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CHAMPION TECH (00092)

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  • 0.170
  • -0.008-4.49%
15min DelayNot Open Jul 20 15:54 CST
186.59MMarket Cap-3.70P/E (TTM)

CHAMPION TECH (00092) Balance Sheet

Cumulative·All
YOY yoy
Hide blank lines yoy
Currency: HKD
2026/H1
2025/FY
2025/H1
2024/FY
2024/H1
2023/FY
2023/H1
2022/FY
2022/H1
2021/FY
2021/H1
2020/FY
2020/H1
2019/FY
2019/H1
2018/FY
2018/H1
2017/FY
2017/H1
2016/FY
Total Assets
+14.92%294.77M
+15.16%302.18M
+14.26%256.49M
+50.77%262.39M
+29.51%224.49M
-2.80%174.03M
-24.96%173.33M
-56.85%179.05M
-48.85%230.97M
-9.56%414.89M
-10.88%451.60M
-28.77%458.77M
-5.98%506.75M
+16.52%644.07M
-34.81%538.99M
-87.76%552.77M
-90.93%826.75M
-51.19%4.52B
-2.17%9.12B
-1.69%9.25B
Total Current Assets
+17.80%250.25M
+16.61%256.55M
+16.85%212.44M
+67.24%220.01M
+91.92%181.81M
+34.93%131.55M
-32.37%94.73M
-65.67%97.50M
-54.15%140.08M
-8.51%284.04M
-8.43%305.54M
-34.47%310.45M
+17.86%333.66M
+55.69%473.72M
-19.95%283.09M
-93.12%304.28M
-95.92%353.64M
-49.29%4.42B
+35.23%8.66B
+78.74%8.72B
Cash and Equivalents
-27.96%5.19M
-18.91%11.92M
-15.54%7.20M
+60.70%14.70M
-35.35%8.53M
-62.65%9.15M
-56.50%13.19M
-81.93%24.49M
-77.24%30.32M
+26.64%135.57M
+31.69%133.23M
-13.41%107.05M
-7.76%101.17M
+9.86%123.63M
-23.62%109.69M
-7.74%112.53M
+92.64%143.62M
-7.19%121.97M
-45.18%74.55M
-44.18%131.43M
Short-Term Investments
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----
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----
--59.80M
----
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----
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----
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Accounts Receivable
-9.01%154.71M
-15.18%153.24M
+13.50%170.03M
+343.20%180.67M
+351.05%149.81M
+20.01%40.77M
-52.01%33.21M
-37.28%33.97M
-5.34%69.21M
-23.58%54.16M
-40.32%73.12M
-12.31%70.87M
+118.85%122.52M
+85.70%80.82M
+21.55%55.98M
-6.84%43.52M
+56.92%46.06M
+26.90%46.72M
-99.50%29.35M
-99.20%36.81M
Withholding and Tax Receivable
----
----
-95.90%184.00K
--184.00K
--4.48M
----
----
----
----
-88.31%285.00K
----
+138.22%2.44M
----
--1.02M
----
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Financial Assets at Fair Value-Non-Current Assets
+158.48%39.18M
+250.32%36.51M
+39.36%15.16M
-69.55%10.42M
-63.37%10.88M
+55.67%34.22M
+29.60%29.70M
-47.52%21.99M
--22.91M
-38.11%41.89M
----
+31.15%67.69M
+26.77%74.49M
-53.41%51.61M
-5.01%58.76M
--110.79M
--61.86M
----
----
----
Inventory
-11.92%6.52M
-6.93%6.89M
-8.69%7.41M
+0.98%7.41M
-30.25%8.11M
-43.06%7.34M
-10.39%11.63M
-66.60%12.88M
-62.20%12.98M
+27.12%38.56M
+9.60%34.34M
-47.56%30.34M
-42.35%31.33M
+75.57%57.85M
-44.28%54.35M
-99.23%32.95M
-98.86%97.53M
-50.27%4.25B
+2226.61%8.56B
+41443.98%8.56B
Special Items of Current Assets
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----
----
----
----
----
----
----
----
----
--577.00K
----
----
----
----
----
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----
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Total Non-Current Assets
