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SINOFERT (00297)

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  • 1.600
  • -0.010-0.62%
Market Closed May 6 16:07 CST
11.24BMarket Cap8.08P/E (TTM)

SINOFERT (00297) Cash Flow

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YOY yoy
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(FY)Dec 31, 2025
(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
Cash flow from operating activities
Earning before tax
26.53%1.55B
----
44.64%1.22B
----
-28.69%846.24M
----
31.84%1.19B
----
34.00%900.12M
----
Profit adjustment
Interest (income) - adjustment
-22.10%-134.64M
----
0.43%-110.27M
----
-77.86%-110.74M
----
-28.73%-62.26M
----
60.50%-48.37M
----
Dividend (income)- adjustment
----
----
----
----
----
----
----
----
-27.12%-4.92M
----
Attributable subsidiary (profit) loss
57.12%-95.81M
----
-79.07%-223.45M
----
15.73%-124.78M
----
25.07%-148.07M
----
-147.60%-197.61M
----
Impairment and provisions:
-84.12%36.07M
----
-55.17%227.14M
----
59.81%506.69M
----
-27.52%317.06M
----
588.52%437.46M
----
-Impairment of property, plant and equipment (reversal)
2,424.45%23.96M
----
--949K
----
----
----
----
----
87.79%31.35M
----
-Impairmen of inventory (reversal)
-55.49%19.54M
----
506.76%43.89M
----
-103.75%-10.79M
----
446.04%287.62M
----
141.62%52.67M
----
-Impairment of trade receivables (reversal)
-293.26%-350K
----
98.20%-89K
----
-2,231.13%-4.94M
----
-118.20%-212K
----
-81.77%1.17M
----
-Other impairments and provisions
-103.88%-7.07M
----
-65.09%182.39M
----
1,662.04%522.43M
----
-91.58%29.65M
----
1,788.75%352.27M
----
Revaluation surplus:
-101.04%-491K
----
464.73%47.33M
----
-3,319.85%-12.98M
----
24.00%403K
----
-99.40%325K
----
-Other fair value changes
-101.04%-491K
----
464.73%47.33M
----
-3,319.85%-12.98M
----
24.00%403K
----
-99.40%325K
----
Asset sale loss (gain):
103.20%1.99M
----
57.96%-62.26M
----
-5,193.02%-148.11M
----
105.24%2.91M
----
-569.87%-55.46M
----
-Loss (gain) from sale of subsidiary company
95.28%-66K
----
---1.4M
----
----
----
69.07%-8.02M
----
---25.93M
----
-Loss (gain) on sale of property, machinery and equipment
103.38%2.06M
----
58.90%-60.86M
----
-1,455.16%-148.11M
----
137.01%10.93M
----
-350.18%-29.53M
----
Depreciation and amortization:
6.12%501M
----
9.11%472.13M
----
41.71%432.72M
----
17.24%305.35M
----
-4.48%260.45M
----
-Amortization of intangible assets
8.75%35.29M
----
7.19%32.45M
----
1.21%30.27M
----
-18.45%29.91M
----
0.75%36.68M
----
-Other depreciation and amortization
-19.03%21.6M
----
61.80%26.68M
----
-1.94%16.49M
----
28.01%16.82M
----
-11.08%13.14M
----
Financial expense
-21.43%45.08M
----
-17.61%57.38M
----
209.33%69.64M
----
32.44%22.51M
----
-54.10%17M
----
Special items
----
----
----
----
-37.13%-4.09M
----
85.61%-2.98M
----
-134.32%-20.74M
----
Operating profit before the change of operating capital
16.39%1.89B
----
12.12%1.62B
----
-10.36%1.45B
----
26.03%1.61B
----
44.15%1.28B
----
Change of operating capital
Inventory (increase) decrease
-249.61%-635.39M
----
819.69%424.71M
