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LPI (8621)

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  • 15.300
  • -0.100-0.65%
15min DelayMarket Closed Jan 23 16:56 CST
6.10BMarket Cap16.49P/E (TTM)

8621 LPI

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities
-95.89%5.38M
215.80%115.53M
191.24%171.34M
129.77%66.56M
66.98%-23.27M
83.64%130.76M
5.49%-99.76M
149.53%58.83M
-124.28%-223.6M
-125.31%-70.47M
Net profit before non-cash adjustment
-8.79%137.18M
7.92%108.51M
-5.74%120.04M
20.05%474.13M
-7.14%95.83M
25.79%150.4M
24.47%100.55M
39.34%127.35M
15.58%394.93M
24.80%103.19M
Total adjustment of non-cash items
-0.02%-48.78M
-50.11%-32.58M
-5.32%-51.36M
0.39%-137.5M
43.40%-18.27M
-23.05%-48.77M
18.55%-21.7M
-23.50%-48.76M
-76.69%-138.04M
-19.12%-32.27M
-Depreciation and amortization
-0.54%2.77M
-2.48%2.79M
-0.68%2.78M
-10.12%11.24M
-9.10%2.81M
-5.63%2.78M
-4.35%2.86M
-19.78%2.79M
-9.51%12.51M
-10.95%3.09M
-Reversal of impairment losses recognized in profit and loss
0.00%3K
200.00%1K
--3K
0.00%-1K
---3K
--3K
---1K
--0
---1K
--0
-Assets reserve and write-off
----
----
----
--0
--0
--0
----
----
--3K
--2K
-Share of associates
32.23%-204K
95.22%-30K
-153.37%-451K
-15.72%-2.11M
-102.43%-998K
24.37%-301K
-85.80%-628K
69.83%-178K
-125.12%-1.82M
-373.89%-493K
-Disposal profit
-0.71%-51.7M
-48.96%-35.61M
-4.91%-53.96M
6.10%-88.48M
87.79%38.2M
-21.52%-51.34M
19.32%-23.9M
-20.47%-51.43M
-2.55%-94.23M
165.98%20.34M
-Net exchange gains and losses
39.79%-115K
86.27%-39K
101.91%4K
-4,525.93%-1.25M
-518.52%-565K
11.98%-191K
-828.21%-284K
-1,406.25%-209K
94.62%-27K
160.27%135K
-Other non-cash items
70.18%468K
21.57%310K
1.13%268K
-4.48%-56.91M
-4.26%-57.71M
-2.48%275K
-12.37%255K
-11.96%265K
-4,447.41%-54.47M
-17,953.87%-55.35M
Changes in working capital
-384.95%-83.02M
122.17%39.6M
619.66%102.66M
43.80%-270.06M
28.68%-100.83M
433.82%29.14M
-11.85%-178.61M
88.43%-19.76M
-173.09%-480.49M
-163.46%-141.39M
-Changes in reinsurance receivables
-388.73%-34.4M
46.15%-49.42M
275.48%33.14M
-101.77%-7.87M
-54.66%63.15M
-85.49%11.91M
-201.97%-91.76M
-93.43%8.83M
306.11%445.74M
218.96%139.27M
-Changes in accounts payable
8.56%13.49M
6.29%10.79M
0.62%10.78M
-198.06%-152K
-10.38%-33.44M
-17.32%12.43M
-34.01%10.15M
27,361.54%10.71M
-21.72%155K
-3.22%-30.3M
-Changes in insurance contract liabilities
56.61%-18.33M
177.25%138.76M
-213.48%-71.19M
118.79%71.54M
100.90%1M
55.29%-42.24M
193.49%50.05M
151.91%62.73M
-211.18%-380.8M
-168.19%-111.95M
-Changes in other current assets
-193.08%-43.79M
58.83%-60.54M
227.36%129.94M
38.86%-333.57M
4.96%-131.55M
512.85%47.04M
30.49%-147.05M
44.62%-102.02M
-202.75%-545.58M
-167.49%-138.42M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
9.71%35.94M