+1.06%44.52M
+7.66%45.63M
+3.21%44.05M
-0.22%42.38M
-45.70%42.68M
-47.91%42.48M
-13.53%78.60M
-37.68%81.55M
-37.77%90.90M
-11.78%130.85M
-15.62%146.06M
-12.93%148.32M
-32.36%173.09M
-31.45%170.35M
-45.91%255.91M
+165.65%248.49M
+2.78%473.11M
-82.39%93.54M
-84.23%460.32M
-88.28%531.31M
Property, Plant and Equipment
+70.93%10.70M
+67.68%11.81M
+58.68%6.26M
+56.04%7.05M
+403.19%3.95M
+2124.14%4.52M
-62.77%784.00K
-99.45%203.00K
-96.13%2.11M
-37.54%36.58M
-15.06%54.47M
-8.53%58.56M
+121.67%64.14M
+87.81%64.02M
-15.34%28.93M
-12.57%34.09M
-17.76%34.18M
-14.59%38.99M
-17.94%41.56M
-16.38%45.65M
Investment Property
-10.68%30.54M
-11.09%30.46M
-11.72%34.19M
-9.74%34.26M
-17.72%38.73M
-19.71%37.96M
-7.77%47.08M
-5.49%47.28M
+13.00%51.04M
+13.15%50.02M
-29.34%45.17M
-30.94%44.21M
-65.08%63.93M
-61.86%64.02M
-44.93%183.07M
+210.26%167.83M
--332.42M
--54.09M
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----
Available for Sale of Financial Assets - Non-Current Assets
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----
----
----
----
----
----
----
----
----
----
----
----
----
-86.14%57.98M
----
-33.41%418.30M
-33.41%418.30M
Financial Assets at Fair Value-Non-Current Assets
--1.17M
----
----
----
----
----
----
----
----
----
--975.00K
--975.00K
----
----
----
----
----
----
----
----
Advance Payment
----
----
--3.60M
--1.07M
----
----
----
----
----
----
----
----
----
--120.00K
--408.00K
----
----
----
----
----
Development Expenditure
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-97.70%66.90M
Associated Company Interest
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----
----
+0.00%2.00K
+0.00%2.00K
+0.00%2.00K
+100.00%2.00K
+0.00%2.00K
-50.00%1.00K
+0.00%2.00K
+0.00%2.00K
+0.00%2.00K
+0.00%2.00K
--2.00K
--2.00K
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Interests in Joint Venture
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-0.66%449.00K
-1.75%450.00K
-1.53%452.00K
-0.87%458.00K
-0.86%459.00K
-0.86%462.00K
-0.86%463.00K
Special Items of Non-Current Assets
--104.00K
--104.00K
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Total Liabilities
+30.09%216.93M
+16.26%192.90M
+54.05%166.75M
+264.40%165.92M
+271.56%108.24M
+54.73%45.53M
-47.10%29.13M
-91.61%29.43M
-86.43%55.07M
-11.42%350.80M
+7.21%405.78M
-23.93%396.04M
-10.56%378.48M
+15.29%520.63M
-20.71%423.15M
+24.10%451.58M
+82.41%533.64M
+7.75%363.88M
-11.04%292.56M
-24.54%337.71M
Total Current Liabilities
+33.86%209.02M
+15.08%181.62M
+55.85%156.15M
+321.04%157.82M
+408.13%100.19M
+91.62%37.48M
-56.36%19.72M
-80.42%19.56M
-54.47%45.19M
-24.97%99.90M
+12.69%99.25M
-47.85%133.15M
-43.74%88.07M
+98.55%255.32M
+46.68%156.53M
-56.20%128.59M
-52.93%106.72M
+6.29%293.58M
-2.85%226.71M
-22.89%276.21M
Accounts Payable
+24.87%185.26M
+12.92%170.79M
+386.51%148.37M
+533.49%151.25M
+155.97%30.50M
+144.15%23.88M
-67.44%11.91M
-84.18%9.78M
-50.47%36.59M
+29.46%61.82M
+11.66%73.88M
-61.92%47.75M
+0.97%66.16M
+180.82%125.40M
-13.72%65.52M
-40.79%44.65M
-65.29%75.95M
-2.05%75.42M
+259.95%218.78M
-52.45%77.00M
Tax Payable
+5873.08%1.55M
+17.94%1.02M
