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01742 HPC HOLDINGS

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  • 0.062
  • +0.004+6.90%
Not Open Jan 7 16:08 CST
99.20MMarket Cap8.86P/E (TTM)

HPC HOLDINGS Key Stats

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YOY yoy
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(Q6)Apr 30, 2024
(FY)Oct 31, 2023
(Q6)Apr 30, 2023
(FY)Oct 31, 2022
(Q6)Apr 30, 2022
(FY)Oct 31, 2021
(Q6)Apr 30, 2021
(FY)Oct 31, 2020
(Q6)Apr 30, 2020
(FY)Oct 31, 2019
Assets
Current assets
Accounts receivable
-58.76%25.36M
-10.27%40.53M
82.51%61.51M
-0.15%45.16M
-35.76%33.7M
-3.08%45.23M
-19.02%52.46M
-21.45%46.67M
-23.77%64.79M
-1.45%59.41M
Advance deposits and other receivables
-18.00%3.13M
6.31%2.29M
13.39%3.81M
-19.12%2.16M
1.39%3.36M
-11.04%2.67M
-68.43%3.32M
49.53%3M
257.21%10.5M
-33.03%2.01M
Cash and equivalents
38.59%40.38M
89.06%45.28M
45.69%29.14M
-22.24%23.95M
-57.87%20M
-51.11%30.8M
-1.71%47.47M
102.02%63M
87.27%48.3M
31.53%31.19M
Short-term deposit
--2.09M
--2.05M
----
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----
----
----
----
----
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Short-term investment
7.18%926K
8.00%837K
2.01%864K
--775K
--847K
----
----
----
----
----
Special items of current assets
----
----
----
----
--2.19M
----
----
----
----
----
Total current assets
-21.18%119.18M
-2.01%141.59M
32.12%151.21M
20.96%144.49M
-15.71%114.45M
-17.13%119.45M
-10.93%135.78M
4.44%144.15M
12.35%152.44M
9.66%138.02M
Non-current assets
Property, plant and equipment
15.98%33.17M
18.77%34.1M
7.42%28.6M
27.06%28.71M
10.46%26.62M
2.24%22.59M
39.08%24.1M
30.72%22.1M
-11.28%17.33M
252.63%16.91M
Investment property
----
----
----
----
-45.74%2.79M
-3.19%5.06M
-3.14%5.15M
-3.11%5.23M
109.34%5.31M
108.86%5.4M
Long-term receivables
--2.04M
----
----
----
----
----
----
----
----
----
Deferred tax assets
-10.46%3.78M
4.21%4.33M
59.59%4.23M
124.37%4.15M
214.12%2.65M
208.50%1.85M
204.33%843K
900.00%600K
823.33%277K
-43.40%60K
Total non-current assets
18.80%39M
16.93%38.43M
2.38%32.83M
11.37%32.86M
6.56%32.06M
5.65%29.51M
31.29%30.09M
24.89%27.93M
-27.46%22.92M
70.22%22.36M
Total assets
-14.05%158.17M
1.50%180.02M
25.61%184.03M
19.06%177.35M
-11.67%146.51M
-13.43%148.96M
-5.41%165.87M
7.29%172.08M
4.83%175.36M
15.38%160.38M
Liabilities
Current liabilities
Accounts payable
-22.68%44.71M
-0.62%54.05M
119.07%57.83M
89.33%54.38M
-24.09%26.4M
-15.08%28.72M
18.07%34.78M
-0.78%33.82M
-15.65%29.45M
-31.84%34.09M
Tax payable
-66.91%229K
267.26%1.25M
364.43%692K
-6.87%339K
-68.57%149K
-52.42%364K
-82.83%474K
-77.72%765K
-29.92%2.76M
40.51%3.43M
Other payables and accrued expenses
-17.10%4.79M
-0.03%7.36M
22.96%5.77M
30.51%7.36M
-16.68%4.7M
-14.22%5.64M
-8.42%5.64M
11.14%6.58M
40.61%6.15M
41.80%5.92M
Bank loans and overdrafts
0.45%1.33M
7.84%1.33M
84.44%1.33M
71.81%1.24M
-57.04%720K
-57.04%720K
132.78%1.68M
132.78%1.68M
9.09%720K
--720K
Provision-current liabilities
-73.12%2.4M
-30.50%5.88M
10.87%8.91M
38.49%8.47M
2,291.96%8.04M
189.44%6.11M
-76.59%336K
5,315.38%2.11M