5.39%12.07M
11.10%35.45M
28.34%87.1M
13.23%10.98M
11.54%32.76M
25.39%11.46M
62.22%31.91M
3.47%67.87M
-43.70%9.7M
Interest paid (cash flow from operating activities)
-70.18%-468K
-21.57%-310K
-1.13%-268K
7.74%-1.06M
3.62%-266K
2.48%-275K
12.37%-255K
11.96%-265K
8.22%-1.15M
10.97%-276K
Interest received (cash flow from operating activities)
-4.53%13.2M
-11.43%12.77M
-8.98%13.66M
4.33%57.31M
-2.28%14.05M
-4.52%13.83M
6.89%14.42M
19.31%15.01M
61.75%54.93M
31.78%14.38M
Tax refund paid
-42.31%-23.63M
-42.83%-18.53M
-87.76%-21.1M
-13.80%-81.34M
-449.17%-40.53M
43.61%-16.6M
25.14%-12.98M
35.13%-11.24M
23.97%-71.48M
61.48%-7.38M
Other operating cash inflow (outflow)
9.14%215K
-11.60%221K
21.20%223K
-2.74%852K
-6.36%221K
-9.63%197K
31.58%250K
-20.69%184K
9.36%876K
10.80%236K
Operating cash flow
-80.93%30.65M
240.16%121.75M
111.07%199.3M
175.01%129.42M
27.87%-38.81M
87.80%160.68M
13.45%-86.87M
190.86%94.43M
-118.63%-172.55M
-118.73%-53.81M
Investing cash flow
Net PPE purchase and sale
-1,114.29%-510K
-20.68%-531K
95.81%-50K
-43.34%-1.69M
98.73%-15K
-44.83%-42K
-503.67%-440K
-1,372.84%-1.19M
75.55%-1.18M
-144.40%-1.18M
Net intangibles purchase and sale
---299K
-48.72%-116K
-307.32%-334K
26.99%-633K
-64.24%-473K
--0
-8.33%-78K
80.52%-82K
9.88%-867K
-284.00%-288K
Investing cash flow
-1,826.19%-809K
-24.90%-647K
69.88%-384K
-13.54%-2.32M
66.71%-488K
63.48%-42K
-1,500.00%-518K
-153.98%-1.28M
64.63%-2.05M
-163.20%-1.47M
Financing cash flow
Increase or decrease of lease financing
-49.51%-2.6M
0.76%-1.69M
-0.33%-1.81M
-0.69%-7.04M
1.05%-1.8M
1.42%-1.74M
-1.37%-1.7M
-3.98%-1.8M
-1.89%-6.99M
-5.57%-1.82M
Cash dividends paid
0.00%-119.52M
--0
-25.00%-199.19M
-14.75%-278.87M
--0
-15.39%-119.52M
--0
-14.29%-159.35M
12.86%-243.01M
--0
Financing cash flow
-0.71%-122.11M
0.76%-1.69M
-24.72%-201M
-14.36%-285.91M
1.05%-1.8M
-15.10%-121.25M
-1.37%-1.7M
-14.16%-161.16M
12.50%-250M
-5.57%-1.82M
Net cash flow
Beginning cash position
69.54%267.34M
-40.21%148.03M
-52.44%149.82M
-56.54%315.02M
-48.29%190.36M
-59.40%157.69M
-48.85%247.58M
-56.54%315.02M
724.70%724.91M
-17.04%368.14M
Current changes in cash
-334.31%-92.28M
234.05%119.42M
96.94%-2.08M
62.60%-158.81M
28.01%-41.1M
297.89%39.38M
12.67%-89.08M
72.31%-68.01M
-166.91%-424.6M
-120.03%-57.1M
Effect of exchange rate changes
95.55%-299K
86.30%-111K
-48.95%291K
-143.44%-6.39M
-85.75%566K
-1,723.91%-6.71M
-112.62%-810K
-87.83%570K
504.77%14.7M
202.64%3.97M
End cash Position
-8.19%174.76M
69.54%267.34M
-40.21%148.03M
-52.44%149.82M
-52.44%149.82M
-48.29%190.36M
-59.40%157.69M
-48.85%247.58M
-56.54%315.02M
-56.54%315.02M
Free cash flow
-81.43%29.84M
238.14%121.09M
113.55%198.92M
172.41%126.82M
29.42%-39.3M
88.01%160.63M
12.76%-87.66M
189.20%93.15M
-119.03%-175.16M
