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01733 E-COMMODITIES

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  • 1.300
  • 0.0000.00%
Market Closed Dec 20 16:08 CST
3.50BMarket Cap1.70P/E (TTM)

E-COMMODITIES Key Stats

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YOY yoy
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(Q6)Jun 30, 2024
(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
Cash flow from operating activities
Earning before tax
-12.47%939.26M
30.59%2.66B
26.97%1.07B
-49.90%2.04B
-7.26%845.08M
636.95%4.07B
194.56%911.28M
69.94%552.23M
28.65%309.38M
-64.82%324.96M
Profit adjustment
Interest (income) - adjustment
----
-59.43%-55.38M
----
-53.14%-34.73M
----
15.97%-22.68M
----
-11.01%-26.99M
----
-342.72%-24.31M
Interest expense - adjustment
----
-1.34%101.8M
----
-18.34%103.19M
--51.05M
-27.69%126.36M
----
-9.96%174.73M
----
-1.51%194.05M
Investment loss (gain)
----
-108.92%-7.25M
----
146.18%81.26M
----
---175.95M
----
----
----
129.61%27.66M
Attributable subsidiary (profit) loss
----
-37.20%-197.83M
----
-0.61%-144.19M
---54.66M
-285.56%-143.32M
----
-237.16%-37.17M
----
-804.92%-11.03M
Impairment and provisions:
----
507.74%44.3M
----
-101.99%-10.86M
--19.2M
4,753.20%545.55M
----
171.15%11.24M
----
80.09%-15.8M
-Other impairments and provisions
----
507.74%44.3M
----
-101.99%-10.86M
--19.2M
4,753.20%545.55M
----
171.15%11.24M
----
80.09%-15.8M
Revaluation surplus:
54.36%-60.97M
----
-296.09%-133.58M
-86.01%8.78M
--68.13M
-25.51%62.76M
----
--84.26M
----
----
-Derivative financial instruments fair value (increase)
54.36%-60.97M
----
-325.10%-133.58M
----
--59.34M
----
----
----
----
----
-Other fair value changes
----
----
----
-86.01%8.78M
--8.78M
-25.51%62.76M
----
--84.26M
----
----
Asset sale loss (gain):
----
970.31%17.74M
----
-140.99%-2.04M
----
-81.54%4.97M
----
167.84%26.93M
----
356.20%10.06M
-Loss (gain) on sale of property, machinery and equipment
----
970.31%17.74M
----
-140.99%-2.04M
----
-81.54%4.97M
----
167.84%26.93M
----
356.20%10.06M
Depreciation and amortization:
----
44.97%367.49M
----
6.67%253.5M
--119.49M
67.01%237.66M
----
30.67%142.3M
----
79.79%108.9M
-Depreciation
----
40.87%358.65M
----
9.15%254.61M
--119.49M
72.33%233.26M
----
33.20%135.36M
----
142.85%101.62M
-Amortization of intangible assets
----
45.54%11.38M
----
7.79%7.82M
----
4.42%7.25M
----
-4.57%6.95M
----
3.31%7.28M
-Other depreciation and amortization
----
71.53%-2.54M
----
-213.05%-8.92M
----
---2.85M
----
----
----
----
Exchange Loss (gain)
----
-109.59%-12.03M
----
1,417.94%125.46M
--102.4M
-69.28%8.27M
----
54.00%26.9M
----
12.41%17.47M
Operating profit before the change of operating capital
-6.51%878.3M
20.76%2.92B
-18.36%939.45M
-48.67%2.42B
26.27%1.15B
393.82%4.71B
194.56%911.28M
51.03%954.44M
28.65%309.38M
-37.81%631.95M
Change of operating capital
Inventory (increase) decrease
-147.53%-399.8M
-356.92%-1.68B
469.77%841.24M
137.92%652.19M
84.26%-227.51M
-381.12%-1.72B
-177.00%-1.45B
316.53%611.82M
191.15%1.88B
41.56%-282.56M
Accounts receivable (increase)decrease
----
-150.15%-433.89M
----
141.53%865.11M
----
-301.82%-2.08B
