.44M
193.46%90.53M
8.30%30.31M
8.35%30.85M
--27.99M
-15.11%28.47M
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--33.54M
Intangible assets
-8.37%687.37M
-9.94%726.15M
-12.49%750.12M
-8.54%806.27M
-2.27%857.21M
2.53%881.57M
3.96%877.1M
0.44%859.85M
-2.90%843.67M
0.90%856.05M
Goodwill
0.00%242.77M
0.00%242.77M
-4.07%242.77M
-4.07%242.77M
0.00%253.08M
0.00%253.08M
0.00%253.08M
0.00%253.08M
0.00%253.08M
0.00%253.08M
Deferred tax assets
-78.70%45.36M
-73.59%59.58M
3.78%212.99M
5.78%225.61M
12.98%205.24M
4.51%213.28M
86.85%181.65M
100.04%204.06M
-23.14%97.22M
-17.42%102.01M
Special items of non-current assets
12.10%290.74M
-4.32%267.71M
-11.55%259.37M
-13.19%279.8M
30.67%293.23M
20.86%322.31M
-5.88%224.41M
--266.68M
--238.44M
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Total non-current assets
-15.81%2.69B
-10.19%2.96B
5.82%3.19B
6.40%3.29B
5.15%3.02B
3.08%3.1B
6.50%2.87B
16.55%3B
5.13%2.69B
-0.00%2.58B
Total assets
-11.67%9.99B
-8.14%10.58B
0.98%11.31B
1.65%11.51B
3.13%11.2B
1.32%11.33B
-4.52%10.86B
-1.11%11.18B
3.39%11.37B
3.77%11.3B
Liabilities
Current liabilities
Accounts payable
-10.82%3.9B
-10.85%4.05B
10.69%4.37B
12.75%4.54B
5.00%3.95B
0.12%4.03B
-12.91%3.76B
-6.67%4.03B
17.24%4.32B
17.14%4.31B
Tax payable
16.11%95.47M
-2.88%71.41M
-1.04%82.23M
-6.51%73.53M
-2.52%83.09M
-5.05%78.65M
--85.23M
--82.84M
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Other payables and accrued expenses
-0.25%594.9M
-8.30%571.51M
-0.44%596.42M
-26.23%623.22M
-13.75%599.03M
-22.66%844.87M
-30.27%694.54M
13.70%1.09B
21.05%996.08M
-9.61%960.83M
Bank loans and overdrafts
13.64%968.03M
16.64%751.99M
-38.74%851.8M
-33.68%644.74M
156.14%1.39B
744.74%972.17M
856.77%542.85M
-92.92%115.09M
-96.87%56.74M
49.24%1.62B
Provision-current liabilities
-6.55%68.6M
-6.65%70.28M
-2.16%73.41M
1.31%75.29M
6.20%75.03M
0.74%74.31M
-1.32%70.64M
15.56%73.76M
-0.99%71.59M
-8.60%63.83M
Total current liabilities
-5.86%5.63B
-7.46%5.52B
-1.99%5.98B
-0.65%5.96B
18.28%6.1B
11.33%6B
-5.30%5.16B
-22.59%5.39B
-14.84%5.44B
17.94%6.96B
Net current assets
-21.75%1.67B
-6.92%2.1B
2.68%2.14B
1.28%2.26B
-26.48%2.08B
-19.95%2.23B
-12.39%2.83B
57.91%2.78B
58.22%3.24B
-26.89%1.76B
Total assets less current liabilities
-18.19%4.36B
-8.86%5.06B
4.54%5.33B
4.26%5.55B
-10.57%5.1B
-7.99%5.32B
-3.81%5.7B
33.35%5.79B
28.69%5.93B
-13.00%4.34B
Non-current liabilities
Long-term bank loan
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-26.25%590M
--760M
94.98%800M
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-75.03%410.3M
-49.63%920.6M
337.49%1.64B
578.77%1.83B
-23.96%375.56M
Financial lease liabilities-non-current liabilities
-11.54%39.56M
-21.72%47.21M
-40.19%44.73M
-41.79%60.3M
11.04%74.78M
9.73%103.59M
6.82%67.34M
--94.41M
--63.04M
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Deferred tax liability
9.30%173.44M
1.88%167.15M
7.72%158.69M
10.48%164.06M
-0.68%147.32M
-2.57%148.5M
-4.86%148.32M
-3.84%152.42M
-4.59%155.89M
