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KINGBOARD HLDG (00148)

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  • 29.200
  • +0.320+1.11%
Market Closed Jan 16 16:07 CST
32.36BMarket Cap11.96P/E (TTM)

KINGBOARD HLDG (00148) Balance Sheet

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(Q6)Jun 30, 2025
(FY)Dec 31, 2024
(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
Assets
Current assets
Inventory
5.78%4.24B
12.11%4.23B
-0.35%4.01B
7.52%3.78B
-16.37%4.03B
-10.27%3.51B
35.51%4.81B
29.97%3.91B
18.44%3.55B
1.64%3.01B
Developing and for sale properties
-23.67%11.85B
-20.77%12.22B
-6.99%15.53B
-8.74%15.42B
-4.52%16.69B
-14.13%16.9B
-16.49%17.48B
-0.84%19.68B
9.34%20.93B
-6.03%19.84B
Accounts receivable
11.18%9.61B
9.15%8.71B
8.09%8.64B
-2.99%7.98B
-17.24%8B
-28.35%8.22B
-12.86%9.66B
28.16%11.47B
35.27%11.09B
2.07%8.95B
Notes receivable
16.82%4.47B
6.76%3.47B
29.07%3.82B
3.80%3.25B
-27.34%2.96B
-38.71%3.13B
-32.07%4.08B
35.45%5.1B
65.38%6B
-7.78%3.77B
Withholding and tax receivable
-1.79%31.7M
-2.67%31.75M
-53.87%32.27M
-57.16%32.63M
173.23%69.96M
152.63%76.16M
74.43%25.61M
63.23%30.15M
45.88%14.68M
1.32%18.47M
Cash and equivalents
-23.06%3.11B
-4.75%3.89B
-14.57%4.05B
-38.92%4.09B
-30.61%4.74B
21.42%6.69B
40.63%6.83B
-16.08%5.51B
-30.69%4.85B
4.98%6.57B
Secured deposit
----
-78.12%2.21M
----
-92.25%10.09M
--117.93M
--130.1M
----
----
----
----
Financial assets at fair value-current assets
41.72%10.3B
-22.12%6.94B
1.69%7.27B
90.07%8.91B
119.98%7.15B
13.20%4.69B
15.20%3.25B
77.35%4.14B
218.72%2.82B
374.93%2.33B
Special items of current assets
-99.77%1.67M
-98.00%14.46M
-67.50%716.87M
-62.07%721.59M
7,848.75%2.21B
356.73%1.9B
-79.35%27.75M
-60.77%416.51M
-87.45%134.37M
22.58%1.06B
Total current assets
-1.02%43.62B
-10.58%39.5B
-4.11%44.07B
-2.36%44.18B
-0.45%45.96B
-9.99%45.25B
-6.55%46.17B
10.33%50.26B
15.04%49.4B
2.22%45.56B
Non-current assets
Property, plant and equipment
9.85%22.08B
9.70%21.29B
12.55%20.1B
13.78%19.4B
9.42%17.86B
9.34%17.06B
12.59%16.32B
7.01%15.6B
1.09%14.5B
-1.52%14.58B
Investment property
14.76%27.18B
9.21%25.99B
1.40%23.68B
1.50%23.8B
-4.02%23.36B
7.47%23.45B
19.14%24.33B
8.81%21.82B
8.19%20.42B
5.09%20.05B
Advance payment
-30.86%710.29M
22.93%915.06M
-10.07%1.03B
-43.34%744.38M
9.31%1.14B
11.64%1.31B
48.38%1.04B
680.03%1.18B
11.76%704.23M
-75.34%150.86M
Associated company interest
2.82%431.7M
1.80%453.15M
16.83%419.86M
-16.34%445.13M
-25.15%359.39M
-5.54%532.06M
12.58%480.17M
52.51%563.25M
26.71%426.53M
-7.20%369.31M
Interests in Joint Venture
-3.50%2.37B
-4.04%2.37B
-0.86%2.46B
4.38%2.47B
-4.34%2.48B
-8.81%2.37B
2.37%2.59B
-0.42%2.6B
-0.29%2.53B
2.88%2.61B
Financial assets at fair value-non-current assets
-43.12%1.43B
-23.34%1.7B
25.78%2.52B
