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08305 ALLUREFEM HLDG

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  • 0.037
  • 0.0000.00%
Trading Apr 29 09:00 CST
38.85MMarket Cap-1275P/E (TTM)

ALLUREFEM HLDG Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(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
Cash flow from operating activities
Earning before tax
-21.19%-30.76M
----
41.16%-25.38M
----
-1,428.89%-43.13M
----
-188.49%-2.82M
----
-82.21%3.19M
----
Profit adjustment
Interest (income) - adjustment
----
----
---18K
----
----
----
75.00%-1K
----
---4K
----
Interest expense - adjustment
10.87%2.12M
----
11.03%1.91M
----
-1.32%1.72M
----
34.10%1.75M
----
-6.60%1.3M
----
Impairment and provisions:
112.29%21.23M
--0
-68.56%10M
--0
--31.8M
--0
--0
--0
--0
--0
-Impairment of trade receivables (reversal)
--1.62M
----
----
----
----
----
----
----
----
----
-Impairment of goodwill
40.00%14M
----
-68.56%10M
----
--31.8M
----
----
----
----
----
-Other impairments and provisions
--5.61M
----
----
----
----
----
----
----
----
----
Revaluation surplus:
269.81%270K
--0
25.35%-159K
--0
-265.12%-213K
--0
186.00%129K
--0
-107.91%-150K
--0
-Other fair value changes
269.81%270K
----
25.35%-159K
----
-265.12%-213K
----
186.00%129K
----
-107.91%-150K
----
Asset sale loss (gain):
71.38%-245K
--0
-264.26%-856K
--0
-75.37%-235K
--0
-482.86%-134K
--0
--35K
--0
-Loss (gain) from sale of subsidiary company
----
----
----
----
---235K
----
----
----
----
----
-Loss (gain) on sale of property, machinery and equipment
71.38%-245K
----
---856K
----
----
----
-482.86%-134K
----
--35K
----
Depreciation and amortization:
-31.83%3.3M
--0
4.33%4.84M
--0
0.63%4.64M
--0
45.55%4.61M
--0
130.07%3.17M
--0
-Depreciation
-31.83%3.3M
----
4.33%4.84M
----
0.63%4.64M
----
45.55%4.61M
----
130.07%3.17M
----
Special items
-278.45%-8.52M
----
355.73%4.78M
----
-62.17%1.05M
----
30,677.78%2.77M
----
-96.33%9K
----
Operating profit before the change of operating capital
-158.23%-12.6M
--0
-11.82%-4.88M
--0
-169.29%-4.37M
--0
-16.53%6.3M
--0
-67.06%7.55M
--0
Change of operating capital
Accounts receivable (increase)decrease
30.19%12.11M
----
190.25%9.3M
----
-161.18%-10.31M
----
193.33%16.85M
----
-95.11%-18.05M
----
Accounts payable increase (decrease)
167.20%3.53M
----
-155.92%-5.26M
----
726.36%9.4M
----
297.90%1.14M
----
-97.17%286K
----
Cash  from business operations
463.44%3.04M
--0
96.14%-837K
--0
-216.73%-21.7M
--0
169.74%18.59M
--0
-427.82%-26.66M
--0
Other taxs
----
----
----
----
115.03%557K
----
-5,394.29%-3.71M
----
102.44%70K
----
Special items of business
-45.52%4.41M
----
149.30%8.1M
----
-188.31%-16.43M
----
65.33%-5.7M
----
42.96%-16.44M
----
Net cash from operations
2.64%7.45M
34.40%-1.15M
134.35%7.26M
84.86%-1.75M
-242.05%-21.14M
-338.58%-11.56M
155.98%14.88M
120.52%4.85M
-235.97%-26.59M
-101.76%-23.61M
Cash flow from investment activities
Interest received - investment
----
----
----
----
----
----
-75.00%1K
----
--4K
--1K
Sale of fixed assets
-93.07%243K
----
--3.5M
----
----
----
575.00%135K
----
--20K
--20K
Purchase of fixed assets
----
----
-201.52%-199K
-100.00%-30K
98.73%-66K
99.61%-15K
32.83%-5.21M
-0.13%-3.83M
-637.49%-7.75M
-3,922.11%-3.82M
Sale of subsidiaries
----
----
----
----
--738K
----
----
----
----
----
Acquisition of subsidiaries
----
----
----
----
---1.64M
----
----
----
----
----
Recovery of cash from investments
----
----
479.54%4.62M
--10.68M
---1.22M
----
----
----
----
----
Cash on investment
-100.59%-62K
----
--10.46M
15.45%-208K
----
-22.39%-246K
---201K
---201K
----
----
Other items in the investment business
---632K
----
----
----