-2.44%158.51M
Deferred income-non-current liabilities
--20.32M
--15.86M
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Special items of non-current liabilities
-19.79%261.2M
-20.06%274.03M
16.00%325.66M
206.30%342.77M
--280.74M
--111.91M
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Total non-current liabilities
-61.64%494.52M
-19.96%1.09B
156.36%1.29B
76.56%1.37B
-55.75%502.84M
-59.03%774.3M
-44.48%1.14B
253.86%1.89B
373.04%2.05B
-18.63%534.06M
Total liabilities
-15.75%6.12B
-9.79%6.61B
10.07%7.27B
8.17%7.33B
4.91%6.6B
-6.94%6.78B
-16.01%6.29B
-2.89%7.28B
9.75%7.49B
14.28%7.5B
Total assets less total liabilities
-4.34%3.87B
-5.24%3.96B
-12.06%4.04B
-8.05%4.18B
0.68%4.6B
16.76%4.55B
17.64%4.57B
2.40%3.9B
-7.00%3.88B
-12.14%3.81B
Total equity and non-current liabilities
-18.19%4.36B
-8.86%5.06B
4.54%5.33B
4.26%5.55B
-10.57%5.1B
-7.99%5.32B
-3.81%5.7B
33.35%5.79B
28.69%5.93B
-13.00%4.34B
Equity
Share capital
-0.06%277.79M
0.05%278.02M
0.78%277.96M
1.03%277.89M
0.61%275.79M
10.64%275.06M
10.62%274.13M
2.75%248.6M
2.43%247.82M
-2.03%241.95M
Reserve
-4.13%3.38B
-1.32%3.47B
-9.20%3.53B
-8.69%3.52B
1.19%3.89B
19.14%3.85B
20.90%3.84B
5.77%3.24B
-6.75%3.18B
-13.64%3.06B
Legal reserve
-4.13%3.38B
-1.32%3.47B
-9.20%3.53B
-8.69%3.52B
1.19%3.89B
19.14%3.85B
20.90%3.84B
5.77%3.24B
-6.75%3.18B
-13.64%3.06B
Special items of shareholders' rights and interests
-51.36%-34.54M
0.00%-22.82M
0.00%-22.82M
0.00%-22.82M
0.00%-22.82M
0.00%-22.82M
0.00%-22.82M
0.00%-22.82M
0.00%-22.82M
0.00%-22.82M
Shareholders' Equity
-4.17%3.63B
-1.23%3.73B
-8.59%3.78B
-8.09%3.77B
1.16%4.14B
18.66%4.11B
20.29%4.09B
5.58%3.46B
-6.18%3.4B
-12.96%3.28B
Non-controlling interest
-6.83%240.54M
-42.21%236.42M
-43.55%258.19M
-7.68%409.1M
-3.48%457.35M
1.68%443.12M
-1.20%473.83M
-17.38%435.81M
-12.41%479.58M
-6.67%527.46M
Total equity
-4.34%3.87B
-5.24%3.96B
-12.06%4.04B
-8.05%4.18B
0.68%4.6B
16.76%4.55B
17.64%4.57B
2.40%3.9B
-7.00%3.88B
-12.14%3.81B
Total equity and total liabilities
-11.67%9.99B
-8.14%10.58B
0.98%11.31B
1.65%11.51B
3.13%11.2B
1.32%11.33B
-4.52%10.86B
-1.11%11.18B
3.39%11.37B
3.77%11.3B
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
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
(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
Assets
Current assets
Inventory -19.28%1.12B6.75%1.45B-1.28%1.39B6.31%1.36B-1.39%1.41B7.10%1.28B7.02%1.43B-8.84%1.19B-17.88%1.33B-3.93%1.31B
Accounts receivable -6.97%3.84B-6.45%3.86B-0.56%4.13B-0.04%4.13B7.82%4.15B3.33%4.13B-13.08%3.85B-4.01%4B-2.29%4.43B-7.92%4.16B
Notes receivable -43.71%95.57M15.93%112.57M114.85%169.78M-27.60%97.11M61.30%79.02M-14.47%134.13M-40.82%48.99M31.84%156.82M12.04%82.78M39.21%118.95M
Advance deposits and other receivables -10.16%448M-31.33%430.57M-20.98%498.64M-24.98%626.99M-14.85%631.06M5.68%835.81M-34.02%741.08M-19.69%790.9M16.38%1.12B11.11%984.85M
Withholding and tax receivable ---------------------------------29.21%46.42M-0.75%48.33M