19.61%2.22B
-22.44%2B
-57.85%1.86B
1.23%2.58B
32.31%4.4B
-15.39%2.55B
40.65%3.33B
Intangible assets
-20.45%25.2M
-18.56%28.44M
-16.98%31.68M
-15.65%34.92M
-14.52%38.16M
-13.53%41.4M
-12.68%44.64M
-11.92%47.88M
-11.25%51.12M
-10.65%54.36M
Goodwill
0.00%2.67B
0.00%2.67B
0.00%2.67B
0.00%2.67B
0.00%2.67B
0.00%2.67B
0.00%2.67B
0.00%2.67B
0.00%2.67B
0.00%2.67B
Deferred tax assets
-16.25%2.74M
-15.48%2.59M
23.98%3.27M
19.05%3.07M
53.55%2.64M
12.34%2.58M
-35.75%1.72M
-13.99%2.29M
-20.13%2.67M
5.04%2.67M
Total non-current assets
7.74%60.05B
6.37%58.28B
5.25%55.74B
5.27%54.79B
-3.35%52.95B
-2.81%52.05B
13.83%54.79B
12.29%53.55B
4.42%48.13B
-9.10%47.69B
Total assets
3.87%103.67B
-1.20%97.78B
0.90%99.81B
1.72%98.97B
-2.02%98.91B
-6.28%97.29B
3.51%100.95B
11.33%103.82B
9.54%97.53B
-3.90%93.25B
Liabilities
Current liabilities
Accounts payable
-16.77%5.49B
5.26%6.64B
4.98%6.59B
-2.50%6.31B
-1.15%6.28B
-8.13%6.47B
-10.70%6.35B
7.77%7.05B
37.98%7.11B
11.93%6.54B
Notes payable
-8.53%544.63M
-5.10%628.07M
-3.30%595.4M
1.81%661.8M
69.88%615.75M
-10.72%650.06M
32.60%362.47M
93.12%728.14M
-20.04%273.35M
4.76%377.04M
Tax payable
7.02%1.49B
9.02%1.47B
-8.07%1.39B
-19.62%1.35B
-20.31%1.51B
-22.16%1.68B
-15.43%1.9B
14.94%2.16B
63.11%2.25B
37.31%1.88B
Dividend payable
215.61%1.52B
-30.62%541.57M
-51.67%480.86M
71.40%780.61M
-73.01%994.97M
-47.46%455.42M
--3.69B
-55.11%866.77M
----
--1.93B
Short-term borrowing
21.23%11.05B
10.00%8.96B
3.93%9.11B
54.59%8.15B
11.91%8.77B
-50.93%5.27B
-45.08%7.83B
24.68%10.74B
79.78%14.27B
9.53%8.61B
Financial lease liabilities-current liabilities
52.14%3.99M
40.14%4.27M
-32.37%2.62M
-32.02%3.04M
22.02%3.87M
12.82%4.48M
-20.70%3.18M
-5.77%3.97M
53.00%4M
44.94%4.21M
Total current liabilities
9.14%21.64B
3.11%19.51B
-4.27%19.82B
10.43%18.92B
-6.97%20.71B
-36.17%17.14B
-25.28%22.26B
16.06%26.85B
61.24%29.79B
6.06%23.13B
Net current assets
-9.33%21.99B
-20.84%19.99B
-3.97%24.25B
-10.16%25.25B
5.62%25.25B
20.02%28.11B
21.91%23.91B
4.43%23.42B
-19.84%19.61B
-1.46%22.43B
Total assets less current liabilities
2.57%82.04B
-2.21%78.27B
2.27%79.98B
-0.14%80.05B
-0.62%78.21B
4.14%80.16B
16.17%78.7B
9.77%76.97B
-3.99%67.74B
-6.79%70.12B
Non-current liabilities
Long-term bank loan
-1.43%13.87B
-13.81%12.74B
2.24%14.08B
2.07%14.78B
18.15%13.77B
88.81%14.48B
248.97%11.65B
-11.03%7.67B
-74.76%3.34B
-47.91%8.62B
Financial lease liabilities-non-current liabilities
20.97%10.3M
505.69%11.91M
210.54%8.52M
-58.25%1.97M
-42.56%2.74M
-26.78%4.71M
-48.73%4.77M
-34.29%6.43M
14.85%9.31M
-5.01%9.79M
Deferred tax liability
-21.31%747.05M
-5.50%786.09M
0.30%949.31M
-14.96%831.83M
57.11%946.44M
59.82%978.13M
-12.42%602.4M
-11.38%612.02M
-0.81%687.85M
-1.05%690.62M
Total non-current liabilities
-2.68%14.63B