----
33.04%1.03B
----
178.77%775.86M
Accounts payable increase (decrease)
----
255.11%1.78B
----
-155.79%-1.15B
----
345.65%2.05B
----
49.03%461M
----
-50.91%309.33M
Cash  from business operations
-73.13%478.49M
-7.19%2.59B
92.89%1.78B
-5.87%2.79B
272.83%923.18M
-3.11%2.96B
-124.43%-534.15M
113.27%3.06B
141.48%2.19B
706.30%1.43B
Other taxs
-11.83%-248.36M
56.09%-271.44M
15.43%-222.08M
-199.86%-618.13M
-307.76%-262.58M
-119.02%-206.14M
-25.59%-64.4M
-96.50%-94.12M
-104.76%-51.27M
25.79%-47.9M
Interest paid - operating
----
----
----
----
----
----
-50.23%56.29M
----
18.60%113.09M
----
Special items of business
-5.31%148.8M
---292.85M
7,601.38%157.15M
----
-102.61%-2.1M
----
41.66%80.12M
----
167.60%56.56M
----
Net cash from operations
-77.91%378.94M
-6.76%2.03B
160.56%1.72B
-21.25%2.17B
242.49%658.5M
-6.98%2.76B
-120.05%-462.14M
113.85%2.97B
131.20%2.3B
1,123.03%1.39B
Cash flow from investment activities
Interest received - investment
----
31.94%46.55M
----
35.86%35.28M
----
-13.70%25.97M
----
138.95%30.09M
----
129.28%12.59M
Dividend received - investment
45.97%168.87M
19.62%115.69M
15.59%115.69M
32.07%96.71M
36.68%100.09M
648.83%73.23M
662.87%73.23M
--9.78M
--9.6M
----
Loan receivable (increase) decrease
25.74%-123.37M
---195.18M
---166.13M
----
----
----
----
----
----
-62.89%21.49M
Decrease in deposits (increase)
-221.89%-462.44M
-118.87%-26.03M
-283.94%-143.66M
287.23%137.92M
-122.40%-37.42M
-519.47%-73.66M
159.84%167.01M
103.52%17.56M
59.11%-279.12M
-415.92%-498.33M
Sale of fixed assets
--129.24M
45.30%24.68M
----
-23.76%16.99M
----
308.23%22.28M
----
139.76%5.46M
----
-24.98%2.28M
Purchase of fixed assets
-0.82%-494.51M
-39.38%-881.73M
-28.60%-490.46M
2.23%-632.63M
-59.19%-381.38M
-38.51%-647.05M
-242.10%-239.58M
-65.90%-467.16M
---70.03M
-24.27%-281.59M
Acquisition of subsidiaries
---112.56M
-912.96%-162.08M
----
---16M
----
----
----
----
----
----
Recovery of cash from investments
----
----
----
----
----
----
----
--1.98M
----
----
Cash on investment
36.24%162.84M
-93.43%-755.84M
189.64%119.52M
-373.50%-390.75M
-790.37%-133.33M
191.12%142.87M
---14.98M
86.75%-156.8M
----
-3,948.27%-1.18B
Other items in the investment business
24.35%-15.83M
----
-231.29%-20.93M
----
-29.68%15.94M
----
30.90%22.67M
----
187.20%17.32M
----
Net cash from investment operations
-27.61%-747.75M
-143.72%-1.83B
-34.36%-585.97M
-64.89%-752.48M
-5,319.05%-436.1M
18.37%-456.37M
102.59%8.36M
70.98%-559.09M
58.33%-322.23M
-8,276.77%-1.93B
Net cash before financing
-132.64%-368.82M
-86.52%191.41M
408.01%1.13B
-38.33%1.42B
149.01%222.4M
-4.34%2.3B
-122.89%-453.78M
545.74%2.41B
786.74%1.98B
-494.22%-539.85M
Cash flow from financing activities
New borrowing
42.15%8.84B
35.27%16.59B
-12.32%6.22B
-47.53%12.26B
-4.88%7.09B
74.37%23.37B
-12.81%7.46B
-29.32%13.4B
15.38%8.55B
66.19%18.96B
Refund
-40.43%-8.88B
-20.81%-15.39B
7.12%-6.33B
44.88%-12.74B
-1.96%-6.81B
-50.62%-23.11B
33.64%-6.68B
14.07%-15.34B
-34.88%-10.07B
-62.18%-17.85B
Issuing shares
----
----
----
--77.21M
--77.21M
----
----
----
----
----
Interest paid - financing
17.09%-13.55M
2.18%-101.66M
69.33%-16.34M
18.36%-103.92M
8.07%-53.28M