----
95.13%-59.01M
----
-363.54%-1.21B
----
1,918.02%459.94M
----
Accounts receivable (increase)decrease
-348.46%-819.58M
----
2.39%329.87M
----
266.00%322.18M
----
-7.16%-194.09M
----
40.46%-181.13M
----
Accounts payable increase (decrease)
256.74%1.81B
----
-230.70%-1.16B
----
-52.26%884.22M
----
7,262.99%1.85B
----
-94.12%25.16M
----
Special items for working capital changes
-42.11%8.49M
----
134.14%14.66M
----
-67.15%6.26M
----
-14.23%19.06M
----
-25.91%22.23M
----
Cash  from business operations
82.32%2.25B
-88.10%154.83M
-52.48%1.24B
1.77%1.3B
25.07%2.6B
-30.96%1.28B
29.39%2.08B
251.36%1.85B
57.99%1.61B
-64.79%526.85M
Other taxs
-33.95%-259.24M
-31.46%-116.02M
-67.79%-193.53M
-39.10%-88.25M
-52.28%-115.34M
-107.67%-63.44M
-97.68%-75.74M
-149.64%-30.55M
-43.43%-38.32M
-55.08%-12.24M
Net cash from operations
91.30%1.99B
-96.80%38.81M
-58.06%1.04B
-0.18%1.21B
24.04%2.49B
-33.28%1.21B
27.72%2B
253.78%1.82B
58.38%1.57B
-65.42%514.61M
Cash flow from investment activities
Interest received - investment
-9.64%84.55M
55.82%45.81M
-14.05%93.57M
5,553.27%29.4M
60.97%108.86M
-95.87%520K
50.85%67.63M
-38.24%12.59M
-65.32%44.83M
-69.12%20.39M
Dividend received - investment
-31.04%174.25M
2.81%82.25M
58.65%252.66M
33.33%80M
308.75%159.26M
161.30%60M
516.78%38.96M
--22.96M
-10.57%6.32M
----
Loan receivable (increase) decrease
79.33%-200M
-9.73%300M
-20.96%-967.67M
141.54%332.33M
-229.03%-800M
---800M
--620M
----
----
----
Decrease in deposits (increase)
36.42%-1.25B
90.91%-150M
-542.77%-1.97B
---1.65B
---305.85M
----
----
----
----
----
Sale of fixed assets
-84.35%10.68M
-94.41%2.46M
137.35%68.26M
339.48%44.02M
-86.80%28.76M
120.52%10.02M
50.53%217.85M
-96.51%4.54M
288.94%144.72M
3,107.03%130.05M
Purchase of fixed assets
-12.57%-289.51M
-14.73%-121.21M
51.21%-257.18M
57.78%-105.65M
55.73%-527.14M
70.74%-250.26M
11.68%-1.19B
-110.41%-855.34M
-124.32%-1.35B
-103.26%-406.5M
Selling intangible assets
----
----
----
----
----
----
----
----
--577K
----
Purchase of intangible assets
-7,317.87%-31.97M
----
99.59%-431K
----
-16,368.63%-106.06M
----
-65.98%-644K
-31.74%-635K
98.08%-388K
---482K
Sale of subsidiaries
----
----
--8.93M
----
----
----
----
----
--19.88M
--19.88M
Acquisition of subsidiaries
-76.92%300M
----
--1.3B
----
----
----
----
----
----
----
Recovery of cash from investments
----
----
----
----
----
----
-88.02%135.42M
-81.03%190.61M
-87.90%1.13B
-81.63%1B
Cash on investment
----
-164.47%-13.5M
-7.57%-17.3M
-10.84%-5.1M
61.27%-16.08M
77.35%-4.6M
59.25%-41.53M
-58.58%-20.32M
98.72%-101.92M
99.81%-12.82M
Other items in the investment business
-20.52%-21.68M
----
---17.99M
----
----
----
----
----
----
----
Net cash from investment operations
18.59%-1.22B
111.44%145.8M
-3.07%-1.5B
-29.53%-1.28B
-853.15%-1.46B
-52.47%-984.32M
-47.20%-152.99M
-185.49%-645.59M
84.64%-103.93M
145.17%755.17M
Net cash before financing
267.12%770.1M
395.29%184.61M
-144.87%-460.8M
-127.15%-62.52M
-44.51%1.03B
-80.40%230.31M
26.34%1.85B
-7.46%1.18B
366.96%1.46B
791.22%1.27B
Cash flow from financing activities
New borrowing