-13.30%13.53B
2.16%15.03B
0.97%15.61B
20.04%14.72B
86.58%15.46B
203.73%12.26B
-11.08%8.29B
-71.03%4.04B
-45.99%9.32B
Total liabilities
4.04%36.27B
-4.31%33.05B
-1.60%34.86B
5.94%34.53B
2.62%35.42B
-7.22%32.6B
2.04%34.52B
8.27%35.13B
4.38%33.83B
-16.93%32.45B
Total assets less total liabilities
3.78%67.41B
0.47%64.74B
2.30%64.95B
-0.40%64.43B
-4.44%63.49B
-5.81%64.7B
4.29%66.44B
12.97%68.68B
12.50%63.71B
4.88%60.8B
Total equity and non-current liabilities
2.57%82.04B
-2.21%78.27B
2.27%79.98B
-0.14%80.05B
-0.62%78.21B
4.14%80.16B
16.17%78.7B
9.77%76.97B
-3.99%67.74B
-6.79%70.12B
Equity
Share capital
0.00%110.83M
0.00%110.83M
0.00%110.83M
-0.04%110.83M
-0.04%110.83M
0.00%110.88M
0.00%110.88M
0.27%110.88M
0.46%110.88M
0.00%110.58M
Reserve
4.01%62.45B
0.14%59.71B
1.78%60.05B
-0.53%59.63B
-3.82%58.99B
-4.70%59.95B
4.68%61.34B
12.83%62.91B
18.97%58.6B
11.33%55.75B
Shareholders' Equity
4.00%62.56B
0.14%59.82B
1.78%60.16B
-0.53%59.74B
-3.82%59.11B
-4.70%60.06B
4.67%61.45B
12.80%63.02B
18.93%58.71B
11.31%55.86B
Non-controlling interest
1.06%4.84B
4.71%4.91B
9.32%4.79B
1.19%4.69B
-12.06%4.38B
-18.14%4.64B
-0.18%4.99B
14.84%5.67B
-31.23%4.99B
-36.59%4.93B
Total equity
3.78%67.41B
0.47%64.74B
2.30%64.95B
-0.40%64.43B
-4.44%63.49B
-5.81%64.7B
4.29%66.44B
12.97%68.68B
12.50%63.71B
4.88%60.8B
Total equity and total liabilities
3.87%103.67B
-1.20%97.78B
0.90%99.81B
1.72%98.97B
-2.02%98.91B
-6.28%97.29B
3.51%100.95B
11.33%103.82B
9.54%97.53B
-3.90%93.25B
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
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Touche Tohmatsu CPA LLP
--
Deloitte Touche Tohmatsu CPA LLP
--
Deloitte Touche Tohmatsu CPA LLP
--
Deloitte Touche Tohmatsu CPA LLP
(Q6)Jun 30, 2025(FY)Dec 31, 2024(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
Assets
Current assets
Inventory 5.78%4.24B12.11%4.23B-0.35%4.01B7.52%3.78B-16.37%4.03B-10.27%3.51B35.51%4.81B29.97%3.91B18.44%3.55B1.64%3.01B
Developing and for sale properties -23.67%11.85B-20.77%12.22B-6.99%15.53B-8.74%15.42B-4.52%16.69B-14.13%16.9B-16.49%17.48B-0.84%19.68B9.34%20.93B-6.03%19.84B
Accounts receivable 11.18%9.61B9.15%8.71B8.09%8.64B-2.99%7.98B-17.24%8B-28.35%8.22B-12.86%9.66B28.16%11.47B35.27%11.09B2.07%8.95B
Notes receivable 16.82%4.47B6.76%3.47B29.07%3.82B3.80%3.25B-27.34%2.96B-38.71%3.13B-32.07%4.08B35.45%5.1B65.38%6B-7.78%3.77B
Withholding and tax receivable -1.79%31.7M-2.67%31.75M-53.87%32.27M-57.16%32.63M173.23%69.96M152.63%76.16M74.43%25.61M63.23%30.15M45.88%14.68M1.32%18.47M
Cash and equivalents -23.06%3.11B-4.75%3.89B-14.57%4.05B-38.92%4.09B-30.61%4.74B21.42%6.69B40.63%6.83B-16.08%5.51B-30.69%4.85B4.98%6.57B
Secured deposit -----78.12%2.21M-----92.25%10.09M--117.93M--130.1M----------------
