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03368 PARKSON GROUP

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  • 0.117
  • -0.001-0.85%
Not Open Apr 16 16:08 CST
308.24MMarket Cap4.18P/E (TTM)

PARKSON GROUP Key Stats

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YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
(Q9)Sep 30, 2022
(Q6)Jun 30, 2022
(Q3)Mar 31, 2022
(FY)Dec 31, 2021
(Q9)Sep 30, 2021
Cash flow from operating activities
Earning before tax
120.97%86.65M
----
131.88%60.58M
----
-342.84%-413.16M
----
-603.07%-190.01M
----
20.73%-93.3M
----
Profit adjustment
Attributable subsidiary (profit) loss
----
----
-389.97%-17.63M
----
----
----
165.64%6.08M
----
-61.58%-5.37M
----
Impairment and provisions:
-31.89%66.96M
--0
-41.66%37.92M
--0
-28.23%98.32M
--0
2,037.76%64.99M
--0
108.18%136.98M
--0
-Impairment of property, plant and equipment (reversal)
-64.80%5.31M
----
-71.80%4.25M
----
8.03%15.08M
----
--15.08M
----
-55.24%13.96M
----
-Impairmen of inventory (reversal)
97.03%-148K
----
102.04%55K
----
-46.35%-4.99M
----
-419.81%-2.7M
----
-219.71%-3.41M
----
-Impairment of trade receivables (reversal)
189.12%20.28M
----
137.51%8.23M
----
-8.00%7.01M
----
82.04%3.47M
----
-18.01%7.62M
----
-Impairment of goodwill
-57.84%16.28M
----
----
----
-51.12%38.6M
----
--7.59M
----
--78.97M
----
-Other impairments and provisions
-40.74%25.25M
----
-38.93%25.38M
----
6.97%42.61M
----
14,082.59%41.56M
----
77.27%39.83M
----
Revaluation surplus:
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Asset sale loss (gain):
229.72%2.8M
--0
425.67%983K
--0
-73.14%848K
--0
--187K
--0
-40.89%3.16M
--0
-Loss (gain) from sale of subsidiary company
----
----
----
----
-336.67%-1.31M
----
---1.31M
----
---300K
----
-Loss (gain) on sale of property, machinery and equipment
29.56%2.8M
----
-34.34%983K
----
-37.58%2.16M
----
--1.5M
----
-35.27%3.46M
----
Depreciation and amortization:
-7.57%558.49M
--0
-2.27%302.1M
--0
-8.29%604.26M
--0
-8.79%309.12M
--0
-4.55%658.91M
--0
-Depreciation
-7.57%558.49M
----
-2.27%302.1M
----
-8.29%604.26M
----
-8.79%309.12M
----
-4.55%658.91M
----
Financial expense
8.52%498.12M
----
14.53%249.3M
----
-7.41%459.01M
----
-16.11%217.67M
----
-13.02%495.72M
----
Exchange Loss (gain)
-98.33%629K
----
-118.84%-4.11M
----
2,390.25%37.58M
----
2,907.59%21.81M
----
16.10%-1.64M
----
Special items
-3.33%-140.54M
----
30.71%-48.54M
----
24.54%-136M
----
-33.63%-70.05M
----
15.58%-180.24M
----
Operating profit before the change of operating capital
64.88%1.07B
--0
61.37%580.62M
--0
-35.83%650.85M
--0
-37.77%359.8M
--0
1.94%1.01B
--0
Change of operating capital
Inventory (increase) decrease
1,378.57%79.23M
----
116.07%125.94M
----
89.87%-6.2M
----
1,797.79%58.29M
----
-39.44%-61.16M
----
Accounts receivable (increase)decrease
-164.93%-240.83M
----
-1,797.41%-106.03M
----
-135.12%-90.9M
----
77.34%-5.59M
----
26.24%-38.66M
----
Accounts payable increase (decrease)
160.26%202.63M
----
251.39%112.87M
----
-1,159.08%-336.23M
----
64.34%-74.56M
----
88.34%-26.7M
----
prepayments (increase)decrease
17.08%-12.63M
----
-11.73%-61.39M
----
-136.69%-15.23M
----
-197.08%-54.95M
----
214.81%41.51M
----
Cash  from business operations
425.54%1.1B
--0
139.44%624.3M
--0
-77.02%208.77M
--0
-28.45%260.73M
--0
85.49%908.63M
--0
Other taxs
-12.51%-81.75M
----
10.75%-41.8M
----
41.83%-72.66M
----
41.16%-46.83M
----
0.10%-124.9M
----
Special items of business
