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BYTE META (08645)

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  • 0.450
  • -0.030-6.25%
Not Open Apr 22 14:57 CST
340.43MMarket Cap-28.13P/E (TTM)

BYTE META (08645) Cash Flow

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YOY yoy
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(Q6)Dec 31, 2025
(FY)Jun 30, 2025
(Q6)Dec 31, 2024
(FY)Jun 30, 2024
(Q6)Dec 31, 2023
(FY)Jun 30, 2023
(Q6)Dec 31, 2022
(FY)Jun 30, 2022
(Q6)Dec 31, 2021
(FY)Jun 30, 2021
Cash flow from operating activities
Earning before tax
----
57.49%-12.89M
----
-242.49%-30.31M
----
156.15%21.27M
----
-3,782.27%-37.89M
----
-305.04%-976K
Profit adjustment
Interest (income) - adjustment
----
11.50%-177K
----
13.04%-200K
----
-36.09%-230K
----
-64.08%-169K
----
66.34%-103K
Attributable subsidiary (profit) loss
----
-283.12%-4.13M
----
-1,537.33%-1.08M
----
--75K
----
----
----
----
Impairment and provisions:
----
-101.35%-24K
----
1,525.60%1.78M
----
18.83%-125K
----
-213.24%-154K
----
855.56%136K
-Impairment of trade receivables (reversal)
----
----
----
850.38%983K
----
14.94%-131K
----
-213.24%-154K
----
855.56%136K
-Other impairments and provisions
----
-103.00%-24K
----
13,216.67%799K
----
--6K
----
----
----
----
Asset sale loss (gain):
----
-501.80%-5.7M
----
-1,472.46%-947K
----
116.01%69K
----
-14,266.67%-431K
----
---3K
-Loss (gain) from sale of subsidiary company
----
---5.46M
----
----
----
----
----
----
----
----
-Loss (gain) on sale of property, machinery and equipment
----
74.87%-238K
----
-1,472.46%-947K
----
116.01%69K
----
-14,266.67%-431K
----
---3K
Depreciation and amortization:
----
5.07%21.64M
----
5.62%20.59M
----
-6.15%19.5M
----
139.29%20.78M
----
64.65%8.68M
-Other depreciation and amortization
----
26.66%1.68M
----
-5.95%1.33M
----
-18.38%1.41M
----
67.15%1.73M
----
13.74%1.04M
Financial expense
----
-13.48%353K
----
-13.01%408K
----
43.43%469K
----
155.47%327K
----
-64.25%128K
Exchange Loss (gain)
----
----
----
-90.82%409K
----
--4.46M
----
----
----
----
Special items
----
----
----
2,350.00%98K
----
-76.47%4K
----
-34.62%17K
----
-87.91%26K
Operating profit before the change of operating capital
----
90.00%-925K
----
-120.33%-9.25M
----
359.56%45.49M
----
-322.13%-17.53M
----
31.54%7.89M
Change of operating capital
Inventory (increase) decrease
----
138.11%1.33M
----
-193.35%-3.49M
----
49.68%-1.19M
----
-372.32%-2.36M
----
138.71%867K
Accounts receivable (increase)decrease
----
-789.83%-15.4M
----
153.64%2.23M
----
110.47%880K
----
-134.25%-8.41M
----
-331.19%-3.59M
Accounts payable increase (decrease)
----
-59.24%7.56M
----
136.02%18.56M
----
-186.80%-51.52M
----
3,982.19%59.36M
----
537.72%1.45M
Special items for working capital changes
----
-53.72%-950K
----
59.77%-618K
----
-68.42%-1.54M
----
27.68%-912K
----
-78.61%-1.26M
Cash  from business operations
-141.80%-2.02M
-212.71%-8.38M
183.50%4.83M
194.44%7.44M
26.38%-5.79M
-126.12%-7.87M
57.50%-7.86M
462.31%30.15M
-882.28%-18.5M