472.81%425K
----
-670.00%-114K
----
--20K
----
Adjustment items of investment business
----
----
----
----
----
----
----
--2K
----
----
Net cash from investment operations
-102.45%-451K
--0
1,143.73%18.38M
4,101.15%10.44M
67.30%-1.76M
93.52%-261K
30.13%-5.39M
-5.92%-4.03M
-7.43%-7.71M
38.89%-3.8M
Net cash before financing
-72.69%7M
-113.21%-1.15M
211.97%25.64M
173.54%8.69M
-341.14%-22.9M
-1,541.46%-11.82M
127.69%9.5M
102.99%820K
-127.30%-34.29M
-52.95%-27.41M
Cash flow from financing activities
New borrowing
-92.09%6.69M
-32.07%18.2M
-4.10%84.62M
78.61%26.79M
241.06%88.23M
25.00%15M
-65.87%25.87M
-57.14%12M
28.34%75.8M
-44.74%28M
Refund
80.37%-20.48M
41.20%-21.68M
-27.74%-104.35M
-179.35%-36.87M
-275.28%-81.69M
-20.68%-13.2M
58.91%-21.77M
24.49%-10.94M
18.05%-52.98M
53.01%-14.48M
Issuing shares
----
----
----
----
--6.18M
----
----
----
----
----
Interest paid - financing
-10.87%-2.12M
47.05%-530K
-11.03%-1.91M
-25.28%-1M
1.32%-1.72M
12.96%-799K
-34.10%-1.75M
-69.69%-918K
6.60%-1.3M
21.02%-541K
Other items of the financing business
44.01%-1.6M
-67.98%-1.32M
-43.01%-2.86M
1.75%-784K
4.17%-2M
-56.78%-798K
-23.24%-2.08M
30.18%-509K
-114.44%-1.69M
-105.82%-729K
Net cash from financing operations
28.55%-17.51M
55.08%-5.33M
-372.43%-24.51M
-5,886.34%-11.86M
3,207.35%9M
156.47%205K
-98.63%272K
-102.96%-363K
-55.33%19.83M
-61.37%12.25M
Net Cash
-1,026.54%-10.51M
-104.39%-6.48M
108.16%1.13M
72.66%-3.17M
-242.34%-13.91M
-2,636.11%-11.59M
167.54%9.77M
103.01%457K
-149.37%-14.47M
-209.99%-15.16M
Begining period cash
11.65%10.87M
11.65%10.87M
-58.82%9.74M
-58.82%9.74M
70.43%23.64M
70.43%23.64M
-51.05%13.87M
-51.05%13.87M
3,042.47%28.34M
3,042.47%28.34M
Cash at the end
-96.67%362K
-33.11%4.39M
11.65%10.87M
-45.51%6.57M
-58.82%9.74M
-15.90%12.05M
70.43%23.64M
8.74%14.33M
-51.05%13.87M
2.78%13.18M
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
Deber & Berg Certified Public Accountants Ltd
--
Deber & Berg Certified Public Accountants Ltd
--
Deber & Berg Certified Public Accountants Ltd
--
Grant Tung (Hong Kong) Certified Public Accountants Limited
--
Grant Tung (Hong Kong) Certified Public Accountants Limited
--
(FY)Dec 31, 2023(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
Cash flow from operating activities
Earning before tax -21.19%-30.76M----41.16%-25.38M-----1,428.89%-43.13M-----188.49%-2.82M-----82.21%3.19M----
Profit adjustment
Interest (income) - adjustment -----------18K------------75.00%-1K-------4K----
Interest expense - adjustment 10.87%2.12M----11.03%1.91M-----1.32%1.72M----34.10%1.75M-----6.60%1.3M----
Impairment and provisions: 112.29%21.23M--0-68.56%10M--0--31.8M--0--0--0--0--0
-Impairment of trade receivables (reversal) --1.62M------------------------------------
-Impairment of goodwill 40.00%14M-----68.56%10M------31.8M--------------------
-Other impairments and provisions --5.61M------------------------------------
Revaluation surplus: 269.81%270K--025.35%-159K--0-265.12%-213K--0186.00%129K--0-107.91%-150K--0
-Other fair value changes 269.81%270K----25.35%-159K-----265.12%-213K----186.00%129K-----107.91%-150K----
Asset sale loss (gain): 71.38%-245K--0-264.26%-856K--0-75.37%-235K--0-482.86%-134K--0--35K--0
-Loss (gain) from sale of subsidiary company -------------------235K--------------------
-Loss (gain) on sale of property, machinery and equipment 71.38%-245K-------856K-------------482.86%-134K------35K----
Depreciation and amortization: -31.83%3.3M--04.33%4.84M--00.63%4.64M--045.55%4.61M--0130.07%3.17M--0
-Depreciation -31.83%3.3M----4.33%4.84M----0.63%4.64M----45.55%4.61M----130.07%3.17M----
Special items -278.45%-8.52M----355.73%4.78M-----62.17%1.05M----30,677.78%2.77M-----96.33%9K----