-167.32%-4.35M
----
-24.45%-27.71M
----
131.44%6.47M
----
33.04%-22.27M
----
85.67%-20.57M
----
Net cash from operations
646.02%1.02B
142.05%714.76M
172.33%582.5M
547.17%392.17M
-82.63%136.11M
-36.78%295.29M
-24.91%213.9M
-152.36%-87.7M
114.82%783.72M
59.45%467.07M
Cash flow from investment activities
Interest received - investment
-32.11%24.66M
----
-45.25%12.88M
----
-25.26%36.32M
----
23.46%23.53M
----
-36.84%48.59M
----
Dividend received - investment
345.68%28.35M
----
--2.67M
----
177.53%6.36M
----
----
----
-75.47%2.29M
----
Restricted cash (increase) decrease
----
----
---56.42M
----
----
----
----
----
----
----
Loan receivable (increase) decrease
----
----
----
----
----
----
----
----
200.00%450M
----
Decrease in deposits (increase)
-101.31%-9.19M
----
-103.35%-20.08M
----
514.36%701.55M
----
10,540.61%600.34M
----
-89.87%114.19M
----
Sale of fixed assets
----
----
--80M
----
----
----
----
----
----
----
Purchase of fixed assets
46.20%-85.09M
----
52.03%-44.39M
----
45.19%-158.16M
----
15.46%-92.55M
----
-79.48%-288.54M
----
Purchase of intangible assets
----
----
----
----
----
----
---371K
----
----
----
Sale of subsidiaries
----
----
----
----
115.25%127K
----
--127K
----
--59K
----
Recovery of cash from investments
51.24%184.11M
----
135.03%24.43M
----
--121.73M
----
-72.79%10.4M
----
----
----
Cash on investment
----
----
----
----
-100.24%-371K
----
----
----
--151.83M
----
Other items in the investment business
25.29%91.89M
----
123.63%39.86M
----
288.03%73.34M
----
72.73%17.82M
----
5.02%18.9M
----
Net cash from investment operations
-69.94%234.73M
-85.96%95.49M
-93.04%38.95M
-80.20%101.29M
57.02%780.91M
284.35%680.16M
940.80%559.29M
3,553.41%511.59M
-20.99%497.33M
-81.00%176.96M
Net cash before financing
36.33%1.25B
-16.94%810.25M
-19.63%621.45M
16.41%493.46M
-28.42%917.02M
51.46%975.45M
128.36%773.19M
133.57%423.89M
28.84%1.28B
-47.40%644.04M
Cash flow from financing activities
New borrowing
-96.90%69.73M
----
-98.06%42.66M
----
4,195.10%2.25B
----
4,088.51%2.2B
----
-78.88%52.44M
----
Refund
92.66%-135.76M
----
95.95%-71.54M
----
-83.05%-1.85B
----
-255.83%-1.77B
----
12.48%-1.01B
----
Interest paid - financing
-45.48%-195.57M
----
-24.46%-94.04M
----
-55.05%-134.43M
----
-69.79%-75.56M
----
39.08%-86.71M
----
Dividends paid - financing
---26.35M
----
----
----
----
----
----
----
----
----
Other items of the financing business
-15.04%-737.67M
----
-22.18%-365.83M
----
19.02%-641.22M
----
29.48%-299.41M
----
-11.33%-791.81M
----
Net cash from financing operations
-175.82%-1.03B
-259.74%-804.6M
-983.08%-488.75M
-268.21%-293.38M
79.75%-371.84M
80.60%-223.66M
106.06%55.35M
182.29%174.42M
-4.36%-1.84B
27.46%-1.15B
Effect of rate
19.77%-5.01M
----
126.09%1.14M
----
67.71%-6.25M
----
53.50%-4.38M
----
-1,352.55%-19.35M
----
Net Cash
-58.82%224.52M
-99.25%5.65M
-83.98%132.7M
-66.56%200.08M
198.26%545.18M
247.72%751.79M
244.25%828.54M
2,064.48%598.3M
27.46%-554.81M
-39.40%-508.92M
Begining period cash
58.25%1.46B
58.25%1.46B
58.25%1.46B
58.25%1.46B
-38.29%925.16M
-38.29%925.16M
-38.29%925.16M
-38.29%925.16M
-33.82%1.5B
-33.82%1.5B
Cash at the end
14.99%1.68B
-12.36%1.47B
-8.65%1.6B
9.24%1.66B
58.25%1.46B
69.32%1.68B
91.07%1.75B
3.72%1.52B
-38.29%925.16M
-47.89%990.41M
Cash balance analysis
Cash and bank balance
----
----
----
----
----
----
----
----
----
--824.54M
Cash and cash equivalent balance
--0
--0
--0
--0
--0
--0
--0
--0
--0