10.97%5.36M
Other taxs
378.37%579K
244.87%988K
33.97%-208K
77.56%-682K
38.24%-315K
-467.92%-3.04M
-132.71%-510K
156.38%826K
313.27%1.56M
-28.51%-1.47M
Net cash from operations
-131.16%-1.44M
-209.46%-7.39M
175.78%4.63M
161.89%6.75M
27.10%-6.1M
-135.23%-10.91M
50.58%-8.37M
694.89%30.98M
-1,136.84%-16.94M
5.55%3.9M
Cash flow from investment activities
Interest received - investment
-37.62%63K
-11.50%177K
-56.09%101K
-13.04%200K
27.07%230K
36.09%230K
248.08%181K
64.08%169K
-72.19%52K
-66.34%103K
Restricted cash (increase) decrease
----
----
----
---8.69M
----
----
----
----
----
----
Decrease in deposits (increase)
---56K
-78.57%-100K
----
64.78%-56K
-310.53%-80K
1.85%-159K
--38K
-1,250.00%-162K
----
98.72%-12K
Sale of fixed assets
217,250.00%4.35M
39.02%1.68M
-99.01%2K
217.63%1.21M
--202K
115.91%380K
----
1,073.33%176K
6,057.14%431K
--15K
Purchase of fixed assets
48.11%-1.92M
38.70%-6.95M
21.24%-3.71M
-19.35%-11.34M
-181.41%-4.71M
55.45%-9.5M
43.33%-1.67M
-651.34%-21.32M
-96.28%-2.95M
78.84%-2.84M
Purchase of intangible assets
----
----
----
----
----
----
----
----
---97K
----
Sale of subsidiaries
----
---154K
---154K
----
----
----
----
----
----
----
Cash on investment
----
----
----
----
----
---4M
---1M
----
----
----
Net cash from investment operations
164.64%2.43M
71.36%-5.35M
13.71%-3.76M
-43.14%-18.68M
-77.51%-4.36M
38.28%-13.05M
4.36%-2.45M
-673.79%-21.14M
4.22%-2.57M
80.48%-2.73M
Net cash before financing
14.20%989K
-6.87%-12.74M
108.28%866K
50.24%-11.92M
3.39%-10.46M
-343.58%-23.96M
44.50%-10.83M
744.38%9.84M
-1,766.79%-19.51M
111.31%1.17M
Cash flow from financing activities
Refund
-14.29%-32K
-8.33%-52K
-12.00%-28K
0.00%-48K
-13.64%-25K
-9.09%-48K
0.00%-22K
-100.00%-44K
-100.00%-22K
98.61%-22K
Issuing shares
----
-43.11%14.58M
----
--25.62M
----
----
----
----
----
----
Interest paid - financing
-3.43%-181K
13.48%-353K
23.91%-175K
13.01%-408K
17.86%-230K
-43.43%-469K
-185.71%-280K
-155.47%-327K
-38.03%-98K
64.25%-128K
Net cash from financing operations
41.90%-721K
-45.76%12.3M
25.33%-1.24M
1,061.21%22.68M
-38.85%-1.66M
-23.38%-2.36M
-517.01%-1.2M
-159.08%-1.91M
-27.63%-194K
-103.32%-738K
Effect of rate
-100.16%-2K
183.37%812K
506.28%1.26M
26.04%-974K
125.43%207K
-97.16%-1.32M
-584.03%-814K
---668K
---119K
----
Net Cash
171.47%268K
-104.12%-443K
96.91%-375K
140.85%10.75M
-0.82%-12.12M
-432.11%-26.32M
38.98%-12.02M
1,755.97%7.93M
-1,545.95%-19.7M
-96.43%427K
Begining period cash
1.39%26.99M
58.05%26.62M
58.05%26.62M
-62.13%16.84M
-62.13%16.84M
19.50%44.48M
19.49%44.48M
91.12%37.22M
91.12%37.23M
158.73%19.48M
Cash at the end
-0.89%27.26M
1.39%26.99M
457.85%27.5M
58.05%26.62M
-84.42%4.93M
-62.13%16.84M
81.81%31.64M
123.48%44.48M
-4.79%17.4M
2.19%19.9M
Cash balance analysis
Cash and cash equivalent balance
----
----
----
----
----
--16.84M
----
----
-4.79%17.4M
----
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
MYR
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
Furui Mazze Certified Public Accountants Co., Ltd.