Financial assets at fair value-current assets 41.72%10.3B-22.12%6.94B1.69%7.27B90.07%8.91B119.98%7.15B13.20%4.69B15.20%3.25B77.35%4.14B218.72%2.82B374.93%2.33B
Special items of current assets -99.77%1.67M-98.00%14.46M-67.50%716.87M-62.07%721.59M7,848.75%2.21B356.73%1.9B-79.35%27.75M-60.77%416.51M-87.45%134.37M22.58%1.06B
Total current assets -1.02%43.62B-10.58%39.5B-4.11%44.07B-2.36%44.18B-0.45%45.96B-9.99%45.25B-6.55%46.17B10.33%50.26B15.04%49.4B2.22%45.56B
Non-current assets
Property, plant and equipment 9.85%22.08B9.70%21.29B12.55%20.1B13.78%19.4B9.42%17.86B9.34%17.06B12.59%16.32B7.01%15.6B1.09%14.5B-1.52%14.58B
Investment property 14.76%27.18B9.21%25.99B1.40%23.68B1.50%23.8B-4.02%23.36B7.47%23.45B19.14%24.33B8.81%21.82B8.19%20.42B5.09%20.05B
Advance payment -30.86%710.29M22.93%915.06M-10.07%1.03B-43.34%744.38M9.31%1.14B11.64%1.31B48.38%1.04B680.03%1.18B11.76%704.23M-75.34%150.86M
Associated company interest 2.82%431.7M1.80%453.15M16.83%419.86M-16.34%445.13M-25.15%359.39M-5.54%532.06M12.58%480.17M52.51%563.25M26.71%426.53M-7.20%369.31M
Interests in Joint Venture -3.50%2.37B-4.04%2.37B-0.86%2.46B4.38%2.47B-4.34%2.48B-8.81%2.37B2.37%2.59B-0.42%2.6B-0.29%2.53B2.88%2.61B
Financial assets at fair value-non-current assets -43.12%1.43B-23.34%1.7B25.78%2.52B19.61%2.22B-22.44%2B-57.85%1.86B1.23%2.58B32.31%4.4B-15.39%2.55B40.65%3.33B
Intangible assets -20.45%25.2M-18.56%28.44M-16.98%31.68M-15.65%34.92M-14.52%38.16M-13.53%41.4M-12.68%44.64M-11.92%47.88M-11.25%51.12M-10.65%54.36M
Goodwill 0.00%2.67B0.00%2.67B0.00%2.67B0.00%2.67B0.00%2.67B0.00%2.67B0.00%2.67B0.00%2.67B0.00%2.67B0.00%2.67B
Deferred tax assets -16.25%2.74M-15.48%2.59M23.98%3.27M19.05%3.07M53.55%2.64M12.34%2.58M-35.75%1.72M-13.99%2.29M-20.13%2.67M5.04%2.67M
Total non-current assets 7.74%60.05B6.37%58.28B5.25%55.74B5.27%54.79B-3.35%52.95B-2.81%52.05B13.83%54.79B12.29%53.55B4.42%48.13B-9.10%47.69B
Total assets 3.87%103.67B-1.20%97.78B0.90%99.81B1.72%98.97B-2.02%98.91B-6.28%97.29B3.51%100.95B11.33%103.82B9.54%97.53B-3.90%93.25B
Liabilities
Current liabilities
Accounts payable -16.77%5.49B5.26%6.64B4.98%6.59B-2.50%6.31B-1.15%6.28B-8.13%6.47B-10.70%6.35B7.77%7.05B37.98%7.11B11.93%6.54B
Notes payable -8.53%544.63M-5.10%628.07M-3.30%595.4M1.81%661.8M69.88%615.75M-10.72%650.06M32.60%362.47M93.12%728.14M-20.04%273.35M4.76%377.04M
Tax payable 7.02%1.49B9.02%1.47B-8.07%1.39B-19.62%1.35B-20.31%1.51B-22.16%1.68B-15.43%1.9B14.94%2.16B63.11%2.25B37.31%1.88B
Dividend payable 215.61%1.52B-30.62%541.57M-51.67%480.86M71.40%780.61M-73.01%994.97M-47.46%455.42M--3.69B-55.11%866.77M------1.93B
Short-term borrowing 21.23%11.05B10.00%8.96B3.93%9.11B54.59%8.15B11.91%8.77B-50.93%5.27B-45.08%7.83B24.68%10.74B79.78%14.27B9.53%8.61B
