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BRIGHT FUTURE (01351)

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  • 0.330
  • 0.0000.00%
Trading May 20 09:00 CST
198.00MMarket Cap-3.27P/E (TTM)

BRIGHT FUTURE (01351) Cash Flow

All
YOY yoy
Hide blank lines yoy
(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
-966.27%-55.76M
----
-124.26%-5.23M
----
237.52%21.55M
----
-225.12%-15.67M
----
-82.39%12.53M
----
Profit adjustment
Impairment and provisions:
1,143.77%24.44M
----
41.57%1.97M
----
530.91%1.39M
----
-74.83%220K
----
33.03%874K
----
-Other impairments and provisions
1,143.77%24.44M
----
41.57%1.97M
----
530.91%1.39M
----
-74.83%220K
----
33.03%874K
----
Asset sale loss (gain):
622.86%253K
----
--35K
----
----
----
-477.60%-722K
----
-1,983.33%-125K
----
-Available for sale investment sale loss (gain)
----
----
----
----
----
----
-477.60%-722K
----
-1,983.33%-125K
----
-Loss (gain) from sale of subsidiary company
--275K
----
----
----
----
----
----
----
----
----
-Loss (gain) on sale of property, machinery and equipment
-162.86%-22K
----
--35K
----
----
----
----
----
----
----
Depreciation and amortization:
-4.57%3.28M
----
-6.81%3.44M
----
-24.62%3.69M
----
6.21%4.89M
----
90.01%4.6M
----
-Amortization of intangible assets
-50.08%330K
----
0.15%661K
----
100.00%660K
----
617.39%330K
----
--46K
----
Financial expense
30.31%4.76M
----
46.96%3.65M
----
-0.96%2.48M
----
-52.47%2.51M
----
557.73%5.28M
----
Special items
8,111.19%11.74M
----
-63.98%143K
----
-89.32%397K
----
-90.50%3.72M
----
--39.13M
----
Operating profit before the change of operating capital
-382.32%-11.29M
----
-86.45%4M
----
683.24%29.51M
----
-108.12%-5.06M
----
-16.95%62.28M
----
Change of operating capital
Accounts receivable (increase)decrease
327.77%31.23M
----
86.59%-13.71M
----
-166.62%-102.26M
----
22,177.36%153.49M
----
100.61%689K
----
Accounts payable increase (decrease)
45.10%-16.83M
----
-150.84%-30.66M
----
160.62%60.3M
----
-621.60%-99.47M
----
-215.00%-13.79M
----
prepayments (increase)decrease
-392.17%-15.89M
----
111.78%5.44M
----
-226.36%-46.18M
----
45.52%36.54M
----
139.06%25.11M
----
Special items for working capital changes
-123.97%-3.46M
----
493.35%14.43M
----
40.79%-3.67M
----
39.34%-6.2M
----
-206.64%-10.21M
----
Cash  from business operations
20.83%-16.24M
-210.09%-49.76M
67.08%-20.51M
78.54%-16.05M
-178.55%-62.3M
-209.82%-74.78M
23.76%79.31M
195.20%68.09M
180.02%64.08M
-4,406.62%-71.52M
Other taxs
-1.01%-4.1M
18.17%-2.45M
-77.89%-4.06M
-56.26%-2.99M
74.92%-2.28M
75.18%-1.92M
-285.93%-9.11M
-518.17%-7.72M
-49.27%-2.36M
62.56%-1.25M
Interest received - operating
-62.50%15K
-82.76%5K
-78.14%40K
-81.76%29K
-70.39%183K
-67.15%159K
126.37%618K
443.82%484K
110.00%273K
242.31%89K
Net cash from operations
17.14%-20.33M
-174.59%-52.21M
61.91%-24.53M
75.16%-19.01M
-190.93%-64.4M
-225.77%-76.53M
14.23%70.82M
183.72%60.85M
176.03%62M
-1,384.17%-72.68M
Cash flow from investment activities
Loan receivable (increase) decrease
----
-50.00%1.5M
--3M
--3M
----
----
74.21%-2.69M
-25.00%-2.5M
---10.42M
---2M
Sale of fixed assets
-88.34%26K
107.69%27K
--223K
--13K
----
----
----
----
----
----
Purchase of fixed assets
90.88%-27K
-800.00%-27K
-24.37%-296K
94.00%-3K
-71.22%-238K
-92.31%-50K
93.98%-139K
98.66%-26K
-120.86%-2.31M
-986.03%-1.94M
Sale of subsidiaries
---133K
----
----
----
----
----
----
----
----
----
Recovery of cash from investments
----
----
----
----
----
----
172.42%184.22M
--149.22M
32,102.38%67.63M
----
Cash on investment
----
----
---4.87M
----
----
----
-174.46%-185.26M
---150.26M
---67.5M
----
Net cash from investment operations
93.10%-134K
-50.17%1.5M
-715.97%-1.94M
6,120.00%3.01M
93.84%-238K
98.60%-50K