Operating profit before the change of operating capital -158.23%-12.6M--0-11.82%-4.88M--0-169.29%-4.37M--0-16.53%6.3M--0-67.06%7.55M--0
Change of operating capital
Accounts receivable (increase)decrease 30.19%12.11M----190.25%9.3M-----161.18%-10.31M----193.33%16.85M-----95.11%-18.05M----
Accounts payable increase (decrease) 167.20%3.53M-----155.92%-5.26M----726.36%9.4M----297.90%1.14M-----97.17%286K----
Cash  from business operations 463.44%3.04M--096.14%-837K--0-216.73%-21.7M--0169.74%18.59M--0-427.82%-26.66M--0
Other taxs ----------------115.03%557K-----5,394.29%-3.71M----102.44%70K----
Special items of business -45.52%4.41M----149.30%8.1M-----188.31%-16.43M----65.33%-5.7M----42.96%-16.44M----
Net cash from operations 2.64%7.45M34.40%-1.15M134.35%7.26M84.86%-1.75M-242.05%-21.14M-338.58%-11.56M155.98%14.88M120.52%4.85M-235.97%-26.59M-101.76%-23.61M
Cash flow from investment activities
Interest received - investment -------------------------75.00%1K------4K--1K
Sale of fixed assets -93.07%243K------3.5M------------575.00%135K------20K--20K
Purchase of fixed assets ---------201.52%-199K-100.00%-30K98.73%-66K99.61%-15K32.83%-5.21M-0.13%-3.83M-637.49%-7.75M-3,922.11%-3.82M
Sale of subsidiaries ------------------738K--------------------
Acquisition of subsidiaries -------------------1.64M--------------------
Recovery of cash from investments --------479.54%4.62M--10.68M---1.22M--------------------
Cash on investment -100.59%-62K------10.46M15.45%-208K-----22.39%-246K---201K---201K--------
Other items in the investment business ---632K------------472.81%425K-----670.00%-114K------20K----
Adjustment items of investment business ------------------------------2K--------
Net cash from investment operations -102.45%-451K--01,143.73%18.38M4,101.15%10.44M67.30%-1.76M93.52%-261K30.13%-5.39M-5.92%-4.03M-7.43%-7.71M38.89%-3.8M
Net cash before financing -72.69%7M-113.21%-1.15M211.97%25.64M173.54%8.69M-341.14%-22.9M-1,541.46%-11.82M127.69%9.5M102.99%820K-127.30%-34.29M-52.95%-27.41M
Cash flow from financing activities
New borrowing -92.09%6.69M-32.07%18.2M-4.10%84.62M78.61%26.79M241.06%88.23M25.00%15M-65.87%25.87M-57.14%12M28.34%75.8M-44.74%28M
Refund 80.37%-20.48M41.20%-21.68M-27.74%-104.35M-179.35%-36.87M-275.28%-81.69M-20.68%-13.2M58.91%-21.77M24.49%-10.94M18.05%-52.98M53.01%-14.48M
Issuing shares ------------------6.18M--------------------
Interest paid - financing -10.87%-2.12M47.05%-530K-11.03%-1.91M-25.28%-1M1.32%-1.72M12.96%-799K-34.10%-1.75M-69.69%-918K6.60%-1.3M21.02%-541K
Other items of the financing business 44.01%-1.6M-67.98%-1.32M-43.01%-2.86M1.75%-784K4.17%-2M-56.78%-798K-23.24%-2.08M30.18%-509K-114.44%-1.69M-105.82%-729K
Net cash from financing operations 28.55%-17.51M55.08%-5.33M-372.43%-24.51M-5,886.34%-11.86M3,207.35%9M156.47%205K-98.63%272K-102.96%-363K-55.33%19.83M-61.37%12.25M
Net Cash -1,026.54%-10.51M-104.39%-6.48M108.16%1.13M72.66%-3.17M-242.34%-13.91M-2,636.11%-11.59M167.54%9.77M103.01%457K-149.37%-14.47M-209.99%-15.16M
Begining period cash 11.65%10.87M11.65%10.87M-58.82%9.74M-58.82%9.74M70.43%23.64M70.43%23.64M-51.05%13.87M-51.05%13.87M3,042.47%28.34M3,042.47%28.34M
Cash at the end -96.67%362K-33.11%4.39M11.65%10.87M-45.51%6.57M-58.82%9.74M-15.90%12.05M70.43%23.64M8.74%14.33M-51.05%13.87M2.78%13.18M
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 Deber & Berg Certified Public Accountants Ltd--Deber & Berg Certified Public Accountants Ltd--Deber & Berg Certified Public Accountants Ltd--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

No Data

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