Cash and equivalents -7.93%1.56B-7.30%1.53B-4.23%1.7B-3.76%1.65B0.11%1.77B-8.05%1.72B18.30%1.77B-1.41%1.87B47.98%1.5B61.02%1.89B
Fixed time deposit-current assets 38.73%162.45M-53.83%113.18M--117.1M--245.15M------------------------
Secured deposit -39.94%69.33M-6.34%101.06M-18.17%115.43M-19.30%107.9M-7.01%141.06M-20.97%133.7M-10.28%151.7M-18.63%169.18M1.49%169.08M-11.44%207.91M
Financial assets at fair value-current assets 9.52%2.51M464.15%17.5M76.10%2.29M110.31%3.1M-16.60%1.3M--1.48M--1.56M------------
Total current assets -10.05%7.3B-7.31%7.62B-0.80%8.12B-0.13%8.22B2.40%8.18B0.68%8.23B-7.94%7.99B-6.33%8.17B2.87%8.68B4.94%8.73B
Non-current assets
Property, plant and equipment -8.66%1.12B-11.82%1.19B-7.82%1.22B-0.70%1.35B6.67%1.33B2.80%1.36B5.76%1.24B17.02%1.32B13.92%1.18B1.93%1.13B
Advance payment -------------------------------------0.12%126.78M
Interests in Joint Venture -71.81%4.98M-65.18%6.39M6.85%17.66M54.81%18.35M--16.52M--11.86M----------------
Fixed time deposit-non-current assets -52.38%172.85M36.31%350.86M--363.01M--257.41M------------------------
Secured deposits-non-current assets -17.63%25.17M3.37%27.08M-12.65%30.56M-0.65%26.2M-43.06%34.98M-63.14%26.37M-28.35%61.43M-7.81%71.53M-26.67%85.74M-21.79%77.6M
Financial assets at fair value-non-current assets 9.15%102M-0.73%89.87M208.25%93.44M193.46%90.53M8.30%30.31M8.35%30.85M--27.99M-15.11%28.47M------33.54M
Intangible assets -8.37%687.37M-9.94%726.15M-12.49%750.12M-8.54%806.27M-2.27%857.21M2.53%881.57M3.96%877.1M0.44%859.85M-2.90%843.67M0.90%856.05M
Goodwill 0.00%242.77M0.00%242.77M-4.07%242.77M-4.07%242.77M0.00%253.08M0.00%253.08M0.00%253.08M0.00%253.08M0.00%253.08M0.00%253.08M
Deferred tax assets -78.70%45.36M-73.59%59.58M3.78%212.99M5.78%225.61M12.98%205.24M4.51%213.28M86.85%181.65M100.04%204.06M-23.14%97.22M-17.42%102.01M
Special items of non-current assets 12.10%290.74M-4.32%267.71M-11.55%259.37M-13.19%279.8M30.67%293.23M20.86%322.31M-5.88%224.41M--266.68M--238.44M----
Total non-current assets -15.81%2.69B-10.19%2.96B5.82%3.19B6.40%3.29B5.15%3.02B3.08%3.1B6.50%2.87B16.55%3B5.13%2.69B-0.00%2.58B
Total assets -11.67%9.99B-8.14%10.58B0.98%11.31B1.65%11.51B3.13%11.2B1.32%11.33B-4.52%10.86B-1.11%11.18B3.39%11.37B3.77%11.3B
Liabilities
Current liabilities
Accounts payable -10.82%3.9B-10.85%4.05B10.69%4.37B12.75%4.54B5.00%3.95B0.12%4.03B-12.91%3.76B-6.67%4.03B17.24%4.32B17.14%4.31B
Tax payable 16.11%95.47M-2.88%71.41M-1.04%82.23M-6.51%73.53M-2.52%83.09M-5.05%78.65M--85.23M--82.84M--------
Other payables and accrued expenses -0.25%594.9M-8.30%571.51M-0.44%596.42M-26.23%623.22M-13.75%599.03M-22.66%844.87M-30.27%694.54M13.70%1.09B21.05%996.08M-9.61%960.83M
Bank loans and overdrafts 13.64%968.03M16.64%751.99M-38.74%851.8M-33.68%644.74M156.14%1.39B744.74%972.17M856.77%542.85M-92.92%115.09M-96.87%56.74M49.24%1.62B
Provision-current liabilities -6.55%68.6M-6.65%70.28M-2.16%73.41M1.31%75.29M6.20%75.03M0.74%74.31M-1.32%70.64M15.56%73.76M-0.99%71.59M-8.60%63.83M