-18.75%601.98M
27.19%415.77M
-59.99%740.9M
-80.51%326.88M
-19.38%1.85B
124.10%1.68B
-43.59%2.3B
-60.73%748.5M
69.56%4.07B
34.73%1.91B
Refund
-34.84%-935.54M
-35.80%-507.56M
61.55%-693.82M
76.88%-373.76M
-12.97%-1.8B
-524.49%-1.62B
57.36%-1.6B
86.25%-258.9M
-121.96%-3.75B
-39.01%-1.88B
Issuance of bonds
----
----
----
----
----
----
-83.33%600M
-80.00%600M
28.57%3.6B
66.67%3B
Interest paid - financing
22.69%-44.93M
25.46%-23.21M
16.41%-58.12M
12.66%-31.13M
12.96%-69.52M
-4.04%-35.64M
-10.82%-79.87M
23.49%-34.26M
20.23%-72.08M
13.53%-44.78M
Dividends paid - financing
-66.90%-525.34M
----
22.63%-314.76M
----
-26.39%-406.83M
----
-65.47%-321.88M
----
0.05%-194.53M
98.20%-3.4M
Absorb investment income
----
----
--8.5M
--8M
----
----
----
----
-58.00%63M
-58.67%62M
Issuance expenses and redemption of securities expenses
----
----
----
----
----
----
86.96%-600M
80.00%-600M
-9.52%-4.6B
-87.50%-3B
Other items of the financing business
----
----
----
----
----
----
---65.95M
---65.95M
----
----
Net cash from financing operations
-161.08%-930.67M
-43.68%-121.03M
25.43%-356.46M
-2,180.44%-84.24M
-358.26%-478.02M
-98.90%4.05M
120.31%185.09M
1,506.67%367.12M
-3.68%-911.4M
-84.96%22.85M
Effect of rate
-207.35%-14.67M
-412.30%-4.95M
558.60%13.67M
-92.29%1.59M
-69.32%2.08M
-8.70%20.55M
458.26%6.76M
2,956.35%22.51M
68.71%-1.89M
-148.64%-788K
Net Cash
80.35%-160.57M
143.32%63.58M
-248.90%-817.26M
-162.62%-146.76M
-73.04%548.87M
-84.80%234.36M
267.93%2.04B
19.30%1.54B
197.85%553.23M
4,170.24%1.29B
Begining period cash
-20.57%3.1B
-20.57%3.1B
16.42%3.91B
16.42%3.91B
155.44%3.36B
155.44%3.36B
72.30%1.31B
72.30%1.31B
-42.84%762.55M
-42.84%762.55M
Cash at the end
-5.65%2.93B
-15.94%3.16B
-20.57%3.1B
4.18%3.76B
16.42%3.91B
25.45%3.61B
155.44%3.36B
40.12%2.88B
72.30%1.31B
57.56%2.05B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
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
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
(FY)Dec 31, 2025(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
Cash flow from operating activities
Earning before tax 26.53%1.55B----44.64%1.22B-----28.69%846.24M----31.84%1.19B----34.00%900.12M----
Profit adjustment
Interest (income) - adjustment -22.10%-134.64M----0.43%-110.27M-----77.86%-110.74M-----28.73%-62.26M----60.50%-48.37M----
Dividend (income)- adjustment ---------------------------------27.12%-4.92M----
Attributable subsidiary (profit) loss 57.12%-95.81M-----79.07%-223.45M----15.73%-124.78M----25.07%-148.07M-----147.60%-197.61M----
Impairment and provisions: -84.12%36.07M-----55.17%227.14M----59.81%506.69M-----27.52%317.06M----588.52%437.46M----
-Impairment of property, plant and equipment (reversal) 2,424.45%23.96M------949K--------------------87.79%31.35M----
-Impairmen of inventory (reversal) -55.49%19.54M----506.76%43.89M-----103.75%-10.79M----446.04%287.62M----141.62%52.67M----
-Impairment of trade receivables (reversal) -293.26%-350K----98.20%-89K-----2,231.13%-4.94M-----118.20%-212K-----81.77%1.17M----
