HK Stock MarketDetailed Quotes

08219 HANVEY GROUP

Watchlist
  • 0.290
  • 0.0000.00%
Market Closed Apr 26 16:08 CST
47.85MMarket Cap-2416P/E (TTM)

HANVEY GROUP Key Stats

All
YOY yoy
Hide blank lines yoy
(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
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
(Q6)Jun 30, 2019
Cash flow from operating activities
Earning before tax
-78.15%-18.74M
----
-262.44%-10.52M
----
88.92%-2.9M
----
-88.76%-26.19M
----
-208.22%-13.87M
----
Profit adjustment
Interest (income) - adjustment
-185.53%-1.32M
----
21.12%-463K
----
-281.17%-587K
----
83.92%-154K
----
-24.58%-958K
----
Impairment and provisions:
52.26%1.68M
--0
177.19%1.11M
--0
-84.33%399K
--0
451.08%2.55M
--0
--462K
--0
-Impairmen of inventory (reversal)
--1.96M
----
----
----
-25.66%620K
----
83.30%834K
----
--455K
----
-Impairment of trade receivables (reversal)
-124.50%-271K
----
600.45%1.11M
----
-112.91%-221K
----
24,357.14%1.71M
----
--7K
----
Revaluation surplus:
546.67%679K
--0
119.02%105K
--0
-112.88%-552K
--0
614.50%4.29M
--0
200.00%600K
--0
-Fair value of investment properties (increase)
156.57%198K
----
26.32%-350K
----
-113.76%-475K
----
475.33%3.45M
----
200.00%600K
----
-Other fair value changes
5.71%481K
----
690.91%455K
----
-109.22%-77K
----
--835K
----
----
----
Asset sale loss (gain):
-23.45%493K
--0
--644K
--0
--0
--0
-86.88%240K
--0
539.66%1.83M
--0
-Loss (gain) from selling other assets
-23.45%493K
----
--644K
----
----
----
-86.88%240K
----
661.04%1.83M
----
Depreciation and amortization:
-11.86%6.46M
--0
3.78%7.33M
--0
0.66%7.06M
--0
3.27%7.01M
--0
42.10%6.79M
--0
-Depreciation
-11.86%6.46M
----
3.78%7.33M
----
0.66%7.06M
----
3.27%7.01M
----
42.10%6.79M
----
Financial expense
35.09%9.12M
----
31.04%6.75M
----
3.10%5.15M
----
25.19%5M
----
--3.99M
----
Exchange Loss (gain)
147.78%851K
----
-693.67%-1.78M
----
36.36%300K
----
167.07%220K
----
60.62%-328K
----
Special items
--750K
----
----
----
----
----
----
----
----
----
Operating profit before the change of operating capital
-100.69%-22K
--0
-64.23%3.17M
--0
226.10%8.87M
--0
-374.06%-7.04M
--0
-157.19%-1.48M
--0
Change of operating capital
Inventory (increase) decrease
291.85%29.36M
----
-70.42%-15.31M
----
-402.59%-8.98M
----
141.77%2.97M
----
-140.64%-7.11M
----
Accounts receivable (increase)decrease
357.35%3.61M
----
79.09%-1.4M
----
-122.98%-6.71M
----
219.09%29.18M
----
-287.10%-24.5M
----
Accounts payable increase (decrease)
-223.67%-40.27M
----
584.05%32.56M
----
120.62%4.76M
----
-344.25%-23.08M
----
-15.33%9.45M
----
Cash  from business operations
-130.60%-5.72M
--0
1,040.38%18.68M
--0
-273.45%-1.99M
--0
104.65%1.15M
--0
-188.95%-24.63M
--0
Other taxs
-202.45%-1.23M
----
-170.22%-408K
----
133.26%581K
----
-182.23%-1.75M
----
67.32%-619K
----
Special items of business
556.98%1.6M
----
-601.43%-351K
----
107.90%70K
----
10.14%-886K
----
-126.04%-986K
----
Net cash from operations
-138.04%-6.95M
-1,112.43%-22.56M
1,400.21%18.27M
122.85%2.23M
-133.39%-1.41M
-153.29%-9.75M
97.62%-602K
247.83%18.3M
-197.89%-25.25M
-176.47%-12.38M
Cash flow from investment activities
Interest received - investment
185.53%1.32M
----
-21.12%463K
----
281.17%587K
----
-75.71%154K
----
51.67%634K
----
Decrease in deposits (increase)
-113.47%-729K
----
2,119.40%5.41M
----
99.33%-268K
----
-366.31%-39.9M
----
120.21%14.98M
----
Purchase of fixed assets
89.94%-252K
----
10.47%-2.51M
----
84.06%-2.8M
----
-241.66%-17.55M
----
-61.03%-5.14M
----
Recovery of cash from investments
-52.01%2.74M
----
262.54%5.71M
----
-24.13%1.58M
----
-73.70%2.08M
----
-13.27%7.89M
----
Cash on investment
72.91%-3.16M
----
-635.16%-11.65M
----
31.96%-1.58M
----
67.30%-2.33M
----
-78.15%-7.12M
----
Net cash from investment operations
97.12%-74K
102.34%66K
-3.09%-2.57M
-221.83%-2.82M