-4.93%-127.29M
4.15%-57.95M
25.85%-121.31M
24.96%-60.46M
24.71%-163.59M
Dividends paid - financing
-35.24%-292.16M
60.52%-418.2M
-11.52%-216.03M
-229,181.60%-1.06B
---193.72M
78.75%-462K
----
99.00%-2.17M
----
-89.99%-217.99M
Absorb investment income
--109.3M
----
----
----
----
8,619.96%331.53M
----
33.78%3.8M
----
-49.63%2.84M
Issuance expenses and redemption of securities expenses
96.28%-1.85M
84.38%-50.85M
61.13%-49.53M
-125.14%-325.51M
---127.45M
48.18%-144.58M
----
-195.92%-279M
----
-270.80%-94.28M
Other items of the financing business
----
656.94%249.7M
--151.88M
-117.38%-44.83M
----
-307.37%-20.63M
-0.49%-8.19M
77.87%-5.06M
64.39%-8.15M
-445.07%-22.88M
Net cash from financing operations
-7.42%-379.31M
125.22%532.53M
-190.98%-353.12M
-1,481.08%-2.11B
-119.19%-121.35M
106.27%152.9M
138.50%632.37M
-533.43%-2.44B
-858.99%-1.64B
1,598.00%562.39M
Effect of rate
83.56%-14.53M
86.69%-39.45M
-27.90%-88.38M
-458.45%-296.43M
-1,093.50%-69.1M
64.84%82.7M
125.56%6.96M
364.16%50.17M
-304.97%-27.21M
10.91%-18.99M
Net Cash
-196.32%-748.13M
204.62%723.94M
668.66%776.68M
-128.19%-692M
-43.42%101.04M
7,952.34%2.45B
-47.51%178.59M
-238.67%-31.26M
550.25%340.22M
-86.74%22.55M
Begining period cash
30.14%2.96B
-30.33%2.27B
-30.33%2.27B
351.55%3.26B
351.55%3.26B
2.69%721.82M
2.69%721.82M
0.51%702.92M
0.51%702.92M
27.01%699.36M
Cash at the end
-25.90%2.19B
30.14%2.96B
-10.09%2.96B
-30.33%2.27B
262.74%3.29B
351.55%3.26B
-10.69%907.36M
2.69%721.82M
36.37%1.02B
0.51%702.92M
Cash balance analysis
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
--
Auditor
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
(Q6)Jun 30, 2024 (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
Cash flow from operating activities
Earning before tax -12.47%939.26M 30.59%2.66B 26.97%1.07B -49.90%2.04B -7.26%845.08M 636.95%4.07B 194.56%911.28M 69.94%552.23M 28.65%309.38M -64.82%324.96M
Profit adjustment
Interest (income) - adjustment ---- -59.43%-55.38M ---- -53.14%-34.73M ---- 15.97%-22.68M ---- -11.01%-26.99M ---- -342.72%-24.31M
Interest expense - adjustment ---- -1.34%101.8M ---- -18.34%103.19M --51.05M -27.69%126.36M ---- -9.96%174.73M ---- -1.51%194.05M
Investment loss (gain) ---- -108.92%-7.25M ---- 146.18%81.26M ---- ---175.95M ---- ---- ---- 129.61%27.66M
Attributable subsidiary (profit) loss ---- -37.20%-197.83M ---- -0.61%-144.19M ---54.66M -285.56%-143.32M ---- -237.16%-37.17M ---- -804.92%-11.03M
Impairment and provisions: ---- 507.74%44.3M ---- -101.99%-10.86M --19.2M 4,753.20%545.55M ---- 171.15%11.24M ---- 80.09%-15.8M
-Other impairments and provisions ---- 507.74%44.3M ---- -101.99%-10.86M --19.2M 4,753.20%545.55M ---- 171.15%11.24M ---- 80.09%-15.8M
Revaluation surplus: 54.36%-60.97M ---- -296.09%-133.58M -86.01%8.78M --68.13M -25.51%62.76M ---- --84.26M ---- ----
-Derivative financial instruments fair value (increase) 54.36%-60.97M ---- -325.10%-133.58M ---- --59.34M ---- ---- ---- ---- ----
-Other fair value changes ---- ---- ---- -86.01%8.78M --8.78M -25.51%62.76M ---- --84.26M ---- ----
Asset sale loss (gain): ---- 970.31%17.74M ---- -140.99%-2.04M ---- -81.54%4.97M ---- 167.84%26.93M ---- 356.20%10.06M