-Other impairments and provisions -103.88%-7.07M-----65.09%182.39M----1,662.04%522.43M-----91.58%29.65M----1,788.75%352.27M----
Revaluation surplus: -101.04%-491K----464.73%47.33M-----3,319.85%-12.98M----24.00%403K-----99.40%325K----
-Other fair value changes -101.04%-491K----464.73%47.33M-----3,319.85%-12.98M----24.00%403K-----99.40%325K----
Asset sale loss (gain): 103.20%1.99M----57.96%-62.26M-----5,193.02%-148.11M----105.24%2.91M-----569.87%-55.46M----
-Loss (gain) from sale of subsidiary company 95.28%-66K-------1.4M------------69.07%-8.02M-------25.93M----
-Loss (gain) on sale of property, machinery and equipment 103.38%2.06M----58.90%-60.86M-----1,455.16%-148.11M----137.01%10.93M-----350.18%-29.53M----
Depreciation and amortization: 6.12%501M----9.11%472.13M----41.71%432.72M----17.24%305.35M-----4.48%260.45M----
-Amortization of intangible assets 8.75%35.29M----7.19%32.45M----1.21%30.27M-----18.45%29.91M----0.75%36.68M----
-Other depreciation and amortization -19.03%21.6M----61.80%26.68M-----1.94%16.49M----28.01%16.82M-----11.08%13.14M----
Financial expense -21.43%45.08M-----17.61%57.38M----209.33%69.64M----32.44%22.51M-----54.10%17M----
Special items -----------------37.13%-4.09M----85.61%-2.98M-----134.32%-20.74M----
Operating profit before the change of operating capital 16.39%1.89B----12.12%1.62B-----10.36%1.45B----26.03%1.61B----44.15%1.28B----
Change of operating capital
Inventory (increase) decrease -249.61%-635.39M----819.69%424.71M----95.13%-59.01M-----363.54%-1.21B----1,918.02%459.94M----
Accounts receivable (increase)decrease -348.46%-819.58M----2.39%329.87M----266.00%322.18M-----7.16%-194.09M----40.46%-181.13M----
Accounts payable increase (decrease) 256.74%1.81B-----230.70%-1.16B-----52.26%884.22M----7,262.99%1.85B-----94.12%25.16M----
Special items for working capital changes -42.11%8.49M----134.14%14.66M-----67.15%6.26M-----14.23%19.06M-----25.91%22.23M----
Cash  from business operations 82.32%2.25B-88.10%154.83M-52.48%1.24B1.77%1.3B25.07%2.6B-30.96%1.28B29.39%2.08B251.36%1.85B57.99%1.61B-64.79%526.85M
Other taxs -33.95%-259.24M-31.46%-116.02M-67.79%-193.53M-39.10%-88.25M-52.28%-115.34M-107.67%-63.44M-97.68%-75.74M-149.64%-30.55M-43.43%-38.32M-55.08%-12.24M
Net cash from operations 91.30%1.99B-96.80%38.81M-58.06%1.04B-0.18%1.21B24.04%2.49B-33.28%1.21B27.72%2B253.78%1.82B58.38%1.57B-65.42%514.61M
Cash flow from investment activities
Interest received - investment -9.64%84.55M55.82%45.81M-14.05%93.57M5,553.27%29.4M60.97%108.86M-95.87%520K50.85%67.63M-38.24%12.59M-65.32%44.83M-69.12%20.39M
Dividend received - investment -31.04%174.25M2.81%82.25M58.65%252.66M33.33%80M308.75%159.26M161.30%60M516.78%38.96M--22.96M-10.57%6.32M----
Loan receivable (increase) decrease 79.33%-200M-9.73%300M-20.96%-967.67M141.54%332.33M-229.03%-800M---800M--620M------------
Decrease in deposits (increase) 36.42%-1.25B90.91%-150M-542.77%-1.97B---1.65B---305.85M--------------------
Sale of fixed assets -84.35%10.68M-94.41%2.46M137.35%68.26M339.48%44.02M-86.80%28.76M120.52%10.02M50.53%217.85M-96.51%4.54M288.94%144.72M3,107.03%130.05M