69.34%-3.86M
9.63%-3.56M
-1,409.34%-12.6M
-2,103.35%-3.94M
Net cash before financing
22.71%-20.46M
-216.87%-50.71M
59.04%-26.47M
79.10%-16M
-196.54%-64.64M
-233.69%-76.58M
35.55%66.96M
174.76%57.29M
159.96%49.39M
-1,409.54%-76.62M
Cash flow from financing activities
New borrowing
-18.39%144.19M
-6.29%80.5M
10.43%176.69M
31.15%85.9M
85.52%160M
227.50%65.5M
-55.92%86.24M
-88.97%20M
137.15%195.65M
3,082.46%181.4M
Refund
47.27%-93.69M
76.97%-26.77M
-51.01%-177.69M
-131.09%-116.22M
-62.68%-117.67M
17.70%-50.29M
63.11%-72.33M
3.32%-61.1M
-543.33%-196.05M
-1,236.15%-63.2M
Issuing shares
----
----
--13.18M
--13.18M
----
----
----
----
----
----
Interest paid - financing
-26.57%-4.67M
-13.24%-2.08M
-38.37%-3.69M
-83.97%-1.84M
14.69%-2.67M
52.43%-998K
43.67%-3.13M
4.55%-2.1M
-524.07%-5.55M
-424.58%-2.2M
Dividends paid - financing
----
----
----
----
98.59%-1.52M
----
---107.66M
---57.09M
----
----
Issuance expenses and redemption of securities expenses
----
----
---8.81M
----
----
----
----
----
---20.63M
----
Other items of the financing business
----
----
----
----
----
132.98%1.17M
---5.95M
---3.53M
----
----
Net cash from financing operations
1,596.19%43.54M
349.33%50.35M
-108.11%-2.91M
-246.12%-20.19M
133.79%35.88M
113.08%13.82M
-252.88%-106.18M
-192.34%-105.65M
-119.19%-30.09M
65,851.15%114.41M
Effect of rate
1,905.71%702K
-97.82%5K
141.67%35K
-17.63%229K
97.31%-84K
-60.57%278K
-2,959.80%-3.12M
183.04%705K
89.97%-102K
-1,032.97%-849K
Net Cash
178.55%23.08M
99.01%-360K
-2.18%-29.38M
42.33%-36.2M
26.70%-28.76M
-29.77%-62.76M
-303.21%-39.23M
-228.00%-48.36M
-74.05%19.3M
819.68%37.78M
Begining period cash
-64.94%15.84M
-64.94%15.84M
-38.96%45.19M
-38.96%45.19M
-36.39%74.03M
-36.39%74.03M
19.76%116.38M
19.76%116.38M
308.22%97.18M
308.22%97.18M
Cash at the end
150.10%39.63M
67.92%15.49M
-64.94%15.84M
-20.10%9.22M
-38.96%45.19M
-83.20%11.55M
-36.39%74.03M
-48.76%68.72M
19.76%116.38M
619.25%134.11M
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
--
Auditor
--
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
PwC
--
PwC
--
(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 -966.27%-55.76M-----124.26%-5.23M----237.52%21.55M-----225.12%-15.67M-----82.39%12.53M----
Profit adjustment
Impairment and provisions: 1,143.77%24.44M----41.57%1.97M----530.91%1.39M-----74.83%220K----33.03%874K----
-Other impairments and provisions 1,143.77%24.44M----41.57%1.97M----530.91%1.39M-----74.83%220K----33.03%874K----
Asset sale loss (gain): 622.86%253K------35K-------------477.60%-722K-----1,983.33%-125K----
-Available for sale investment sale loss (gain) -------------------------477.60%-722K-----1,983.33%-125K----
-Loss (gain) from sale of subsidiary company --275K------------------------------------
-Loss (gain) on sale of property, machinery and equipment -162.86%-22K------35K----------------------------
Depreciation and amortization: -4.57%3.28M-----6.81%3.44M-----24.62%3.69M----6.21%4.89M----90.01%4.6M----
-Amortization of intangible assets -50.08%330K----0.15%661K----100.00%660K----617.39%330K------46K----
Financial expense 30.31%4.76M----46.96%3.65M-----0.96%2.48M-----52.47%2.51M----557.73%5.28M----
Special items 8,111.19%11.74M-----63.98%143K-----89.32%397K-----90.50%3.72M------39.13M----
Operating profit before the change of operating capital -382.32%-11.29M-----86.45%4M----683.24%29.51M-----108.12%-5.06M-----16.95%62.28M----
Change of operating capital
Accounts receivable (increase)decrease 327.77%31.23M----86.59%-13.71M-----166.62%-102.26M----22,177.36%153.49M----100.61%689K----
Accounts payable increase (decrease) 45.10%-16.83M-----150.84%-30.66M----160.62%60.3M-----621.60%-99.47M-----215.00%-13.79M----
