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03329 BOCOM INTL

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  • 0.280
  • -0.005-1.75%
Market Closed Mar 28 16:08 CST
765.63MMarket Cap-521P/E (TTM)

BOCOM INTL Key Stats

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YOY yoy
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(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
(Q6)Jun 30, 2019
(FY)Dec 31, 2018
Cash flow from operating activities
Earning before tax
78.01%-368.66M
-948.97%-2.98B
-360.85%-1.68B
-61.91%351.55M
99.41%642.75M
73.66%923.03M
13.39%322.32M
21.45%531.51M
17.76%284.27M
0.34%437.65M
Profit adjustment
Interest (income) - adjustment
18.84%-325.26M
6.21%-744M
-9.44%-400.75M
-12.79%-793.29M
-6.75%-366.16M
-18.75%-703.36M
0.72%-343M
19.73%-592.32M
8.77%-345.5M
-40.91%-737.88M
Dividend (income)- adjustment
14.27%-45.02M
39.02%-100.79M
-10.13%-52.51M
-77.38%-165.28M
-75.33%-47.68M
15.38%-93.18M
18.12%-27.2M
20.83%-110.11M
13.90%-33.21M
-100.33%-139.08M
Attributable subsidiary (profit) loss
-322.69%-5.09M
-838.71%-34.77M
409.35%2.29M
-138.27%-3.7M
-98.30%449K
136.55%9.68M
248.97%26.38M
-19,288.41%-26.48M
-4,256.10%-17.71M
113.65%138K
Impairment and provisions:
-62.65%159.24M
365.55%1.2B
585.29%426.38M
-2.13%256.72M
-64.01%62.22M
432.78%262.32M
2,062.62%172.86M
336.96%49.24M
104.48%7.99M
-125.85%-20.78M
-Other impairments and provisions
-62.65%159.24M
365.55%1.2B
585.29%426.38M
-2.13%256.72M
-64.01%62.22M
432.78%262.32M
2,062.62%172.86M
336.96%49.24M
104.48%7.99M
-125.85%-20.78M
Revaluation surplus:
-121.90%-162.54M
2,493.05%734.95M
262.10%742.11M
96.33%-30.71M
---457.81M
---835.99M
--0
--0
-9,846.55%-121.44M
--0
-Derivative financial instruments fair value (increase)
-100.00%18K
240.94%474.02M
3,890.53%383.79M
--139.03M
---10.13M
----
----
----
--684K
----
-Other fair value changes
-145.37%-162.56M
253.72%260.93M
180.04%358.31M
79.70%-169.75M
---447.68M
---835.99M
----
----
-9,901.44%-122.13M
----
Asset sale loss (gain):
--0
---9K
---10K
--0
--0
1,100.00%36K
--0
100.02%3K
--0
76.07%-14.6M
-Loss (gain) from sale of subsidiary company
----
----
----
----
----
----
----
----
----
---15.38M
-Loss (gain) on sale of property, machinery and equipment
----
---9K
---10K
----
----
1,100.00%36K
----
-99.62%3K
----
--781K
Depreciation and amortization:
16.76%62.92M
17.12%116.59M
13.30%53.89M
19.54%99.55M
19.36%47.56M
6.68%83.28M
2.36%39.85M
786.53%78.06M
847.15%38.93M
1.38%8.81M
-Depreciation
16.76%62.92M
17.12%116.59M
13.30%53.89M
19.54%99.55M
19.36%47.56M
6.68%83.28M
2.36%39.85M
786.53%78.06M
847.15%38.93M
1.38%8.81M
Financial expense
147.85%352.17M
109.34%478.32M
33.63%142.09M
-18.29%228.49M
-34.13%106.33M
-21.36%279.64M
-2.17%161.41M
0.96%355.6M
-0.17%165M
164.78%352.23M
Exchange Loss (gain)
-106.51%-5.27M
-59.40%19.49M
645.59%80.91M
312.94%48.01M