-99.38%26.00K
-31.26%864.00K
+73.96%4.17M
-54.44%1.26M
+2.74%2.40M
+31.69%2.76M
+240.44%2.33M
+255.08%2.10M
--685.00K
+271.07%590.00K
----
--159.00K
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Amounts Payable to Associated Parties - Current Liabilities
----
----
----
----
--2.00M
+1233.33%2.00M
----
-93.12%150.00K
-93.12%150.00K
+0.00%2.18M
-47.85%2.18M
-47.85%2.18M
+0.00%4.18M
+0.00%4.18M
+13.59%4.18M
-58.10%4.18M
--3.68M
--9.98M
----
----
Notes Payable
+60.05%3.20M
----
--2.00M
----
----
----
----
----
----
----
+74.60%440.00K
-58.93%40.56M
-99.59%252.00K
+7621.81%98.76M
+8611.14%60.98M
--1.28M
--700.00K
----
----
----
Advance Payment
-95.79%164.00K
-84.96%586.00K
+11.83%3.90M
+0.00%3.90M
+0.00%3.48M
+11.83%3.90M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
+0.00%3.48M
Short-Term Debt
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----
--58.81M
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Bank Loans and Overdrafts
--17.21M
--7.12M
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-74.11%52.73M
+528.58%21.73M
+4.60%203.64M
-97.94%3.46M
+1.54%194.68M
Other Loans: Current Liabilities
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--10.00M
----
----
--6.87M
----
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Financial Lease Liabilities-Current Liabilities
-2.96%982.00K
+50.15%1.46M
+160.15%1.01M
+15.36%969.00K
-56.83%389.00K
-12.50%840.00K
+12.63%901.00K
-76.55%960.00K
-82.84%800.00K
+10.59%4.09M
+55.82%4.66M
+2102.98%3.70M
+2100.00%2.99M
--168.00K
--136.00K
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Provision-Current Liabilities
----
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----
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-13.66%1.06M
+0.00%1.33M
-8.69%1.23M
+11.07%1.33M
+8.98%1.35M
+1.95%1.20M
+15.19%1.24M
+18.75%1.18M
+1.71%1.07M
-3.41%992.00K
-1.77%1.06M
Total Non-Current Liabilities
-25.41%7.91M
+39.31%11.28M
+31.74%10.60M
+0.63%8.10M
-14.50%8.05M
-18.41%8.05M
-4.79%9.41M
-96.07%9.87M
-96.77%9.89M
-4.57%250.89M
+5.55%306.53M
-0.91%262.90M
+8.92%290.41M
-17.86%265.31M
-37.55%266.62M
+359.44%322.98M
+548.37%426.92M
+14.31%70.30M
-31.05%65.85M
-31.15%61.50M
Long-Term Bank Loan
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--200.00M
-13.04%200.00M
----
+0.00%230.00M
----
--230.00M
+17540.25%305.00M
----
-71.61%1.73M
-57.80%3.68M
Other Loans: Non-Current Liabilities
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--185.00M
----
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Financial Lease Liabilities-Non-Current
+256.18%1.53M
+93.73%1.79M
--429.00K
--925.00K
----
----
+2331.25%389.00K
-56.99%840.00K
-99.37%16.00K
-44.39%1.95M
+11.31%2.56M
+658.53%3.51M
+594.56%2.30M
--463.00K
--331.00K
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Deferred Tax Liability
-11.05%6.38M
-11.05%6.38M
-10.86%7.18M
-10.86%7.18M
-10.81%8.05M
-10.81%8.05M
-8.58%9.03M
-6.15%9.03M
+13.84%9.87M
+11.24%9.62M
-9.15%8.67M
-9.44%8.64M
+0.52%9.55M
+0.52%9.55M
-6.05%9.50M
-0.80%9.50M
--10.11M
--9.57M
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Retirement Benefit Obligations