prepayments (increase)decrease -392.17%-15.89M----111.78%5.44M-----226.36%-46.18M----45.52%36.54M----139.06%25.11M----
Special items for working capital changes -123.97%-3.46M----493.35%14.43M----40.79%-3.67M----39.34%-6.2M-----206.64%-10.21M----
Cash  from business operations 20.83%-16.24M-210.09%-49.76M67.08%-20.51M78.54%-16.05M-178.55%-62.3M-209.82%-74.78M23.76%79.31M195.20%68.09M180.02%64.08M-4,406.62%-71.52M
Other taxs -1.01%-4.1M18.17%-2.45M-77.89%-4.06M-56.26%-2.99M74.92%-2.28M75.18%-1.92M-285.93%-9.11M-518.17%-7.72M-49.27%-2.36M62.56%-1.25M
Interest received - operating -62.50%15K-82.76%5K-78.14%40K-81.76%29K-70.39%183K-67.15%159K126.37%618K443.82%484K110.00%273K242.31%89K
Net cash from operations 17.14%-20.33M-174.59%-52.21M61.91%-24.53M75.16%-19.01M-190.93%-64.4M-225.77%-76.53M14.23%70.82M183.72%60.85M176.03%62M-1,384.17%-72.68M
Cash flow from investment activities
Loan receivable (increase) decrease -----50.00%1.5M--3M--3M--------74.21%-2.69M-25.00%-2.5M---10.42M---2M
Sale of fixed assets -88.34%26K107.69%27K--223K--13K------------------------
Purchase of fixed assets 90.88%-27K-800.00%-27K-24.37%-296K94.00%-3K-71.22%-238K-92.31%-50K93.98%-139K98.66%-26K-120.86%-2.31M-986.03%-1.94M
Sale of subsidiaries ---133K------------------------------------
Recovery of cash from investments ------------------------172.42%184.22M--149.22M32,102.38%67.63M----
Cash on investment -----------4.87M-------------174.46%-185.26M---150.26M---67.5M----
Net cash from investment operations 93.10%-134K-50.17%1.5M-715.97%-1.94M6,120.00%3.01M93.84%-238K98.60%-50K69.34%-3.86M9.63%-3.56M-1,409.34%-12.6M-2,103.35%-3.94M
Net cash before financing 22.71%-20.46M-216.87%-50.71M59.04%-26.47M79.10%-16M-196.54%-64.64M-233.69%-76.58M35.55%66.96M174.76%57.29M159.96%49.39M-1,409.54%-76.62M
Cash flow from financing activities
New borrowing -18.39%144.19M-6.29%80.5M10.43%176.69M31.15%85.9M85.52%160M227.50%65.5M-55.92%86.24M-88.97%20M137.15%195.65M3,082.46%181.4M
Refund 47.27%-93.69M76.97%-26.77M-51.01%-177.69M-131.09%-116.22M-62.68%-117.67M17.70%-50.29M63.11%-72.33M3.32%-61.1M-543.33%-196.05M-1,236.15%-63.2M
Issuing shares ----------13.18M--13.18M------------------------
Interest paid - financing -26.57%-4.67M-13.24%-2.08M-38.37%-3.69M-83.97%-1.84M14.69%-2.67M52.43%-998K43.67%-3.13M4.55%-2.1M-524.07%-5.55M-424.58%-2.2M
Dividends paid - financing ----------------98.59%-1.52M-------107.66M---57.09M--------
Issuance expenses and redemption of securities expenses -----------8.81M-----------------------20.63M----
Other items of the financing business --------------------132.98%1.17M---5.95M---3.53M--------
Net cash from financing operations 1,596.19%43.54M349.33%50.35M-108.11%-2.91M-246.12%-20.19M133.79%35.88M113.08%13.82M-252.88%-106.18M-192.34%-105.65M-119.19%-30.09M65,851.15%114.41M
Effect of rate 1,905.71%702K-97.82%5K141.67%35K-17.63%229K97.31%-84K-60.57%278K-2,959.80%-3.12M183.04%705K89.97%-102K-1,032.97%-849K
Net Cash 178.55%23.08M99.01%-360K-2.18%-29.38M42.33%-36.2M26.70%-28.76M-29.77%-62.76M-303.21%-39.23M-228.00%-48.36M-74.05%19.3M819.68%37.78M
Begining period cash -64.94%15.84M-64.94%15.84M-38.96%45.19M-38.96%45.19M-36.39%74.03M-36.39%74.03M19.76%116.38M19.76%116.38M308.22%97.18M308.22%97.18M
Cash at the end 150.10%39.63M67.92%15.49M-64.94%15.84M-20.10%9.22M-38.96%45.19M-83.20%11.55M-36.39%74.03M-48.76%68.72M19.76%116.38M619.25%134.11M
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions ----Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor ----Zhonghui Anda Certified Public Accountants Co., Ltd.--Zhonghui Anda Certified Public Accountants Co., Ltd.--PwC--PwC--

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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