137.26%10.85M
54.90%-22.55M
-32.71%-29.12M
-588.15%-49.99M
-277.25%-21.95M
-431.38%-7.26M
Special items
----
----
----
----
----
102.89%7.92M
---396.22M
-4,913.78%-274.25M
----
---5.47M
Operating profit before the change of operating capital
50.53%-337.52M
-15,129.17%-1.32B
-45,411.67%-682.22M
90.28%-8.67M
97.94%-1.5M
-130.12%-89.17M
-66.72%-72.73M
69.31%-38.75M
66.12%-43.62M
-219.43%-126.26M
Change of operating capital
Accounts receivable (increase)decrease
-59.53%115.6M
162.51%301.4M
119.68%285.64M
24.90%-482.18M
-46.41%-1.45B
-434.58%-642.08M
24.59%-991.55M
124.40%191.91M
-1,897.14%-1.31B
-840.88%-786.56M
Accounts payable increase (decrease)
-132.42%-170.35M
171.31%352.32M
64.76%525.48M
-321.57%-494.06M
-63.31%318.93M
338.18%222.99M
10.51%869.2M
-148.59%-93.62M
1,213.23%786.56M
14.61%192.67M
Financial assets at fair value (increase)decrease
-101.81%-12.51M
454.63%2.86B
145.97%693.06M
72.69%-805.42M
118.13%281.77M
-28.19%-2.95B
-21.38%-1.55B
-467.29%-2.3B
-38.86%-1.28B
81.14%-405.6M
Financial liabilities at fair value (increase)decrease
-138.43%-404.12M
-94.81%72.81M
79.45%1.05B
790.33%1.4B
371.11%586.01M
-129.33%-203.25M
-137,773.89%-216.15M
5,625.59%692.91M
104.35%157K
2,837.38%12.1M
Derivative financial instruments (increase) decrease
100.00%-8K
-80.53%-397.44M
-32,977.04%-378.09M
-19,496.12%-220.15M
128.26%1.15M
54.21%1.14M
-2,745.45%-4.07M
6,590.91%736K
-610.71%-143K
147.83%11K
Cash  from business operations
-122.25%-375.61M
144.12%2.16B
1,098.75%1.69B
122.48%885.58M
106.66%140.81M
-238.34%-3.94B
-315.11%-2.11B
-184.10%-1.16B
11.20%-509.11M
128.26%1.38B
Other taxs
-55.09%-7.67M
-3,337.86%-80.82M
-121.45%-4.95M
90.85%-2.35M
87.38%-2.23M
30.43%-25.7M
53.52%-17.7M
-2,297.14%-36.94M
---38.08M
92.34%-1.54M
Interest received - operating
30.18%154.23M
-34.28%253.87M
-47.25%118.48M
-14.12%386.31M
6.06%224.6M
13.24%449.82M
-1.49%211.76M
-26.00%397.24M
-18.52%214.96M
46.58%536.8M
Interest paid - operating
-207.43%-296.78M
-82.60%-340.58M
6.04%-96.54M
36.12%-186.51M
35.80%-102.75M
17.15%-291.96M
-6.26%-160.04M
13.72%-352.39M
13.38%-150.62M
-211.34%-408.43M
Special items of business
125.09%433.3M
-80.17%296.11M
-52.61%192.51M
635.50%1.49B
382.07%406.21M
-172.67%-278.79M
-110.72%-144.01M
-84.64%383.62M
175.81%1.34B
189.42%2.5B
Net cash from operations
-130.84%-525.83M
84.14%1.99B
554.68%1.7B
128.45%1.08B
112.52%260.43M
-229.22%-3.81B
-330.64%-2.08B
-176.52%-1.16B
0.11%-482.86M
132.26%1.51B
Cash flow from investment activities
Interest received - investment
-37.07%194.51M
-15.47%523.69M
18.68%309.08M
18.05%619.52M
2.78%260.42M
77.98%524.78M
133.22%253.37M
47.54%294.86M
178.55%108.64M
54.86%199.84M
Dividend received - investment
-14.27%45.02M
-39.02%100.79M
10.13%52.51M
77.38%165.28M
75.33%47.68M
-15.38%93.18M
-18.12%27.2M
-20.83%110.11M
-13.90%33.21M
100.33%139.08M
Restricted cash (increase) decrease