--1.44M
--39K
Financial lease liabilities-current liabilities
-8.08%91K
-7.92%93K
-1.98%99K
0.00%101K
-42.61%101K
-42.29%101K
74.26%176K
75.00%175K
77.19%101K
212.50%100K
Total current liabilities
-28.87%55.38M
3.90%74.88M
70.81%77.85M
45.75%72.07M
-15.20%45.58M
-23.83%49.45M
-16.40%53.75M
24.61%64.92M
5.43%64.29M
-8.06%52.1M
Net current assets
-13.03%63.8M
-7.89%66.72M
6.52%73.36M
3.46%72.43M
-16.05%68.87M
-11.64%70.01M
-6.93%82.04M
-7.79%79.23M
18.01%88.15M
24.16%85.92M
Total assets less current liabilities
-3.19%102.8M
-0.14%105.14M
5.20%106.18M
5.80%105.29M
-9.98%100.93M
-7.13%99.52M
0.95%112.13M
-1.04%107.16M
4.49%111.07M
31.51%108.28M
Non-current liabilities
Long-term bank loan
-8.36%13.71M
-6.99%14.37M
12.10%14.96M
85.31%15.46M
8.75%13.34M
-36.36%8.34M
30.24%12.27M
33.99%13.1M
-7.10%9.42M
--9.78M
Financial lease liabilities-non-current liabilities
-46.70%105K
-38.37%151K
-33.22%197K
-29.19%245K
-72.09%295K
-70.20%346K
112.25%1.06M
125.00%1.16M
-18.23%498K
1,158.54%516K
Special items of non-current liabilities
-13.63%4.04M
-40.06%3.1M
34.60%4.68M
-13.62%5.18M
-19.63%3.48M
93.76%5.99M
67.74%4.33M
-13.22%3.09M
-47.15%2.58M
32.10%3.56M
Total non-current liabilities
-9.98%17.85M
-15.56%17.63M
15.89%19.83M
42.22%20.88M
-3.04%17.12M
-15.43%14.68M
41.25%17.65M
25.24%17.36M
-27.95%12.5M
406.02%13.86M
Total liabilities
-25.03%73.23M
-0.47%92.51M
55.82%97.68M
44.94%92.94M
-12.19%62.69M
-22.06%64.12M
-7.01%71.4M
24.74%82.28M
-1.96%76.79M
11.03%65.96M
Total assets less total liabilities
-1.63%84.94M
3.67%87.51M
3.02%86.35M
-0.50%84.41M
-11.28%83.82M
-5.53%84.84M
-4.16%94.47M
-4.90%89.8M
10.82%98.57M
18.62%94.42M
Total equity and non-current liabilities
-3.19%102.8M
-0.14%105.14M
5.20%106.18M
5.80%105.29M
-9.98%100.93M
-7.13%99.52M
0.95%112.13M
-1.04%107.16M
4.49%111.07M
31.51%108.28M
Equity
Share capital
0.00%2.73M
0.00%2.73M
0.00%2.73M
0.00%2.73M
0.00%2.73M
0.00%2.73M
0.00%2.73M
0.00%2.73M
0.00%2.73M
0.00%2.73M
Share premium
0.00%69.78M
0.00%69.78M
0.00%69.78M
0.00%69.78M
0.00%69.78M
0.00%69.78M
0.00%69.78M
0.00%69.78M
0.00%69.78M
0.00%69.78M
Capital reserve
-11.92%-30.19M
0.00%-26.97M
0.00%-26.97M
0.00%-26.97M
0.00%-26.97M
0.00%-26.97M
0.00%-26.97M
0.00%-26.97M
0.00%-26.97M
0.00%-26.97M
Retained profit
3.58%42.63M
8.71%42.42M
7.46%41.15M
-0.42%39.02M
-21.22%38.3M
-10.67%39.19M
-7.60%48.61M
-9.43%43.87M
22.56%52.61M
44.26%48.44M
Shareholders' Equity
-2.01%84.94M
4.02%87.95M
3.41%86.68M
-0.20%84.55M
-10.96%83.83M
-5.24%84.72M
-4.08%94.14M
-4.86%89.4M
10.95%98.14M
18.79%93.97M
Non-controlling interest
----
-211.43%-436K
-3,240.00%-334K
-218.64%-140K
-103.01%-10K
-70.43%118K
-22.61%332K
-11.73%399K
-12.45%429K
-7.76%452K
Total equity
-1.63%84.94M
3.67%87.51M
3.02%86.35M
-0.50%84.41M
-11.28%83.82M
-5.53%84.84M
-4.16%94.47M
-4.90%89.8M
10.82%98.57M
18.62%94.42M
Total equity and total liabilities
-14.05%158.17M
1.50%180.02M
25.61%184.03M
19.06%177.35M
-11.67%146.51M
-13.43%148.96M
-5.41%165.87M
7.29%172.08M
4.83%175.36M
15.38%160.38M
Currency Unit
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