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----
-68.43%16.02M
+94.10%51.92M
+100.55%50.74M
-0.14%26.75M
-8.90%25.30M
-55.23%26.79M
-54.26%27.77M
-6.68%59.83M
+5.03%60.73M
-28.29%64.12M
-28.27%57.82M
Convertible Notes and Bonds
----
--3.11M
--3.00M
----
----
----
----
----
----
--38.31M
+3.74%43.38M
----
--41.82M
----
----
--55.71M
--51.98M
----
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Special Items of Non-Current Liabilities
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-8.70%210.00M
----
--230.00M
----
----
----
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----
Total Equity
-13.26%77.84M
+13.28%109.28M
-22.80%89.74M
-24.93%96.47M
-19.39%116.25M
-14.12%128.50M
-18.02%144.20M
+133.43%149.62M
+283.92%175.90M
+2.19%64.10M
-64.28%45.82M
-49.19%62.72M
+10.73%128.27M
+21.99%123.44M
-60.48%115.85M
-97.56%101.19M
-96.68%293.11M
-53.42%4.15B
-1.84%8.83B
-0.55%8.92B
Stockholders' Equity
-6.28%87.31M
+19.62%115.42M
-19.88%93.16M
-13.27%96.49M
-7.93%116.28M
-14.98%111.25M
-14.88%126.29M
+1978.21%130.86M
+1970.66%148.36M
-140.26%-6.97M
-110.16%-7.93M
-76.03%17.31M
+21.93%78.08M
+49.70%72.21M
-57.28%64.04M
-98.65%48.23M
-98.04%149.89M
-53.78%3.57B
-1.67%7.63B
-0.29%7.71B
Share Capital
+20.00%9.85M
+44.00%9.85M
-70.00%8.21M
-75.00%6.84M
+0.00%27.35M
+0.00%27.35M
-90.00%27.35M
-60.00%27.35M
+300.00%273.53M
+0.00%68.38M
+0.00%68.38M
+0.00%68.38M
+0.00%68.38M
+50.00%68.38M
+80.00%68.38M
-92.80%45.59M
-94.00%37.99M
+0.00%633.18M
+0.00%633.18M
+0.00%633.18M
Retained Profit
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----
---51.08M
----
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Reserves
-8.82%77.46M
+17.76%105.58M
-4.46%84.95M
+6.86%89.66M
-10.12%88.92M
-18.94%83.90M
+179.04%98.94M
+237.36%103.50M
-64.02%-125.17M
---75.35M
-886.66%-76.31M
----
+323.27%9.70M
+44.61%3.83M
-103.88%-4.35M
-99.91%2.65M
-98.40%111.90M
-58.59%2.93B
-1.81%7.00B
-0.32%7.08B
Minority Interests
-177.06%-9.47M
-24472.00%-6.14M
-11290.00%-3.42M
-100.14%-25.00K
-100.17%-30.00K
-8.09%17.25M
-34.95%17.91M
-73.59%18.76M
-48.77%27.54M
+56.46%71.06M
+7.09%53.75M
-11.35%45.42M
-3.12%50.19M
-3.25%51.24M
-63.83%51.81M
-90.99%52.96M
-88.02%143.22M
-51.16%588.03M
-2.94%1.20B
-2.20%1.20B
Deadline
Dec 31, 2025
Jun 30, 2025
Dec 31, 2024
Jun 30, 2024
Dec 31, 2023
Jun 30, 2023
Dec 31, 2022
Jun 30, 2022
Dec 31, 2021
Jun 30, 2021
Dec 31, 2020
Jun 30, 2020
Dec 31, 2019
Jun 30, 2019
Dec 31, 2018
Jun 30, 2018
Dec 31, 2017
Jun 30, 2017
Dec 31, 2016
Jun 30, 2016
Accounting Standard
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
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2026/H12025/FY2025/H12024/FY2024/H12023/FY2023/H12022/FY2022/H12021/FY2021/H12020/FY2020/H12019/FY2019/H12018/FY2018/H12017/FY2017/H12016/FY

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.

Market Insights
China and the US begin implementing the Kuala Lumpur economic and trade consultation consensus.
China and the United States have successively adjusted multiple tariff and non-tariff measures, beginning to implement the consensus outcome Show More