-Loss (gain) on sale of property, machinery and equipment ---- 970.31%17.74M ---- -140.99%-2.04M ---- -81.54%4.97M ---- 167.84%26.93M ---- 356.20%10.06M
Depreciation and amortization: ---- 44.97%367.49M ---- 6.67%253.5M --119.49M 67.01%237.66M ---- 30.67%142.3M ---- 79.79%108.9M
-Depreciation ---- 40.87%358.65M ---- 9.15%254.61M --119.49M 72.33%233.26M ---- 33.20%135.36M ---- 142.85%101.62M
-Amortization of intangible assets ---- 45.54%11.38M ---- 7.79%7.82M ---- 4.42%7.25M ---- -4.57%6.95M ---- 3.31%7.28M
-Other depreciation and amortization ---- 71.53%-2.54M ---- -213.05%-8.92M ---- ---2.85M ---- ---- ---- ----
Exchange Loss (gain) ---- -109.59%-12.03M ---- 1,417.94%125.46M --102.4M -69.28%8.27M ---- 54.00%26.9M ---- 12.41%17.47M
Operating profit before the change of operating capital -6.51%878.3M 20.76%2.92B -18.36%939.45M -48.67%2.42B 26.27%1.15B 393.82%4.71B 194.56%911.28M 51.03%954.44M 28.65%309.38M -37.81%631.95M
Change of operating capital
Inventory (increase) decrease -147.53%-399.8M -356.92%-1.68B 469.77%841.24M 137.92%652.19M 84.26%-227.51M -381.12%-1.72B -177.00%-1.45B 316.53%611.82M 191.15%1.88B 41.56%-282.56M
Accounts receivable (increase)decrease ---- -150.15%-433.89M ---- 141.53%865.11M ---- -301.82%-2.08B ---- 33.04%1.03B ---- 178.77%775.86M
Accounts payable increase (decrease) ---- 255.11%1.78B ---- -155.79%-1.15B ---- 345.65%2.05B ---- 49.03%461M ---- -50.91%309.33M
Cash  from business operations -73.13%478.49M -7.19%2.59B 92.89%1.78B -5.87%2.79B 272.83%923.18M -3.11%2.96B -124.43%-534.15M 113.27%3.06B 141.48%2.19B 706.30%1.43B
Other taxs -11.83%-248.36M 56.09%-271.44M 15.43%-222.08M -199.86%-618.13M -307.76%-262.58M -119.02%-206.14M -25.59%-64.4M -96.50%-94.12M -104.76%-51.27M 25.79%-47.9M
Interest paid - operating ---- ---- ---- ---- ---- ---- -50.23%56.29M ---- 18.60%113.09M ----
Special items of business -5.31%148.8M ---292.85M 7,601.38%157.15M ---- -102.61%-2.1M ---- 41.66%80.12M ---- 167.60%56.56M ----
Net cash from operations -77.91%378.94M -6.76%2.03B 160.56%1.72B -21.25%2.17B 242.49%658.5M -6.98%2.76B -120.05%-462.14M 113.85%2.97B 131.20%2.3B 1,123.03%1.39B
Cash flow from investment activities
Interest received - investment ---- 31.94%46.55M ---- 35.86%35.28M ---- -13.70%25.97M ---- 138.95%30.09M ---- 129.28%12.59M
Dividend received - investment 45.97%168.87M 19.62%115.69M 15.59%115.69M 32.07%96.71M 36.68%100.09M 648.83%73.23M 662.87%73.23M --9.78M --9.6M ----
Loan receivable (increase) decrease 25.74%-123.37M ---195.18M ---166.13M ---- ---- ---- ---- ---- ---- -62.89%21.49M
Decrease in deposits (increase) -221.89%-462.44M -118.87%-26.03M -283.94%-143.66M 287.23%137.92M -122.40%-37.42M -519.47%-73.66M 159.84%167.01M 103.52%17.56M 59.11%-279.12M -415.92%-498.33M
Sale of fixed assets --129.24M 45.30%24.68M ---- -23.76%16.99M ---- 308.23%22.28M ---- 139.76%5.46M ---- -24.98%2.28M
Purchase of fixed assets -0.82%-494.51M -39.38%-881.73M -28.60%-490.46M 2.23%-632.63M -59.19%-381.38M -38.51%-647.05M -242.10%-239.58M -65.90%-467.16M ---70.03M -24.27%-281.59M
Acquisition of subsidiaries ---112.56M -912.96%-162.08M ---- ---16M ---- ---- ---- ---- ---- ----