SGD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
Evergreen (Hong Kong) Certified Public Accountants Limited
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
(Q6)Apr 30, 2024 (FY)Oct 31, 2023 (Q6)Apr 30, 2023 (FY)Oct 31, 2022 (Q6)Apr 30, 2022 (FY)Oct 31, 2021 (Q6)Apr 30, 2021 (FY)Oct 31, 2020 (Q6)Apr 30, 2020 (FY)Oct 31, 2019
Assets
Current assets
Accounts receivable -58.76%25.36M -10.27%40.53M 82.51%61.51M -0.15%45.16M -35.76%33.7M -3.08%45.23M -19.02%52.46M -21.45%46.67M -23.77%64.79M -1.45%59.41M
Advance deposits and other receivables -18.00%3.13M 6.31%2.29M 13.39%3.81M -19.12%2.16M 1.39%3.36M -11.04%2.67M -68.43%3.32M 49.53%3M 257.21%10.5M -33.03%2.01M
Cash and equivalents 38.59%40.38M 89.06%45.28M 45.69%29.14M -22.24%23.95M -57.87%20M -51.11%30.8M -1.71%47.47M 102.02%63M 87.27%48.3M 31.53%31.19M
Short-term deposit --2.09M --2.05M ---- ---- ---- ---- ---- ---- ---- ----
Short-term investment 7.18%926K 8.00%837K 2.01%864K --775K --847K ---- ---- ---- ---- ----
Special items of current assets ---- ---- ---- ---- --2.19M ---- ---- ---- ---- ----
Total current assets -21.18%119.18M -2.01%141.59M 32.12%151.21M 20.96%144.49M -15.71%114.45M -17.13%119.45M -10.93%135.78M 4.44%144.15M 12.35%152.44M 9.66%138.02M
Non-current assets
Property, plant and equipment 15.98%33.17M 18.77%34.1M 7.42%28.6M 27.06%28.71M 10.46%26.62M 2.24%22.59M 39.08%24.1M 30.72%22.1M -11.28%17.33M 252.63%16.91M
Investment property ---- ---- ---- ---- -45.74%2.79M -3.19%5.06M -3.14%5.15M -3.11%5.23M 109.34%5.31M 108.86%5.4M
Long-term receivables --2.04M ---- ---- ---- ---- ---- ---- ---- ---- ----
Deferred tax assets -10.46%3.78M 4.21%4.33M 59.59%4.23M 124.37%4.15M 214.12%2.65M 208.50%1.85M 204.33%843K 900.00%600K 823.33%277K -43.40%60K
Total non-current assets 18.80%39M 16.93%38.43M 2.38%32.83M 11.37%32.86M 6.56%32.06M 5.65%29.51M 31.29%30.09M 24.89%27.93M -27.46%22.92M 70.22%22.36M
Total assets -14.05%158.17M 1.50%180.02M 25.61%184.03M 19.06%177.35M -11.67%146.51M -13.43%148.96M -5.41%165.87M 7.29%172.08M 4.83%175.36M 15.38%160.38M
Liabilities
Current liabilities
Accounts payable -22.68%44.71M -0.62%54.05M 119.07%57.83M 89.33%54.38M -24.09%26.4M -15.08%28.72M 18.07%34.78M -0.78%33.82M -15.65%29.45M -31.84%34.09M
Tax payable -66.91%229K 267.26%1.25M 364.43%692K -6.87%339K -68.57%149K -52.42%364K -82.83%474K -77.72%765K -29.92%2.76M 40.51%3.43M
Other payables and accrued expenses -17.10%4.79M -0.03%7.36M 22.96%5.77M 30.51%7.36M -16.68%4.7M -14.22%5.64M -8.42%5.64M 11.14%6.58M 40.61%6.15M 41.80%5.92M
Bank loans and overdrafts 0.45%1.33M 7.84%1.33M 84.44%1.33M 71.81%1.24M -57.04%720K -57.04%720K 132.78%1.68M 132.78%1.68M 9.09%720K --720K
Provision-current liabilities -73.12%2.4M -30.50%5.88M 10.87%8.91M 38.49%8.47M 2,291.96%8.04M 189.44%6.11M -76.59%336K 5,315.38%2.11M --1.44M --39K
Financial lease liabilities-current liabilities -8.08%91K -7.92%93K -1.98%99K 0.00%101K -42.61%101K -42.29%101K 74.26%176K 75.00%175K 77.19%101K 212.50%100K
Total current liabilities -28.87%55.38M 3.90%74.88M 70.81%77.85M 45.75%72.07M -15.20%45.58M -23.83%49.45M -16.40%53.75M 24.61%64.92M 5.43%64.29M -8.06%52.1M