--824.54M
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
Auditor
Grant Tung (Hong Kong) Certified Public Accountants Limited
--
--
--
Grant Tung (Hong Kong) Certified Public Accountants Limited
--
--
--
Grant Tung (Hong Kong) Certified Public Accountants Limited
--
(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022(Q9)Sep 30, 2022(Q6)Jun 30, 2022(Q3)Mar 31, 2022(FY)Dec 31, 2021(Q9)Sep 30, 2021
Cash flow from operating activities
Earning before tax 120.97%86.65M----131.88%60.58M-----342.84%-413.16M-----603.07%-190.01M----20.73%-93.3M----
Profit adjustment
Attributable subsidiary (profit) loss ---------389.97%-17.63M------------165.64%6.08M-----61.58%-5.37M----
Impairment and provisions: -31.89%66.96M--0-41.66%37.92M--0-28.23%98.32M--02,037.76%64.99M--0108.18%136.98M--0
-Impairment of property, plant and equipment (reversal) -64.80%5.31M-----71.80%4.25M----8.03%15.08M------15.08M-----55.24%13.96M----
-Impairmen of inventory (reversal) 97.03%-148K----102.04%55K-----46.35%-4.99M-----419.81%-2.7M-----219.71%-3.41M----
-Impairment of trade receivables (reversal) 189.12%20.28M----137.51%8.23M-----8.00%7.01M----82.04%3.47M-----18.01%7.62M----
-Impairment of goodwill -57.84%16.28M-------------51.12%38.6M------7.59M------78.97M----
-Other impairments and provisions -40.74%25.25M-----38.93%25.38M----6.97%42.61M----14,082.59%41.56M----77.27%39.83M----
Revaluation surplus: --0--0--0--0--0--0--0--0--0--0
Asset sale loss (gain): 229.72%2.8M--0425.67%983K--0-73.14%848K--0--187K--0-40.89%3.16M--0
-Loss (gain) from sale of subsidiary company -----------------336.67%-1.31M-------1.31M-------300K----
-Loss (gain) on sale of property, machinery and equipment 29.56%2.8M-----34.34%983K-----37.58%2.16M------1.5M-----35.27%3.46M----
Depreciation and amortization: -7.57%558.49M--0-2.27%302.1M--0-8.29%604.26M--0-8.79%309.12M--0-4.55%658.91M--0
-Depreciation -7.57%558.49M-----2.27%302.1M-----8.29%604.26M-----8.79%309.12M-----4.55%658.91M----
Financial expense 8.52%498.12M----14.53%249.3M-----7.41%459.01M-----16.11%217.67M-----13.02%495.72M----
Exchange Loss (gain) -98.33%629K-----118.84%-4.11M----2,390.25%37.58M----2,907.59%21.81M----16.10%-1.64M----
Special items -3.33%-140.54M----30.71%-48.54M----24.54%-136M-----33.63%-70.05M----15.58%-180.24M----
Operating profit before the change of operating capital 64.88%1.07B--061.37%580.62M--0-35.83%650.85M--0-37.77%359.8M--01.94%1.01B--0
Change of operating capital
Inventory (increase) decrease 1,378.57%79.23M----116.07%125.94M----89.87%-6.2M----1,797.79%58.29M-----39.44%-61.16M----
Accounts receivable (increase)decrease -164.93%-240.83M-----1,797.41%-106.03M-----135.12%-90.9M----77.34%-5.59M----26.24%-38.66M----
Accounts payable increase (decrease) 160.26%202.63M----251.39%112.87M-----1,159.08%-336.23M----64.34%-74.56M----88.34%-26.7M----
prepayments (increase)decrease 17.08%-12.63M-----11.73%-61.39M-----136.69%-15.23M-----197.08%-54.95M----214.81%41.51M----
Cash  from business operations 425.54%1.1B--0139.44%624.3M--0-77.02%208.77M--0-28.45%260.73M--085.49%908.63M--0
Other taxs -12.51%-81.75M----10.75%-41.8M----41.83%-72.66M----41.16%-46.83M----0.10%-124.9M----
Special items of business -167.32%-4.35M-----24.45%-27.71M----131.44%6.47M----33.04%-22.27M----85.67%-20.57M----
Net cash from operations 646.02%1.02B142.05%714.76M172.33%582.5M547.17%392.17M-82.63%136.11M-36.78%295.29M-24.91%213.9M-152.36%-87.7M114.82%783.72M59.45%467.07M