--2.99M
----
----
----
----
----
----
----
----
---2.99M
Decrease in deposits (increase)
----
37.93%-18K
----
-146.77%-29K
----
313.79%62K
----
-7.41%-29K
----
-3.85%-27K
Sale of fixed assets
----
--10K
--10K
----
----
----
----
----
----
----
Purchase of fixed assets
-97.21%-17.25M
-304.96%-68.67M
-358.57%-8.75M
22.68%-16.96M
-94.99%-1.91M
-60.50%-21.93M
76.77%-978K
34.61%-13.66M
25.70%-4.21M
-111.39%-20.9M
Purchase of intangible assets
-2,731.88%-6.49M
21.21%-1.54M
---229K
---1.95M
----
----
----
----
----
----
Sale of subsidiaries
----
----
----
----
----
----
----
----
----
--111.67M
Acquisition of subsidiaries
----
----
----
66.71%38.74M
--23.34M
114.65%23.24M
----
25.65%-158.66M
67.22%-70.08M
---213.4M
Recovery of cash from investments
-6.63%872.43M
-6.03%2.85B
-0.24%934.36M
10.95%3.03B
38.28%936.58M
285.87%2.74B
214.42%677.31M
-41.58%708.9M
-70.18%215.42M
64.18%1.21B
Cash on investment
----
89.41%-1.37B
85.43%-971.81M
-929.62%-12.95B
-495.02%-6.67B
57.27%-1.26B
22.85%-1.12B
-761.87%-2.94B
-414.15%-1.45B
83.17%-341.41M
Other items in the investment business
--16.38M
5,201.61%62.61M
----
1,069.31%1.18M
1,069.31%1.18M
-94.04%101K
--101K
-76.11%1.69M
----
--7.09M
Net cash from investment operations
251.41%1.11B
123.03%2.1B
105.83%315.19M
-534.17%-9.11B
-3,191.43%-5.4B
204.91%2.1B
85.97%-164.18M
-283.02%-2B
-380.81%-1.17B
199.22%1.09B
Net cash before financing
-71.20%581.77M
151.00%4.09B
139.28%2.02B
-369.43%-8.02B
-129.26%-5.14B
45.84%-1.71B
-35.72%-2.24B
-221.21%-3.16B
-2,379.67%-1.65B
145.01%2.6B
Cash flow from financing activities
New borrowing
----
----
----
----
----
-4.25%3.09B
28.18%2.45B
206.85%3.23B
470.49%1.91B
---3.02B
Refund
66.55%-652.07M
-186.57%-3.86B
-235.53%-1.95B
--4.46B
--1.44B
----
----
----
----
----
Issuance of bonds
----
----
----
--3.86B
--3.86B
----
----
----
----
----
Interest paid - financing
0.22%-34.2M
-100.70%-68.37M
---34.27M
---34.06M
----
----
----
----
----
----
Dividends paid - financing
----
68.75%-136.72M
----
-77.78%-437.5M
----
-12.43%-246.1M
----
3.19%-218.88M
---133K
---226.09M
Absorb investment income
----
----
----
-77.47%75.95M
-69.71%59.83M
236.72%337.12M
496.06%197.52M
--100.12M
--33.14M
----
Other items of the financing business
18.11%-35.27M
-10.57%-95.56M
12.68%-43.07M
-16.91%-86.43M
-58.80%-49.32M
-6.11%-73.93M
11.49%-31.06M
---69.67M
---35.09M
----
Net cash from financing operations
64.40%-721.54M
-153.10%-4.16B
-138.19%-2.03B
152.06%7.84B
102.69%5.31B
2.25%3.11B
37.03%2.62B
193.61%3.04B
469.87%1.91B
-149.66%-3.25B
Effect of rate
-598.15%-106.63M
0.03%21.41M
265.07%21.4M
-64.67%21.4M
547.56%5.86M
-9.14%60.58M
-104.62%-1.31M
643.65%66.68M
233.27%28.34M
-2.87%-12.27M
Net Cash
-2,071.66%-139.77M
63.32%-69.03M
-103.94%-6.44M
-113.45%-188.2M
-56.37%163.47M
1,310.72%1.4B
45.46%374.71M
82.05%-115.57M
-4.10%257.6M