95.68%-2.49M
98.77%-875K
-611.33%-57.55M
-510.20%-71.13M
1,788.42%11.26M
2,495.17%17.34M
Net cash before financing
-144.72%-7.02M
-3,725.00%-22.49M
503.37%15.7M
94.47%-588K
93.31%-3.89M
79.89%-10.63M
-315.61%-58.15M
-1,164.75%-52.83M
-153.02%-13.99M
-67.91%4.96M
Cash flow from financing activities
New borrowing
-12.89%163.85M
----
1.09%188.1M
----
8.09%186.07M
----
8.06%172.14M
----
-15.71%159.3M
----
Refund
23.34%-147.67M
----
-6.34%-192.62M
----
-61.18%-181.14M
----
29.57%-112.39M
----
31.38%-159.56M
----
Issuing shares
----
----
--17.24M
----
----
----
----
----
----
----
Interest paid - financing
-36.75%-9.05M
----
-28.39%-6.62M
----
-3.10%-5.15M
----
-25.19%-5M
----
3.43%-3.99M
----
Other items of the financing business
44.19%-932K
----
10.79%-1.67M
----
26.10%-1.87M
----
7.99%-2.53M
----
-1,372.19%-2.75M
----
Net cash from financing operations
39.99%6.2M
162.76%23.55M
311.81%4.43M
178.21%8.96M
-104.01%-2.09M
-92.97%3.22M
844.67%52.22M
555.41%45.79M
-256.30%-7.01M
33.39%-10.06M
Effect of rate
55.18%-1.01M
62.21%-1.75M
-718.41%-2.25M
-434.68%-4.64M
-64.86%364K
23.07%1.39M
11.04%1.04M
59.63%1.13M
-10.29%933K
291.33%706K
Net Cash
-104.07%-820K
-87.40%1.06M
436.41%20.13M
213.06%8.37M
-0.96%-5.99M
-5.17%-7.41M
71.78%-5.93M
-38.27%-7.04M
-168.03%-21.01M
-1,483.97%-5.09M
Begining period cash
183.45%27.63M
23.69%12.06M
-36.57%9.75M
-36.57%9.75M
-24.14%15.37M
-24.14%15.37M
-49.77%20.26M
-49.77%20.26M
379.13%40.33M
379.13%40.33M
Cash at the end
-6.62%25.8M
-15.74%11.36M
183.45%27.63M
44.16%13.48M
-36.57%9.75M
-34.83%9.35M
-24.14%15.37M
-60.09%14.35M
-49.89%20.26M
327.06%35.95M
Cash balance analysis
Cash and bank balance
----
----
----
----
----
----
----
--14.36M
-45.12%22.19M
----
Cash and cash equivalent balance
--0
--0
--0
--0
--0
--0
--0
--14.36M
-45.12%22.19M
--0
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
Tianjian International Certified Public Accountants Co., Ltd.
--
Tianjian International Certified Public Accountants Co., Ltd.
--
Guowei Certified Public Accountants Co., Ltd.
--
Guowei Certified Public Accountants Co., Ltd.
--
Guowei Certified Public Accountants Co., Ltd.
--
(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(Q6)Jun 30, 2020(FY)Dec 31, 2019(Q6)Jun 30, 2019
Cash flow from operating activities
Earning before tax -78.15%-18.74M-----262.44%-10.52M----88.92%-2.9M-----88.76%-26.19M-----208.22%-13.87M----
Profit adjustment
Interest (income) - adjustment -185.53%-1.32M----21.12%-463K-----281.17%-587K----83.92%-154K-----24.58%-958K----
Impairment and provisions: 52.26%1.68M--0177.19%1.11M--0-84.33%399K--0451.08%2.55M--0--462K--0
-Impairmen of inventory (reversal) --1.96M-------------25.66%620K----83.30%834K------455K----
-Impairment of trade receivables (reversal) -124.50%-271K----600.45%1.11M-----112.91%-221K----24,357.14%1.71M------7K----
Revaluation surplus: 546.67%679K--0119.02%105K--0-112.88%-552K--0614.50%4.29M--0200.00%600K--0
-Fair value of investment properties (increase) 156.57%198K----26.32%-350K-----113.76%-475K----475.33%3.45M----200.00%600K----
-Other fair value changes 5.71%481K----690.91%455K-----109.22%-77K------835K------------
Asset sale loss (gain): -23.45%493K--0--644K--0--0--0-86.88%240K--0539.66%1.83M--0
-Loss (gain) from selling other assets -23.45%493K------644K-------------86.88%240K----661.04%1.83M----
Depreciation and amortization: -11.86%6.46M--03.78%7.33M--00.66%7.06M--03.27%7.01M--042.10%6.79M--0
-Depreciation -11.86%6.46M----3.78%7.33M----0.66%7.06M----3.27%7.01M----42.10%6.79M----
Financial expense 35.09%9.12M----31.04%6.75M----3.10%5.15M----25.19%5M------3.99M----
Exchange Loss (gain) 147.78%851K-----693.67%-1.78M----36.36%300K----167.07%220K----60.62%-328K----
Special items --750K------------------------------------