Cash flow from investment activities
Interest received - investment -32.11%24.66M-----45.25%12.88M-----25.26%36.32M----23.46%23.53M-----36.84%48.59M----
Dividend received - investment 345.68%28.35M------2.67M----177.53%6.36M-------------75.47%2.29M----
Restricted cash (increase) decrease -----------56.42M----------------------------
Loan receivable (increase) decrease --------------------------------200.00%450M----
Decrease in deposits (increase) -101.31%-9.19M-----103.35%-20.08M----514.36%701.55M----10,540.61%600.34M-----89.87%114.19M----
Sale of fixed assets ----------80M----------------------------
Purchase of fixed assets 46.20%-85.09M----52.03%-44.39M----45.19%-158.16M----15.46%-92.55M-----79.48%-288.54M----
Purchase of intangible assets ---------------------------371K------------
Sale of subsidiaries ----------------115.25%127K------127K------59K----
Recovery of cash from investments 51.24%184.11M----135.03%24.43M------121.73M-----72.79%10.4M------------
Cash on investment -----------------100.24%-371K--------------151.83M----
Other items in the investment business 25.29%91.89M----123.63%39.86M----288.03%73.34M----72.73%17.82M----5.02%18.9M----
Net cash from investment operations -69.94%234.73M-85.96%95.49M-93.04%38.95M-80.20%101.29M57.02%780.91M284.35%680.16M940.80%559.29M3,553.41%511.59M-20.99%497.33M-81.00%176.96M
Net cash before financing 36.33%1.25B-16.94%810.25M-19.63%621.45M16.41%493.46M-28.42%917.02M51.46%975.45M128.36%773.19M133.57%423.89M28.84%1.28B-47.40%644.04M
Cash flow from financing activities
New borrowing -96.90%69.73M-----98.06%42.66M----4,195.10%2.25B----4,088.51%2.2B-----78.88%52.44M----
Refund 92.66%-135.76M----95.95%-71.54M-----83.05%-1.85B-----255.83%-1.77B----12.48%-1.01B----
Interest paid - financing -45.48%-195.57M-----24.46%-94.04M-----55.05%-134.43M-----69.79%-75.56M----39.08%-86.71M----
Dividends paid - financing ---26.35M------------------------------------
Other items of the financing business -15.04%-737.67M-----22.18%-365.83M----19.02%-641.22M----29.48%-299.41M-----11.33%-791.81M----
Net cash from financing operations -175.82%-1.03B-259.74%-804.6M-983.08%-488.75M-268.21%-293.38M79.75%-371.84M80.60%-223.66M106.06%55.35M182.29%174.42M-4.36%-1.84B27.46%-1.15B
Effect of rate 19.77%-5.01M----126.09%1.14M----67.71%-6.25M----53.50%-4.38M-----1,352.55%-19.35M----
Net Cash -58.82%224.52M-99.25%5.65M-83.98%132.7M-66.56%200.08M198.26%545.18M247.72%751.79M244.25%828.54M2,064.48%598.3M27.46%-554.81M-39.40%-508.92M
Begining period cash 58.25%1.46B58.25%1.46B58.25%1.46B58.25%1.46B-38.29%925.16M-38.29%925.16M-38.29%925.16M-38.29%925.16M-33.82%1.5B-33.82%1.5B
Cash at the end 14.99%1.68B-12.36%1.47B-8.65%1.6B9.24%1.66B58.25%1.46B69.32%1.68B91.07%1.75B3.72%1.52B-38.29%925.16M-47.89%990.41M
Cash balance analysis
Cash and bank balance --------------------------------------824.54M
Cash and cash equivalent balance --0--0--0--0--0--0--0--0--0--824.54M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions Unqualified Opinion------Unqualified Opinion------Unqualified Opinion--
Auditor Grant Tung (Hong Kong) Certified Public Accountants Limited------Grant Tung (Hong Kong) Certified Public Accountants Limited------Grant Tung (Hong Kong) Certified Public Accountants Limited--

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.

Analysis

Analyst Rating

No Data

Price Target

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