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BKEAY BANK OF EAST ASIA

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  • 1.200
  • +0.000+0.03%
15min DelayClose Apr 26 16:00 ET
3.17BMarket Cap7.10P/E (TTM)

BANK OF EAST ASIA Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
7.47%5.31B
-19.48%4.94B
70.16%6.14B
12.76%3.61B
-60.32%3.2B
5.50%8.06B
54.13%7.64B
-26.55%4.96B
-19.88%6.75B
-0.73%8.42B
Other non cashItems
82.78%1.04B
5.57%569M
-12.21%539M
-38.42%614M
82.27%997M
-67.27%547M
4.44%1.67B
-21.34%1.6B
-1.64%2.03B
68.95%2.07B
Change in working capital
-210.46%-30.07B
-569.69%-9.69B
-81.54%2.06B
480.91%11.17B
62.15%-2.93B
-221.55%-7.75B
122.14%6.38B
-169.55%-28.8B
191.86%41.41B
-65.56%-45.08B
-Change in receivables
-98.48%156M
898.44%10.24B
260.00%1.03B
-88.91%285M
461.83%2.57B
63.96%-710M
-159.37%-1.97B
-93.02%3.32B
1,436.52%47.54B
128.70%3.09B
-Change in loans
419.44%10.78B
90.84%-3.37B
-335.03%-36.84B
40.79%-8.47B
50.18%-14.3B
-31.12%-28.71B
-51.72%-21.89B
-1,694.36%-14.43B
102.34%905M
29.62%-38.61B
-Change in other current assets
-70.83%182M
105.84%624M
-565.33%-10.68B
219.71%2.3B
-11.19%-1.92B
-196.69%-1.73B
247.80%1.78B
-115.79%-1.21B
725.49%7.64B
117.88%926M
-Change in other current liabilities
-131.56%-2.73B
-13.37%8.64B
142.19%9.98B
1.53%4.12B
-31.87%4.06B
246.42%5.96B
---4.07B
----
----
----
Cash from discontinued operating activities
Operating cash flow
-1,646.44%-16.92B
-88.69%1.09B
-45.22%9.68B
97.72%17.66B
239.05%8.93B
-79.19%2.64B
167.57%12.67B
-136.50%-18.74B
239.56%51.36B
-101.85%-36.8B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale
----
----
----
----
----
-79.83%122M
260.90%605M
-54.73%-376M
-18.54%-243M
-576.74%-205M
Net PPE purchase and sale
-67.45%-638M
22.56%-381M
17.17%-492M
40.18%-594M
-57.87%-993M
-64.66%-629M
-155.04%-382M
340.97%694M
-64.57%-288M
-10.06%-175M
Net business purchase and sale
----
----
-99.17%7M
-2.31%845M
552.88%865M
90.96%-191M
-380.48%-2.11B
1,334.43%753M
94.75%-61M
-1,052.46%-1.16B
Net other investing changes
----
----
----
----
----
----
--5.95B
----
----
----
Cash from discontinued investing activities
Investing cash flow
-123.95%-511M
-20.13%2.13B
626.09%2.67B
420.00%368M
81.83%-115M
-115.16%-633M
131.05%4.18B
436.50%1.81B
61.26%-537M
-3,113.04%-1.39B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-42.21%1.8B
197.20%3.12B
-290.50%-3.21B
345.77%1.69B
183.81%378M
96.96%-451M
-480.89%-14.83B
69.29%-2.55B
-138.36%-8.31B
619.49%21.67B
Net commonstock issuance
87.97%-367M
---3.05B
--0
----
----
-21.51%73M
745.45%93M
-99.84%11M
13,352.00%6.73B
-57.63%50M
Cash dividends paid
46.71%-1.38B
-53.26%-2.58B
-24.15%-1.69B
-65.01%-1.36B
1.08%-823M
60.49%-832M
-350.00%-2.11B
42.72%-468M
17.56%-817M
-32.66%-991M
Net other financing activities
87.14%-596M
-471.27%-4.63B
0.00%-811M
-142.51%-811M
367.60%1.91B
-106.96%-713M
219.38%10.24B
-133.75%-8.58B
-448.29%-3.67B
-92.93%1.05B
Cash from discontinued financing activities
Financing cash flow
78.18%-1.74B
-20.78%-7.99B
-311.90%-6.61B
-497.28%-1.61B
115.81%404M
69.16%-2.56B
37.29%-8.29B
-63.00%-13.22B
-140.21%-8.11B
138.53%20.16B
Net cash flow
Beginning cash position
-7.04%112.15B
6.11%120.65B
20.14%113.7B
10.02%94.64B
-4.40%86.02B
18.64%89.98B
-31.65%75.84B
54.15%110.97B
-20.02%71.99B
-9.76%90.01B
Current changes in cash
-303.01%-19.17B
-182.92%-4.76B
-65.08%5.74B
78.11%16.43B
1,764.80%9.22B
-106.48%-554M
128.36%8.55B
-170.59%-30.15B
337.01%42.71B
-85.19%-18.02B
Effect of exchange rate changes
77.43%-844M
-409.86%-3.74B
-54.23%1.21B
535.87%2.64B
82.24%-605M
-160.96%-3.41B
212.35%5.59B
-33.25%-4.97B
---3.73B
----
End cash position
-17.85%92.13B
-7.04%112.15B
6.11%120.65B
20.14%113.7B
10.02%94.64B
-4.40%86.02B
18.64%89.98B
-31.65%75.84B
54.15%110.97B
-20.02%71.99B
Free cash flow