Net current assets -13.03%63.8M -7.89%66.72M 6.52%73.36M 3.46%72.43M -16.05%68.87M -11.64%70.01M -6.93%82.04M -7.79%79.23M 18.01%88.15M 24.16%85.92M
Total assets less current liabilities -3.19%102.8M -0.14%105.14M 5.20%106.18M 5.80%105.29M -9.98%100.93M -7.13%99.52M 0.95%112.13M -1.04%107.16M 4.49%111.07M 31.51%108.28M
Non-current liabilities
Long-term bank loan -8.36%13.71M -6.99%14.37M 12.10%14.96M 85.31%15.46M 8.75%13.34M -36.36%8.34M 30.24%12.27M 33.99%13.1M -7.10%9.42M --9.78M
Financial lease liabilities-non-current liabilities -46.70%105K -38.37%151K -33.22%197K -29.19%245K -72.09%295K -70.20%346K 112.25%1.06M 125.00%1.16M -18.23%498K 1,158.54%516K
Special items of non-current liabilities -13.63%4.04M -40.06%3.1M 34.60%4.68M -13.62%5.18M -19.63%3.48M 93.76%5.99M 67.74%4.33M -13.22%3.09M -47.15%2.58M 32.10%3.56M
Total non-current liabilities -9.98%17.85M -15.56%17.63M 15.89%19.83M 42.22%20.88M -3.04%17.12M -15.43%14.68M 41.25%17.65M 25.24%17.36M -27.95%12.5M 406.02%13.86M
Total liabilities -25.03%73.23M -0.47%92.51M 55.82%97.68M 44.94%92.94M -12.19%62.69M -22.06%64.12M -7.01%71.4M 24.74%82.28M -1.96%76.79M 11.03%65.96M
Total assets less total liabilities -1.63%84.94M 3.67%87.51M 3.02%86.35M -0.50%84.41M -11.28%83.82M -5.53%84.84M -4.16%94.47M -4.90%89.8M 10.82%98.57M 18.62%94.42M
Total equity and non-current liabilities -3.19%102.8M -0.14%105.14M 5.20%106.18M 5.80%105.29M -9.98%100.93M -7.13%99.52M 0.95%112.13M -1.04%107.16M 4.49%111.07M 31.51%108.28M
Equity
Share capital 0.00%2.73M 0.00%2.73M 0.00%2.73M 0.00%2.73M 0.00%2.73M 0.00%2.73M 0.00%2.73M 0.00%2.73M 0.00%2.73M 0.00%2.73M
Share premium 0.00%69.78M 0.00%69.78M 0.00%69.78M 0.00%69.78M 0.00%69.78M 0.00%69.78M 0.00%69.78M 0.00%69.78M 0.00%69.78M 0.00%69.78M
Capital reserve -11.92%-30.19M 0.00%-26.97M 0.00%-26.97M 0.00%-26.97M 0.00%-26.97M 0.00%-26.97M 0.00%-26.97M 0.00%-26.97M 0.00%-26.97M 0.00%-26.97M
Retained profit 3.58%42.63M 8.71%42.42M 7.46%41.15M -0.42%39.02M -21.22%38.3M -10.67%39.19M -7.60%48.61M -9.43%43.87M 22.56%52.61M 44.26%48.44M
Shareholders' Equity -2.01%84.94M 4.02%87.95M 3.41%86.68M -0.20%84.55M -10.96%83.83M -5.24%84.72M -4.08%94.14M -4.86%89.4M 10.95%98.14M 18.79%93.97M
Non-controlling interest ---- -211.43%-436K -3,240.00%-334K -218.64%-140K -103.01%-10K -70.43%118K -22.61%332K -11.73%399K -12.45%429K -7.76%452K
Total equity -1.63%84.94M 3.67%87.51M 3.02%86.35M -0.50%84.41M -11.28%83.82M -5.53%84.84M -4.16%94.47M -4.90%89.8M 10.82%98.57M 18.62%94.42M
Total equity and total liabilities -14.05%158.17M 1.50%180.02M 25.61%184.03M 19.06%177.35M -11.67%146.51M -13.43%148.96M -5.41%165.87M 7.29%172.08M 4.83%175.36M 15.38%160.38M
Currency Unit SGD SGD SGD SGD SGD SGD SGD SGD SGD SGD
Accounting Standards IAS IAS IAS IAS IAS IAS IAS IAS IAS IAS
Audit Opinions -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion
Auditor -- Evergreen (Hong Kong) Certified Public Accountants Limited -- 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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