Total current liabilities -5.86%5.63B-7.46%5.52B-1.99%5.98B-0.65%5.96B18.28%6.1B11.33%6B-5.30%5.16B-22.59%5.39B-14.84%5.44B17.94%6.96B
Net current assets -21.75%1.67B-6.92%2.1B2.68%2.14B1.28%2.26B-26.48%2.08B-19.95%2.23B-12.39%2.83B57.91%2.78B58.22%3.24B-26.89%1.76B
Total assets less current liabilities -18.19%4.36B-8.86%5.06B4.54%5.33B4.26%5.55B-10.57%5.1B-7.99%5.32B-3.81%5.7B33.35%5.79B28.69%5.93B-13.00%4.34B
Non-current liabilities
Long-term bank loan -----26.25%590M--760M94.98%800M-----75.03%410.3M-49.63%920.6M337.49%1.64B578.77%1.83B-23.96%375.56M
Financial lease liabilities-non-current liabilities -11.54%39.56M-21.72%47.21M-40.19%44.73M-41.79%60.3M11.04%74.78M9.73%103.59M6.82%67.34M--94.41M--63.04M----
Deferred tax liability 9.30%173.44M1.88%167.15M7.72%158.69M10.48%164.06M-0.68%147.32M-2.57%148.5M-4.86%148.32M-3.84%152.42M-4.59%155.89M-2.44%158.51M
Deferred income-non-current liabilities --20.32M--15.86M--------------------------------
Special items of non-current liabilities -19.79%261.2M-20.06%274.03M16.00%325.66M206.30%342.77M--280.74M--111.91M----------------
Total non-current liabilities -61.64%494.52M-19.96%1.09B156.36%1.29B76.56%1.37B-55.75%502.84M-59.03%774.3M-44.48%1.14B253.86%1.89B373.04%2.05B-18.63%534.06M
Total liabilities -15.75%6.12B-9.79%6.61B10.07%7.27B8.17%7.33B4.91%6.6B-6.94%6.78B-16.01%6.29B-2.89%7.28B9.75%7.49B14.28%7.5B
Total assets less total liabilities -4.34%3.87B-5.24%3.96B-12.06%4.04B-8.05%4.18B0.68%4.6B16.76%4.55B17.64%4.57B2.40%3.9B-7.00%3.88B-12.14%3.81B
Total equity and non-current liabilities -18.19%4.36B-8.86%5.06B4.54%5.33B4.26%5.55B-10.57%5.1B-7.99%5.32B-3.81%5.7B33.35%5.79B28.69%5.93B-13.00%4.34B
Equity
Share capital -0.06%277.79M0.05%278.02M0.78%277.96M1.03%277.89M0.61%275.79M10.64%275.06M10.62%274.13M2.75%248.6M2.43%247.82M-2.03%241.95M
Reserve -4.13%3.38B-1.32%3.47B-9.20%3.53B-8.69%3.52B1.19%3.89B19.14%3.85B20.90%3.84B5.77%3.24B-6.75%3.18B-13.64%3.06B
Legal reserve -4.13%3.38B-1.32%3.47B-9.20%3.53B-8.69%3.52B1.19%3.89B19.14%3.85B20.90%3.84B5.77%3.24B-6.75%3.18B-13.64%3.06B
Special items of shareholders' rights and interests -51.36%-34.54M0.00%-22.82M0.00%-22.82M0.00%-22.82M0.00%-22.82M0.00%-22.82M0.00%-22.82M0.00%-22.82M0.00%-22.82M0.00%-22.82M
Shareholders' Equity -4.17%3.63B-1.23%3.73B-8.59%3.78B-8.09%3.77B1.16%4.14B18.66%4.11B20.29%4.09B5.58%3.46B-6.18%3.4B-12.96%3.28B
Non-controlling interest -6.83%240.54M-42.21%236.42M-43.55%258.19M-7.68%409.1M-3.48%457.35M1.68%443.12M-1.20%473.83M-17.38%435.81M-12.41%479.58M-6.67%527.46M
Total equity -4.34%3.87B-5.24%3.96B-12.06%4.04B-8.05%4.18B0.68%4.6B16.76%4.55B17.64%4.57B2.40%3.9B-7.00%3.88B-12.14%3.81B
Total equity and total liabilities -11.67%9.99B-8.14%10.58B0.98%11.31B1.65%11.51B3.13%11.2B1.32%11.33B-4.52%10.86B-1.11%11.18B3.39%11.37B3.77%11.3B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young

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.

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