-185.29%-644.02M
Begining period cash
-2.60%1.79B
-8.34%1.83B
-8.34%1.83B
270.11%2B
270.11%2B
-8.30%540.46M
-8.30%540.46M
-52.69%589.35M
-52.69%589.35M
147.92%1.25B
Cash at the end
-16.72%1.54B
-2.60%1.79B
-14.80%1.85B
-8.34%1.83B
137.41%2.17B
270.11%2B
4.41%913.86M
-8.30%540.46M
-41.37%875.29M
-52.69%589.35M
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
--
KPMG
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019(Q6)Jun 30, 2019(FY)Dec 31, 2018
Cash flow from operating activities
Earning before tax 78.01%-368.66M-948.97%-2.98B-360.85%-1.68B-61.91%351.55M99.41%642.75M73.66%923.03M13.39%322.32M21.45%531.51M17.76%284.27M0.34%437.65M
Profit adjustment
Interest (income) - adjustment 18.84%-325.26M6.21%-744M-9.44%-400.75M-12.79%-793.29M-6.75%-366.16M-18.75%-703.36M0.72%-343M19.73%-592.32M8.77%-345.5M-40.91%-737.88M
Dividend (income)- adjustment 14.27%-45.02M39.02%-100.79M-10.13%-52.51M-77.38%-165.28M-75.33%-47.68M15.38%-93.18M18.12%-27.2M20.83%-110.11M13.90%-33.21M-100.33%-139.08M
Attributable subsidiary (profit) loss -322.69%-5.09M-838.71%-34.77M409.35%2.29M-138.27%-3.7M-98.30%449K136.55%9.68M248.97%26.38M-19,288.41%-26.48M-4,256.10%-17.71M113.65%138K
Impairment and provisions: -62.65%159.24M365.55%1.2B585.29%426.38M-2.13%256.72M-64.01%62.22M432.78%262.32M2,062.62%172.86M336.96%49.24M104.48%7.99M-125.85%-20.78M
-Other impairments and provisions -62.65%159.24M365.55%1.2B585.29%426.38M-2.13%256.72M-64.01%62.22M432.78%262.32M2,062.62%172.86M336.96%49.24M104.48%7.99M-125.85%-20.78M
Revaluation surplus: -121.90%-162.54M2,493.05%734.95M262.10%742.11M96.33%-30.71M---457.81M---835.99M--0--0-9,846.55%-121.44M--0
-Derivative financial instruments fair value (increase) -100.00%18K240.94%474.02M3,890.53%383.79M--139.03M---10.13M--------------684K----
-Other fair value changes -145.37%-162.56M253.72%260.93M180.04%358.31M79.70%-169.75M---447.68M---835.99M---------9,901.44%-122.13M----
Asset sale loss (gain): --0---9K---10K--0--01,100.00%36K--0100.02%3K--076.07%-14.6M
-Loss (gain) from sale of subsidiary company ---------------------------------------15.38M
-Loss (gain) on sale of property, machinery and equipment -------9K---10K--------1,100.00%36K-----99.62%3K------781K
Depreciation and amortization: 16.76%62.92M17.12%116.59M13.30%53.89M19.54%99.55M19.36%47.56M6.68%83.28M2.36%39.85M786.53%78.06M847.15%38.93M1.38%8.81M
-Depreciation 16.76%62.92M17.12%116.59M13.30%53.89M19.54%99.55M19.36%47.56M6.68%83.28M2.36%39.85M786.53%78.06M847.15%38.93M1.38%8.81M
Financial expense 147.85%352.17M109.34%478.32M33.63%142.09M-18.29%228.49M-34.13%106.33M-21.36%279.64M-2.17%161.41M0.96%355.6M-0.17%165M164.78%352.23M
Exchange Loss (gain) -106.51%-5.27M-59.40%19.49M645.59%80.91M312.94%48.01M137.26%10.85M54.90%-22.55M-32.71%-29.12M-588.15%-49.99M-277.25%-21.95M-431.38%-7.26M