--
Furui Mazze Certified Public Accountants Co., Ltd.
--
Furui Mazze Certified Public Accountants Co., Ltd.
--
Furui Mazze Certified Public Accountants Co., Ltd.
--
Furui Mazze Certified Public Accountants Co., Ltd.
(Q6)Dec 31, 2025(FY)Jun 30, 2025(Q6)Dec 31, 2024(FY)Jun 30, 2024(Q6)Dec 31, 2023(FY)Jun 30, 2023(Q6)Dec 31, 2022(FY)Jun 30, 2022(Q6)Dec 31, 2021(FY)Jun 30, 2021
Cash flow from operating activities
Earning before tax ----57.49%-12.89M-----242.49%-30.31M----156.15%21.27M-----3,782.27%-37.89M-----305.04%-976K
Profit adjustment
Interest (income) - adjustment ----11.50%-177K----13.04%-200K-----36.09%-230K-----64.08%-169K----66.34%-103K
Attributable subsidiary (profit) loss -----283.12%-4.13M-----1,537.33%-1.08M------75K----------------
Impairment and provisions: -----101.35%-24K----1,525.60%1.78M----18.83%-125K-----213.24%-154K----855.56%136K
-Impairment of trade receivables (reversal) ------------850.38%983K----14.94%-131K-----213.24%-154K----855.56%136K
-Other impairments and provisions -----103.00%-24K----13,216.67%799K------6K----------------
Asset sale loss (gain): -----501.80%-5.7M-----1,472.46%-947K----116.01%69K-----14,266.67%-431K-------3K
-Loss (gain) from sale of subsidiary company -------5.46M--------------------------------
-Loss (gain) on sale of property, machinery and equipment ----74.87%-238K-----1,472.46%-947K----116.01%69K-----14,266.67%-431K-------3K
Depreciation and amortization: ----5.07%21.64M----5.62%20.59M-----6.15%19.5M----139.29%20.78M----64.65%8.68M
-Other depreciation and amortization ----26.66%1.68M-----5.95%1.33M-----18.38%1.41M----67.15%1.73M----13.74%1.04M
Financial expense -----13.48%353K-----13.01%408K----43.43%469K----155.47%327K-----64.25%128K
Exchange Loss (gain) -------------90.82%409K------4.46M----------------
Special items ------------2,350.00%98K-----76.47%4K-----34.62%17K-----87.91%26K
Operating profit before the change of operating capital ----90.00%-925K-----120.33%-9.25M----359.56%45.49M-----322.13%-17.53M----31.54%7.89M
Change of operating capital
Inventory (increase) decrease ----138.11%1.33M-----193.35%-3.49M----49.68%-1.19M-----372.32%-2.36M----138.71%867K
Accounts receivable (increase)decrease -----789.83%-15.4M----153.64%2.23M----110.47%880K-----134.25%-8.41M-----331.19%-3.59M
Accounts payable increase (decrease) -----59.24%7.56M----136.02%18.56M-----186.80%-51.52M----3,982.19%59.36M----537.72%1.45M
Special items for working capital changes -----53.72%-950K----59.77%-618K-----68.42%-1.54M----27.68%-912K-----78.61%-1.26M
Cash  from business operations -141.80%-2.02M-212.71%-8.38M183.50%4.83M194.44%7.44M26.38%-5.79M-126.12%-7.87M57.50%-7.86M462.31%30.15M-882.28%-18.5M10.97%5.36M
Other taxs 378.37%579K244.87%988K33.97%-208K77.56%-682K38.24%-315K-467.92%-3.04M-132.71%-510K156.38%826K313.27%1.56M-28.51%-1.47M
