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Company Overview More
Fufeng Group Co., Ltd. is a Hong Kong investment holding company mainly engaged in chemical products business. The company operates through two major divisions. Amino acid division is engaged in the manufacture and sales of amino acid products. Its products include monosodium glutamate, corn extraction products, starch sweeteners, threonine, fertilizers, corn oil, glutamic acid, compound condiments, medicines and concrete bricks. Xanthan gum division is engaged in the manufacturing and sales of xanthan gum.
CEO: Xuechun Li
Market: Hong Kong motherboard
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00546 FUFENG GROUP
3.860-0.020-0.52%
YOY
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(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30
Cash flow from operating activities
Earning before tax
96.72% 1.52B -- -- -44.93% 770.64M -- --
Profit adjustment
Interest (income) - adjustment
16.9% -36.27M -- -- 57.67% -43.65M -- --
Interest expense - adjustment
-16.18% 172.71M -- -- 2.44% 206.06M -- --
Investment loss (gain)
-40.6% 49.66M -- -- -- 83.61M -- --
Attributable subsidiary (profit) loss
9.06% 10.22M -- -- 186.78% 9.37M -- --
Impairment and provisions:
110.56% 103.8M -- 0 -57.87% 49.3M -- 0
-Impairmen of inventory (reversal)
-7.2% 33.27M -- -- -13.92% 35.85M -- --
-Other impairments and provisions
424.55% 70.53M -- -- -64.49% 13.45M -- --
Revaluation surplus:
-- 0 -- 0 -- 0 -- 0
Asset sale loss (gain):
-74.45% 1.59M -- 0 162.45% 6.22M -- 0
-Loss (gain) on sale of property, machinery and equipment
-74.45% 1.59M -- -- 162.45% 6.22M -- --
Depreciation and amortization:
-1.12% 1.15B -- 0 16.92% 1.16B -- 0
-Depreciation
-0.73% 1.24B -- -- 8.4% 1.25B -- --
-Amortization of intangible assets
14.31% 7.1M -- -- 16.52% 6.21M -- --
-Other depreciation and amortization
-5.48% -94.16M -- -- 44.27% -89.27M -- --
Exchange Loss (gain)
43.62% -82.28M -- -- -380.05% -145.94M -- --
Special items
-28.36% -2.4M -- -- -243.99% -1.87M -- --
Operating profit before the change of operating capital
37.48% 2.88B -- 0 -20.28% 2.1B -- 0
Change of operating capital
Inventory (increase) decrease
-344.9% -845.01M -- -- 52.76% -189.93M -- --
Accounts receivable (increase)decrease
148.62% 545.16M -- -- -73.01% -1.12B -- --
Accounts payable increase (decrease)
303.47% 318.82M -- -- 5.08% -156.69M -- --
Bank deposits (increase) decrese
-107.58% -3M -- -- -- 39.6M -- --
Cash  from business operations
460.5% 3.08B -16.14% 962.81M -61.83% 549.59M 45.51% 1.15B
Other taxs
-4.47% -155.66M 42.81% -57.9M 58.99% -149M 32.07% -101.25M
Interest paid - operating
3.03% -189.05M 12.62% -94.28M -5.82% -194.97M -1.93% -107.9M
Special items of business
251.13% 180.76M -- -- -599.64% -119.61M -- --
Net cash from operations
1230.49% 2.74B -13.67% 810.63M -76.95% 205.62M 75.8% 938.94M
Cash flow from investment activities
Interest received - investment
-23.59% 33.35M -64.46% 14.22M -57.67% 43.65M 19.27% 40.01M
Loan receivable (increase) decrease
-122.36% -5M -- -- -- 22.36M -- --
Decrease in deposits (increase)
71.95% -109.39M 2000% 399M -850% -390M 98.11% -21M
Sale of fixed assets
-71.38% 789K -23.96% 219K -27.69% 2.76M -90.27% 288K
Purchase of fixed assets
49.64% -497.9M 32.66% -371.85M 39.39% -988.61M 38.66% -552.2M
Purchase of intangible assets
71.32% -4.68M 65.9% -2.69M -7.36% -16.3M -6.68% -7.88M
Sale of subsidiaries
-- -- -- -- -98.24% 17.92M -98.26% 17.92M
Recovery of cash from investments
-100.64% -15.36M -99.62% 6.08M 3389.03% 2.41B -- 1.6B
Cash on investment
99.85% -3.49M -- -- -- -2.4B -- --
Other items in the investment business
-73.59% 52.14M 100.81% 18.99M -80.44% 197.44M -432.16% -2.35B
Net cash from investment operations
50.33% -549.54M 105.01% 63.97M -282.08% -1.11B -423.06% -1.28B
Net cash before financing
342.68% 2.19B 358.56% 874.59M -160.06% -900.86M -216.67% -338.26M
Cash flow from financing activities
New borrowing
32.52% 5.25B -44.85% 1.62B 31.12% 3.96B 41% 2.94B
Refund
15.4% -2.79B 21.84% -1.61B 9.22% -3.3B -0.85% -2.06B
Dividends paid - financing
7.71% -292.65M 53.65% -86.04M 56.86% -317.09M 63.86% -185.61M
Issuance expenses and redemption of securities expenses
-271.51% -1.64B -- -- -924.57% -441.06M -- --
Other items of the financing business
22.94% -702K 89.21% -45.84M 90.64% -911K -930.14% -424.69M
Net cash from financing operations
629.79% 525.07M -141.56% -115.25M 92.94% -99.11M 165.35% 277.32M
Net Cash
371.13% 2.71B 1346% 759.34M -1139.19% -999.97M 54.66% -60.94M
Begining period cash
-54.61% 831.2M -54.61% 831.2M 5.55% 1.83B 5.55% 1.83B
Cash at the end
326.18% 3.54B -10.15% 1.59B -54.61% 831.2M 10.6% 1.77B
Cash balance analysis
Cash and cash equivalent balance
-- 0 -- 0 -- 0 -- 0
Currency Unit
CNYCNYCNYCNY
Accounting Standards
HKASHKASHKASHKAS
Audit Opinions
Unqualified Opinion--Unqualified Opinion--
Auditor
PricewaterhouseCoopers--PricewaterhouseCoopers--

Q6, Q9, and FY are cumulative quarterly reports: Q6 is the interim report; Q9 is third quarter report; FY is the annual report.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

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