Operating profit before the change of operating capital -100.69%-22K--0-64.23%3.17M--0226.10%8.87M--0-374.06%-7.04M--0-157.19%-1.48M--0
Change of operating capital
Inventory (increase) decrease 291.85%29.36M-----70.42%-15.31M-----402.59%-8.98M----141.77%2.97M-----140.64%-7.11M----
Accounts receivable (increase)decrease 357.35%3.61M----79.09%-1.4M-----122.98%-6.71M----219.09%29.18M-----287.10%-24.5M----
Accounts payable increase (decrease) -223.67%-40.27M----584.05%32.56M----120.62%4.76M-----344.25%-23.08M-----15.33%9.45M----
Cash  from business operations -130.60%-5.72M--01,040.38%18.68M--0-273.45%-1.99M--0104.65%1.15M--0-188.95%-24.63M--0
Other taxs -202.45%-1.23M-----170.22%-408K----133.26%581K-----182.23%-1.75M----67.32%-619K----
Special items of business 556.98%1.6M-----601.43%-351K----107.90%70K----10.14%-886K-----126.04%-986K----
Net cash from operations -138.04%-6.95M-1,112.43%-22.56M1,400.21%18.27M122.85%2.23M-133.39%-1.41M-153.29%-9.75M97.62%-602K247.83%18.3M-197.89%-25.25M-176.47%-12.38M
Cash flow from investment activities
Interest received - investment 185.53%1.32M-----21.12%463K----281.17%587K-----75.71%154K----51.67%634K----
Decrease in deposits (increase) -113.47%-729K----2,119.40%5.41M----99.33%-268K-----366.31%-39.9M----120.21%14.98M----
Purchase of fixed assets 89.94%-252K----10.47%-2.51M----84.06%-2.8M-----241.66%-17.55M-----61.03%-5.14M----
Recovery of cash from investments -52.01%2.74M----262.54%5.71M-----24.13%1.58M-----73.70%2.08M-----13.27%7.89M----
Cash on investment 72.91%-3.16M-----635.16%-11.65M----31.96%-1.58M----67.30%-2.33M-----78.15%-7.12M----
Net cash from investment operations 97.12%-74K102.34%66K-3.09%-2.57M-221.83%-2.82M95.68%-2.49M98.77%-875K-611.33%-57.55M-510.20%-71.13M1,788.42%11.26M2,495.17%17.34M
Net cash before financing -144.72%-7.02M-3,725.00%-22.49M503.37%15.7M94.47%-588K93.31%-3.89M79.89%-10.63M-315.61%-58.15M-1,164.75%-52.83M-153.02%-13.99M-67.91%4.96M
Cash flow from financing activities
New borrowing -12.89%163.85M----1.09%188.1M----8.09%186.07M----8.06%172.14M-----15.71%159.3M----
Refund 23.34%-147.67M-----6.34%-192.62M-----61.18%-181.14M----29.57%-112.39M----31.38%-159.56M----
Issuing shares ----------17.24M----------------------------
Interest paid - financing -36.75%-9.05M-----28.39%-6.62M-----3.10%-5.15M-----25.19%-5M----3.43%-3.99M----
Other items of the financing business 44.19%-932K----10.79%-1.67M----26.10%-1.87M----7.99%-2.53M-----1,372.19%-2.75M----
Net cash from financing operations 39.99%6.2M162.76%23.55M311.81%4.43M178.21%8.96M-104.01%-2.09M-92.97%3.22M844.67%52.22M555.41%45.79M-256.30%-7.01M33.39%-10.06M
Effect of rate 55.18%-1.01M62.21%-1.75M-718.41%-2.25M-434.68%-4.64M-64.86%364K23.07%1.39M11.04%1.04M59.63%1.13M-10.29%933K291.33%706K
Net Cash -104.07%-820K-87.40%1.06M436.41%20.13M213.06%8.37M-0.96%-5.99M-5.17%-7.41M71.78%-5.93M-38.27%-7.04M-168.03%-21.01M-1,483.97%-5.09M
Begining period cash 183.45%27.63M23.69%12.06M-36.57%9.75M-36.57%9.75M-24.14%15.37M-24.14%15.37M-49.77%20.26M-49.77%20.26M379.13%40.33M379.13%40.33M
Cash at the end -6.62%25.8M-15.74%11.36M183.45%27.63M44.16%13.48M-36.57%9.75M-34.83%9.35M-24.14%15.37M-60.09%14.35M-49.89%20.26M327.06%35.95M
Cash balance analysis
Cash and bank balance ------------------------------14.36M-45.12%22.19M----
Cash and cash equivalent balance --0--0--0--0--0--0--0--14.36M-45.12%22.19M--0
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Tianjian International Certified Public Accountants Co., Ltd.--Tianjian International Certified Public Accountants Co., Ltd.--Guowei Certified Public Accountants Co., Ltd.--Guowei Certified Public Accountants Co., Ltd.--Guowei Certified Public Accountants Co., Ltd.--

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.

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
HK
Overall
Symbol
Latest Price
%Chg