Net cash from operations -131.16%-1.44M-209.46%-7.39M175.78%4.63M161.89%6.75M27.10%-6.1M-135.23%-10.91M50.58%-8.37M694.89%30.98M-1,136.84%-16.94M5.55%3.9M
Cash flow from investment activities
Interest received - investment -37.62%63K-11.50%177K-56.09%101K-13.04%200K27.07%230K36.09%230K248.08%181K64.08%169K-72.19%52K-66.34%103K
Restricted cash (increase) decrease ---------------8.69M------------------------
Decrease in deposits (increase) ---56K-78.57%-100K----64.78%-56K-310.53%-80K1.85%-159K--38K-1,250.00%-162K----98.72%-12K
Sale of fixed assets 217,250.00%4.35M39.02%1.68M-99.01%2K217.63%1.21M--202K115.91%380K----1,073.33%176K6,057.14%431K--15K
Purchase of fixed assets 48.11%-1.92M38.70%-6.95M21.24%-3.71M-19.35%-11.34M-181.41%-4.71M55.45%-9.5M43.33%-1.67M-651.34%-21.32M-96.28%-2.95M78.84%-2.84M
Purchase of intangible assets -----------------------------------97K----
Sale of subsidiaries -------154K---154K----------------------------
Cash on investment -----------------------4M---1M------------
Net cash from investment operations 164.64%2.43M71.36%-5.35M13.71%-3.76M-43.14%-18.68M-77.51%-4.36M38.28%-13.05M4.36%-2.45M-673.79%-21.14M4.22%-2.57M80.48%-2.73M
Net cash before financing 14.20%989K-6.87%-12.74M108.28%866K50.24%-11.92M3.39%-10.46M-343.58%-23.96M44.50%-10.83M744.38%9.84M-1,766.79%-19.51M111.31%1.17M
Cash flow from financing activities
Refund -14.29%-32K-8.33%-52K-12.00%-28K0.00%-48K-13.64%-25K-9.09%-48K0.00%-22K-100.00%-44K-100.00%-22K98.61%-22K
Issuing shares -----43.11%14.58M------25.62M------------------------
Interest paid - financing -3.43%-181K13.48%-353K23.91%-175K13.01%-408K17.86%-230K-43.43%-469K-185.71%-280K-155.47%-327K-38.03%-98K64.25%-128K
Net cash from financing operations 41.90%-721K-45.76%12.3M25.33%-1.24M1,061.21%22.68M-38.85%-1.66M-23.38%-2.36M-517.01%-1.2M-159.08%-1.91M-27.63%-194K-103.32%-738K
Effect of rate -100.16%-2K183.37%812K506.28%1.26M26.04%-974K125.43%207K-97.16%-1.32M-584.03%-814K---668K---119K----
Net Cash 171.47%268K-104.12%-443K96.91%-375K140.85%10.75M-0.82%-12.12M-432.11%-26.32M38.98%-12.02M1,755.97%7.93M-1,545.95%-19.7M-96.43%427K
Begining period cash 1.39%26.99M58.05%26.62M58.05%26.62M-62.13%16.84M-62.13%16.84M19.50%44.48M19.49%44.48M91.12%37.22M91.12%37.23M158.73%19.48M
Cash at the end -0.89%27.26M1.39%26.99M457.85%27.5M58.05%26.62M-84.42%4.93M-62.13%16.84M81.81%31.64M123.48%44.48M-4.79%17.4M2.19%19.9M
Cash balance analysis
Cash and cash equivalent balance ----------------------16.84M---------4.79%17.4M----
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDMYR
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Furui Mazze Certified Public Accountants Co., Ltd.--Furui Mazze Certified Public Accountants Co., Ltd.--Furui Mazze Certified Public Accountants Co., Ltd.--Furui Mazze Certified Public Accountants Co., Ltd.--Furui Mazze 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.

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