Special items --------------------102.89%7.92M---396.22M-4,913.78%-274.25M-------5.47M
Operating profit before the change of operating capital 50.53%-337.52M-15,129.17%-1.32B-45,411.67%-682.22M90.28%-8.67M97.94%-1.5M-130.12%-89.17M-66.72%-72.73M69.31%-38.75M66.12%-43.62M-219.43%-126.26M
Change of operating capital
Accounts receivable (increase)decrease -59.53%115.6M162.51%301.4M119.68%285.64M24.90%-482.18M-46.41%-1.45B-434.58%-642.08M24.59%-991.55M124.40%191.91M-1,897.14%-1.31B-840.88%-786.56M
Accounts payable increase (decrease) -132.42%-170.35M171.31%352.32M64.76%525.48M-321.57%-494.06M-63.31%318.93M338.18%222.99M10.51%869.2M-148.59%-93.62M1,213.23%786.56M14.61%192.67M
Financial assets at fair value (increase)decrease -101.81%-12.51M454.63%2.86B145.97%693.06M72.69%-805.42M118.13%281.77M-28.19%-2.95B-21.38%-1.55B-467.29%-2.3B-38.86%-1.28B81.14%-405.6M
Financial liabilities at fair value (increase)decrease -138.43%-404.12M-94.81%72.81M79.45%1.05B790.33%1.4B371.11%586.01M-129.33%-203.25M-137,773.89%-216.15M5,625.59%692.91M104.35%157K2,837.38%12.1M
Derivative financial instruments (increase) decrease 100.00%-8K-80.53%-397.44M-32,977.04%-378.09M-19,496.12%-220.15M128.26%1.15M54.21%1.14M-2,745.45%-4.07M6,590.91%736K-610.71%-143K147.83%11K
Cash  from business operations -122.25%-375.61M144.12%2.16B1,098.75%1.69B122.48%885.58M106.66%140.81M-238.34%-3.94B-315.11%-2.11B-184.10%-1.16B11.20%-509.11M128.26%1.38B
Other taxs -55.09%-7.67M-3,337.86%-80.82M-121.45%-4.95M90.85%-2.35M87.38%-2.23M30.43%-25.7M53.52%-17.7M-2,297.14%-36.94M---38.08M92.34%-1.54M
Interest received - operating 30.18%154.23M-34.28%253.87M-47.25%118.48M-14.12%386.31M6.06%224.6M13.24%449.82M-1.49%211.76M-26.00%397.24M-18.52%214.96M46.58%536.8M
Interest paid - operating -207.43%-296.78M-82.60%-340.58M6.04%-96.54M36.12%-186.51M35.80%-102.75M17.15%-291.96M-6.26%-160.04M13.72%-352.39M13.38%-150.62M-211.34%-408.43M
Special items of business 125.09%433.3M-80.17%296.11M-52.61%192.51M635.50%1.49B382.07%406.21M-172.67%-278.79M-110.72%-144.01M-84.64%383.62M175.81%1.34B189.42%2.5B
Net cash from operations -130.84%-525.83M84.14%1.99B554.68%1.7B128.45%1.08B112.52%260.43M-229.22%-3.81B-330.64%-2.08B-176.52%-1.16B0.11%-482.86M132.26%1.51B
Cash flow from investment activities
Interest received - investment -37.07%194.51M-15.47%523.69M18.68%309.08M18.05%619.52M2.78%260.42M77.98%524.78M133.22%253.37M47.54%294.86M178.55%108.64M54.86%199.84M
Dividend received - investment -14.27%45.02M-39.02%100.79M10.13%52.51M77.38%165.28M75.33%47.68M-15.38%93.18M-18.12%27.2M-20.83%110.11M-13.90%33.21M100.33%139.08M
Restricted cash (increase) decrease --2.99M-----------------------------------2.99M
Decrease in deposits (increase) ----37.93%-18K-----146.77%-29K----313.79%62K-----7.41%-29K-----3.85%-27K
Sale of fixed assets ------10K--10K----------------------------