Recovery of cash from investments ---- ---- ---- ---- ---- ---- ---- --1.98M ---- ----
Cash on investment 36.24%162.84M -93.43%-755.84M 189.64%119.52M -373.50%-390.75M -790.37%-133.33M 191.12%142.87M ---14.98M 86.75%-156.8M ---- -3,948.27%-1.18B
Other items in the investment business 24.35%-15.83M ---- -231.29%-20.93M ---- -29.68%15.94M ---- 30.90%22.67M ---- 187.20%17.32M ----
Net cash from investment operations -27.61%-747.75M -143.72%-1.83B -34.36%-585.97M -64.89%-752.48M -5,319.05%-436.1M 18.37%-456.37M 102.59%8.36M 70.98%-559.09M 58.33%-322.23M -8,276.77%-1.93B
Net cash before financing -132.64%-368.82M -86.52%191.41M 408.01%1.13B -38.33%1.42B 149.01%222.4M -4.34%2.3B -122.89%-453.78M 545.74%2.41B 786.74%1.98B -494.22%-539.85M
Cash flow from financing activities
New borrowing 42.15%8.84B 35.27%16.59B -12.32%6.22B -47.53%12.26B -4.88%7.09B 74.37%23.37B -12.81%7.46B -29.32%13.4B 15.38%8.55B 66.19%18.96B
Refund -40.43%-8.88B -20.81%-15.39B 7.12%-6.33B 44.88%-12.74B -1.96%-6.81B -50.62%-23.11B 33.64%-6.68B 14.07%-15.34B -34.88%-10.07B -62.18%-17.85B
Issuing shares ---- ---- ---- --77.21M --77.21M ---- ---- ---- ---- ----
Interest paid - financing 17.09%-13.55M 2.18%-101.66M 69.33%-16.34M 18.36%-103.92M 8.07%-53.28M -4.93%-127.29M 4.15%-57.95M 25.85%-121.31M 24.96%-60.46M 24.71%-163.59M
Dividends paid - financing -35.24%-292.16M 60.52%-418.2M -11.52%-216.03M -229,181.60%-1.06B ---193.72M 78.75%-462K ---- 99.00%-2.17M ---- -89.99%-217.99M
Absorb investment income --109.3M ---- ---- ---- ---- 8,619.96%331.53M ---- 33.78%3.8M ---- -49.63%2.84M
Issuance expenses and redemption of securities expenses 96.28%-1.85M 84.38%-50.85M 61.13%-49.53M -125.14%-325.51M ---127.45M 48.18%-144.58M ---- -195.92%-279M ---- -270.80%-94.28M
Other items of the financing business ---- 656.94%249.7M --151.88M -117.38%-44.83M ---- -307.37%-20.63M -0.49%-8.19M 77.87%-5.06M 64.39%-8.15M -445.07%-22.88M
Net cash from financing operations -7.42%-379.31M 125.22%532.53M -190.98%-353.12M -1,481.08%-2.11B -119.19%-121.35M 106.27%152.9M 138.50%632.37M -533.43%-2.44B -858.99%-1.64B 1,598.00%562.39M
Effect of rate 83.56%-14.53M 86.69%-39.45M -27.90%-88.38M -458.45%-296.43M -1,093.50%-69.1M 64.84%82.7M 125.56%6.96M 364.16%50.17M -304.97%-27.21M 10.91%-18.99M
Net Cash -196.32%-748.13M 204.62%723.94M 668.66%776.68M -128.19%-692M -43.42%101.04M 7,952.34%2.45B -47.51%178.59M -238.67%-31.26M 550.25%340.22M -86.74%22.55M
Begining period cash 30.14%2.96B -30.33%2.27B -30.33%2.27B 351.55%3.26B 351.55%3.26B 2.69%721.82M 2.69%721.82M 0.51%702.92M 0.51%702.92M 27.01%699.36M
Cash at the end -25.90%2.19B 30.14%2.96B -10.09%2.96B -30.33%2.27B 262.74%3.29B 351.55%3.26B -10.69%907.36M 2.69%721.82M 36.37%1.02B 0.51%702.92M
Cash balance analysis
Currency Unit HKD HKD HKD HKD HKD HKD HKD HKD HKD HKD
Accounting Standards IAS IAS IAS IAS IAS IAS IAS IAS IAS IAS
Audit Opinions -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion -- --
Auditor -- KPMG -- KPMG -- KPMG -- KPMG -- KPMG

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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