Financial lease liabilities-current liabilities 52.14%3.99M40.14%4.27M-32.37%2.62M-32.02%3.04M22.02%3.87M12.82%4.48M-20.70%3.18M-5.77%3.97M53.00%4M44.94%4.21M
Total current liabilities 9.14%21.64B3.11%19.51B-4.27%19.82B10.43%18.92B-6.97%20.71B-36.17%17.14B-25.28%22.26B16.06%26.85B61.24%29.79B6.06%23.13B
Net current assets -9.33%21.99B-20.84%19.99B-3.97%24.25B-10.16%25.25B5.62%25.25B20.02%28.11B21.91%23.91B4.43%23.42B-19.84%19.61B-1.46%22.43B
Total assets less current liabilities 2.57%82.04B-2.21%78.27B2.27%79.98B-0.14%80.05B-0.62%78.21B4.14%80.16B16.17%78.7B9.77%76.97B-3.99%67.74B-6.79%70.12B
Non-current liabilities
Long-term bank loan -1.43%13.87B-13.81%12.74B2.24%14.08B2.07%14.78B18.15%13.77B88.81%14.48B248.97%11.65B-11.03%7.67B-74.76%3.34B-47.91%8.62B
Financial lease liabilities-non-current liabilities 20.97%10.3M505.69%11.91M210.54%8.52M-58.25%1.97M-42.56%2.74M-26.78%4.71M-48.73%4.77M-34.29%6.43M14.85%9.31M-5.01%9.79M
Deferred tax liability -21.31%747.05M-5.50%786.09M0.30%949.31M-14.96%831.83M57.11%946.44M59.82%978.13M-12.42%602.4M-11.38%612.02M-0.81%687.85M-1.05%690.62M
Total non-current liabilities -2.68%14.63B-13.30%13.53B2.16%15.03B0.97%15.61B20.04%14.72B86.58%15.46B203.73%12.26B-11.08%8.29B-71.03%4.04B-45.99%9.32B
Total liabilities 4.04%36.27B-4.31%33.05B-1.60%34.86B5.94%34.53B2.62%35.42B-7.22%32.6B2.04%34.52B8.27%35.13B4.38%33.83B-16.93%32.45B
Total assets less total liabilities 3.78%67.41B0.47%64.74B2.30%64.95B-0.40%64.43B-4.44%63.49B-5.81%64.7B4.29%66.44B12.97%68.68B12.50%63.71B4.88%60.8B
Total equity and non-current liabilities 2.57%82.04B-2.21%78.27B2.27%79.98B-0.14%80.05B-0.62%78.21B4.14%80.16B16.17%78.7B9.77%76.97B-3.99%67.74B-6.79%70.12B
Equity
Share capital 0.00%110.83M0.00%110.83M0.00%110.83M-0.04%110.83M-0.04%110.83M0.00%110.88M0.00%110.88M0.27%110.88M0.46%110.88M0.00%110.58M
Reserve 4.01%62.45B0.14%59.71B1.78%60.05B-0.53%59.63B-3.82%58.99B-4.70%59.95B4.68%61.34B12.83%62.91B18.97%58.6B11.33%55.75B
Shareholders' Equity 4.00%62.56B0.14%59.82B1.78%60.16B-0.53%59.74B-3.82%59.11B-4.70%60.06B4.67%61.45B12.80%63.02B18.93%58.71B11.31%55.86B
Non-controlling interest 1.06%4.84B4.71%4.91B9.32%4.79B1.19%4.69B-12.06%4.38B-18.14%4.64B-0.18%4.99B14.84%5.67B-31.23%4.99B-36.59%4.93B
Total equity 3.78%67.41B0.47%64.74B2.30%64.95B-0.40%64.43B-4.44%63.49B-5.81%64.7B4.29%66.44B12.97%68.68B12.50%63.71B4.88%60.8B
Total equity and total liabilities 3.87%103.67B-1.20%97.78B0.90%99.81B1.72%98.97B-2.02%98.91B-6.28%97.29B3.51%100.95B11.33%103.82B9.54%97.53B-3.90%93.25B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Touche Tohmatsu CPA LLP--Deloitte Touche Tohmatsu CPA LLP--Deloitte Touche Tohmatsu CPA LLP--Deloitte Touche Tohmatsu CPA LLP

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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