Purchase of fixed assets -97.21%-17.25M-304.96%-68.67M-358.57%-8.75M22.68%-16.96M-94.99%-1.91M-60.50%-21.93M76.77%-978K34.61%-13.66M25.70%-4.21M-111.39%-20.9M
Purchase of intangible assets -2,731.88%-6.49M21.21%-1.54M---229K---1.95M------------------------
Sale of subsidiaries --------------------------------------111.67M
Acquisition of subsidiaries ------------66.71%38.74M--23.34M114.65%23.24M----25.65%-158.66M67.22%-70.08M---213.4M
Recovery of cash from investments -6.63%872.43M-6.03%2.85B-0.24%934.36M10.95%3.03B38.28%936.58M285.87%2.74B214.42%677.31M-41.58%708.9M-70.18%215.42M64.18%1.21B
Cash on investment ----89.41%-1.37B85.43%-971.81M-929.62%-12.95B-495.02%-6.67B57.27%-1.26B22.85%-1.12B-761.87%-2.94B-414.15%-1.45B83.17%-341.41M
Other items in the investment business --16.38M5,201.61%62.61M----1,069.31%1.18M1,069.31%1.18M-94.04%101K--101K-76.11%1.69M------7.09M
Net cash from investment operations 251.41%1.11B123.03%2.1B105.83%315.19M-534.17%-9.11B-3,191.43%-5.4B204.91%2.1B85.97%-164.18M-283.02%-2B-380.81%-1.17B199.22%1.09B
Net cash before financing -71.20%581.77M151.00%4.09B139.28%2.02B-369.43%-8.02B-129.26%-5.14B45.84%-1.71B-35.72%-2.24B-221.21%-3.16B-2,379.67%-1.65B145.01%2.6B
Cash flow from financing activities
New borrowing ---------------------4.25%3.09B28.18%2.45B206.85%3.23B470.49%1.91B---3.02B
Refund 66.55%-652.07M-186.57%-3.86B-235.53%-1.95B--4.46B--1.44B--------------------
Issuance of bonds --------------3.86B--3.86B--------------------
Interest paid - financing 0.22%-34.2M-100.70%-68.37M---34.27M---34.06M------------------------
Dividends paid - financing ----68.75%-136.72M-----77.78%-437.5M-----12.43%-246.1M----3.19%-218.88M---133K---226.09M
Absorb investment income -------------77.47%75.95M-69.71%59.83M236.72%337.12M496.06%197.52M--100.12M--33.14M----
Other items of the financing business 18.11%-35.27M-10.57%-95.56M12.68%-43.07M-16.91%-86.43M-58.80%-49.32M-6.11%-73.93M11.49%-31.06M---69.67M---35.09M----
Net cash from financing operations 64.40%-721.54M-153.10%-4.16B-138.19%-2.03B152.06%7.84B102.69%5.31B2.25%3.11B37.03%2.62B193.61%3.04B469.87%1.91B-149.66%-3.25B
Effect of rate -598.15%-106.63M0.03%21.41M265.07%21.4M-64.67%21.4M547.56%5.86M-9.14%60.58M-104.62%-1.31M643.65%66.68M233.27%28.34M-2.87%-12.27M
Net Cash -2,071.66%-139.77M63.32%-69.03M-103.94%-6.44M-113.45%-188.2M-56.37%163.47M1,310.72%1.4B45.46%374.71M82.05%-115.57M-4.10%257.6M-185.29%-644.02M
Begining period cash -2.60%1.79B-8.34%1.83B-8.34%1.83B270.11%2B270.11%2B-8.30%540.46M-8.30%540.46M-52.69%589.35M-52.69%589.35M147.92%1.25B
Cash at the end -16.72%1.54B-2.60%1.79B-14.80%1.85B-8.34%1.83B137.41%2.17B270.11%2B4.41%913.86M-8.30%540.46M-41.37%875.29M-52.69%589.35M
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 --KPMG--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.

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