Purchase of fixed assets -12.57%-289.51M-14.73%-121.21M51.21%-257.18M57.78%-105.65M55.73%-527.14M70.74%-250.26M11.68%-1.19B-110.41%-855.34M-124.32%-1.35B-103.26%-406.5M
Selling intangible assets ----------------------------------577K----
Purchase of intangible assets -7,317.87%-31.97M----99.59%-431K-----16,368.63%-106.06M-----65.98%-644K-31.74%-635K98.08%-388K---482K
Sale of subsidiaries ----------8.93M----------------------19.88M--19.88M
Acquisition of subsidiaries -76.92%300M------1.3B----------------------------
Recovery of cash from investments -------------------------88.02%135.42M-81.03%190.61M-87.90%1.13B-81.63%1B
Cash on investment -----164.47%-13.5M-7.57%-17.3M-10.84%-5.1M61.27%-16.08M77.35%-4.6M59.25%-41.53M-58.58%-20.32M98.72%-101.92M99.81%-12.82M
Other items in the investment business -20.52%-21.68M-------17.99M----------------------------
Net cash from investment operations 18.59%-1.22B111.44%145.8M-3.07%-1.5B-29.53%-1.28B-853.15%-1.46B-52.47%-984.32M-47.20%-152.99M-185.49%-645.59M84.64%-103.93M145.17%755.17M
Net cash before financing 267.12%770.1M395.29%184.61M-144.87%-460.8M-127.15%-62.52M-44.51%1.03B-80.40%230.31M26.34%1.85B-7.46%1.18B366.96%1.46B791.22%1.27B
Cash flow from financing activities
New borrowing -18.75%601.98M27.19%415.77M-59.99%740.9M-80.51%326.88M-19.38%1.85B124.10%1.68B-43.59%2.3B-60.73%748.5M69.56%4.07B34.73%1.91B
Refund -34.84%-935.54M-35.80%-507.56M61.55%-693.82M76.88%-373.76M-12.97%-1.8B-524.49%-1.62B57.36%-1.6B86.25%-258.9M-121.96%-3.75B-39.01%-1.88B
Issuance of bonds -------------------------83.33%600M-80.00%600M28.57%3.6B66.67%3B
Interest paid - financing 22.69%-44.93M25.46%-23.21M16.41%-58.12M12.66%-31.13M12.96%-69.52M-4.04%-35.64M-10.82%-79.87M23.49%-34.26M20.23%-72.08M13.53%-44.78M
Dividends paid - financing -66.90%-525.34M----22.63%-314.76M-----26.39%-406.83M-----65.47%-321.88M----0.05%-194.53M98.20%-3.4M
Absorb investment income ----------8.5M--8M-----------------58.00%63M-58.67%62M
Issuance expenses and redemption of securities expenses ------------------------86.96%-600M80.00%-600M-9.52%-4.6B-87.50%-3B
Other items of the financing business ---------------------------65.95M---65.95M--------
Net cash from financing operations -161.08%-930.67M-43.68%-121.03M25.43%-356.46M-2,180.44%-84.24M-358.26%-478.02M-98.90%4.05M120.31%185.09M1,506.67%367.12M-3.68%-911.4M-84.96%22.85M
Effect of rate -207.35%-14.67M-412.30%-4.95M558.60%13.67M-92.29%1.59M-69.32%2.08M-8.70%20.55M458.26%6.76M2,956.35%22.51M68.71%-1.89M-148.64%-788K
Net Cash 80.35%-160.57M143.32%63.58M-248.90%-817.26M-162.62%-146.76M-73.04%548.87M-84.80%234.36M267.93%2.04B19.30%1.54B197.85%553.23M4,170.24%1.29B
Begining period cash -20.57%3.1B-20.57%3.1B16.42%3.91B16.42%3.91B155.44%3.36B155.44%3.36B72.30%1.31B72.30%1.31B-42.84%762.55M-42.84%762.55M
Cash at the end -5.65%2.93B-15.94%3.16B-20.57%3.1B4.18%3.76B16.42%3.91B25.45%3.61B155.44%3.36B40.12%2.88B72.30%1.31B57.56%2.05B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--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.

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