-3,364.94%-17.6B
-94.06%539M
-46.84%9.07B
115.36%17.07B
300.61%7.92B
-83.86%1.98B
163.86%12.26B
-137.70%-19.19B
237.22%50.91B
-95.48%-37.1B
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations 7.47%5.31B-19.48%4.94B70.16%6.14B12.76%3.61B-60.32%3.2B5.50%8.06B54.13%7.64B-26.55%4.96B-19.88%6.75B-0.73%8.42B
Other non cashItems 82.78%1.04B5.57%569M-12.21%539M-38.42%614M82.27%997M-67.27%547M4.44%1.67B-21.34%1.6B-1.64%2.03B68.95%2.07B
Change in working capital -210.46%-30.07B-569.69%-9.69B-81.54%2.06B480.91%11.17B62.15%-2.93B-221.55%-7.75B122.14%6.38B-169.55%-28.8B191.86%41.41B-65.56%-45.08B
-Change in receivables -98.48%156M898.44%10.24B260.00%1.03B-88.91%285M461.83%2.57B63.96%-710M-159.37%-1.97B-93.02%3.32B1,436.52%47.54B128.70%3.09B
-Change in loans 419.44%10.78B90.84%-3.37B-335.03%-36.84B40.79%-8.47B50.18%-14.3B-31.12%-28.71B-51.72%-21.89B-1,694.36%-14.43B102.34%905M29.62%-38.61B
-Change in other current assets -70.83%182M105.84%624M-565.33%-10.68B219.71%2.3B-11.19%-1.92B-196.69%-1.73B247.80%1.78B-115.79%-1.21B725.49%7.64B117.88%926M
-Change in other current liabilities -131.56%-2.73B-13.37%8.64B142.19%9.98B1.53%4.12B-31.87%4.06B246.42%5.96B---4.07B------------
Cash from discontinued operating activities
Operating cash flow -1,646.44%-16.92B-88.69%1.09B-45.22%9.68B97.72%17.66B239.05%8.93B-79.19%2.64B167.57%12.67B-136.50%-18.74B239.56%51.36B-101.85%-36.8B
Investing cash flow
Cash flow from continuing investing activities
Net investment purchase and sale ---------------------79.83%122M260.90%605M-54.73%-376M-18.54%-243M-576.74%-205M
Net PPE purchase and sale -67.45%-638M22.56%-381M17.17%-492M40.18%-594M-57.87%-993M-64.66%-629M-155.04%-382M340.97%694M-64.57%-288M-10.06%-175M
Net business purchase and sale ---------99.17%7M-2.31%845M552.88%865M90.96%-191M-380.48%-2.11B1,334.43%753M94.75%-61M-1,052.46%-1.16B
Net other investing changes --------------------------5.95B------------
Cash from discontinued investing activities
Investing cash flow -123.95%-511M-20.13%2.13B626.09%2.67B420.00%368M81.83%-115M-115.16%-633M131.05%4.18B436.50%1.81B61.26%-537M-3,113.04%-1.39B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -42.21%1.8B197.20%3.12B-290.50%-3.21B345.77%1.69B183.81%378M96.96%-451M-480.89%-14.83B69.29%-2.55B-138.36%-8.31B619.49%21.67B
Net commonstock issuance 87.97%-367M---3.05B--0---------21.51%73M745.45%93M-99.84%11M13,352.00%6.73B-57.63%50M
Cash dividends paid 46.71%-1.38B-53.26%-2.58B-24.15%-1.69B-65.01%-1.36B1.08%-823M60.49%-832M-350.00%-2.11B42.72%-468M17.56%-817M-32.66%-991M
Net other financing activities 87.14%-596M-471.27%-4.63B0.00%-811M-142.51%-811M367.60%1.91B-106.96%-713M219.38%10.24B-133.75%-8.58B-448.29%-3.67B-92.93%1.05B
Cash from discontinued financing activities
Financing cash flow 78.18%-1.74B-20.78%-7.99B-311.90%-6.61B-497.28%-1.61B115.81%404M69.16%-2.56B37.29%-8.29B-63.00%-13.22B-140.21%-8.11B138.53%20.16B
Net cash flow
Beginning cash position -7.04%112.15B6.11%120.65B20.14%113.7B10.02%94.64B-4.40%86.02B18.64%89.98B-31.65%75.84B54.15%110.97B-20.02%71.99B-9.76%90.01B
Current changes in cash -303.01%-19.17B-182.92%-4.76B-65.08%5.74B78.11%16.43B1,764.80%9.22B-106.48%-554M128.36%8.55B-170.59%-30.15B337.01%42.71B-85.19%-18.02B
Effect of exchange rate changes 77.43%-844M-409.86%-3.74B-54.23%1.21B535.87%2.64B82.24%-605M-160.96%-3.41B212.35%5.59B-33.25%-4.97B---3.73B----
End cash position -17.85%92.13B-7.04%112.15B6.11%120.65B20.14%113.7B10.02%94.64B-4.40%86.02B18.64%89.98B-31.65%75.84B54.15%110.97B-20.02%71.99B
Free cash flow -3,364.94%-17.6B-94.06%539M-46.84%9.07B115.36%17.07B300.61%7.92B-83.86%1.98B163.86%12.26B-137.70%-19.19B237.22%50.91B-95.48%-37.1B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD

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