-119.42%-55.68M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023
Operating cash flow (Indirect Method)
Cash from operating activities -95.89%5.38M215.80%115.53M191.24%171.34M129.77%66.56M66.98%-23.27M83.64%130.76M5.49%-99.76M149.53%58.83M-124.28%-223.6M-125.31%-70.47M
Net profit before non-cash adjustment -8.79%137.18M7.92%108.51M-5.74%120.04M20.05%474.13M-7.14%95.83M25.79%150.4M24.47%100.55M39.34%127.35M15.58%394.93M24.80%103.19M
Total adjustment of non-cash items -0.02%-48.78M-50.11%-32.58M-5.32%-51.36M0.39%-137.5M43.40%-18.27M-23.05%-48.77M18.55%-21.7M-23.50%-48.76M-76.69%-138.04M-19.12%-32.27M
-Depreciation and amortization -0.54%2.77M-2.48%2.79M-0.68%2.78M-10.12%11.24M-9.10%2.81M-5.63%2.78M-4.35%2.86M-19.78%2.79M-9.51%12.51M-10.95%3.09M
-Reversal of impairment losses recognized in profit and loss 0.00%3K200.00%1K--3K0.00%-1K---3K--3K---1K--0---1K--0
-Assets reserve and write-off --------------0--0--0----------3K--2K
-Share of associates 32.23%-204K95.22%-30K-153.37%-451K-15.72%-2.11M-102.43%-998K24.37%-301K-85.80%-628K69.83%-178K-125.12%-1.82M-373.89%-493K
-Disposal profit -0.71%-51.7M-48.96%-35.61M-4.91%-53.96M6.10%-88.48M87.79%38.2M-21.52%-51.34M19.32%-23.9M-20.47%-51.43M-2.55%-94.23M165.98%20.34M
-Net exchange gains and losses 39.79%-115K86.27%-39K101.91%4K-4,525.93%-1.25M-518.52%-565K11.98%-191K-828.21%-284K-1,406.25%-209K94.62%-27K160.27%135K
-Other non-cash items 70.18%468K21.57%310K1.13%268K-4.48%-56.91M-4.26%-57.71M-2.48%275K-12.37%255K-11.96%265K-4,447.41%-54.47M-17,953.87%-55.35M
Changes in working capital -384.95%-83.02M122.17%39.6M619.66%102.66M43.80%-270.06M28.68%-100.83M433.82%29.14M-11.85%-178.61M88.43%-19.76M-173.09%-480.49M-163.46%-141.39M
-Changes in reinsurance receivables -388.73%-34.4M46.15%-49.42M275.48%33.14M-101.77%-7.87M-54.66%63.15M-85.49%11.91M-201.97%-91.76M-93.43%8.83M306.11%445.74M218.96%139.27M
-Changes in accounts payable 8.56%13.49M6.29%10.79M0.62%10.78M-198.06%-152K-10.38%-33.44M-17.32%12.43M-34.01%10.15M27,361.54%10.71M-21.72%155K-3.22%-30.3M
-Changes in insurance contract liabilities 56.61%-18.33M177.25%138.76M-213.48%-71.19M118.79%71.54M100.90%1M55.29%-42.24M193.49%50.05M151.91%62.73M-211.18%-380.8M-168.19%-111.95M
-Changes in other current assets -193.08%-43.79M58.83%-60.54M227.36%129.94M38.86%-333.57M4.96%-131.55M512.85%47.04M30.49%-147.05M44.62%-102.02M-202.75%-545.58M-167.49%-138.42M
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities) 9.71%35.94M5.39%12.07M11.10%35.45M28.34%87.1M13.23%10.98M11.54%32.76M25.39%11.46M62.22%31.91M3.47%67.87M-43.70%9.7M
Interest paid (cash flow from operating activities) -70.18%-468K-21.57%-310K-1.13%-268K7.74%-1.06M3.62%-266K2.48%-275K12.37%-255K11.96%-265K8.22%-1.15M10.97%-276K
Interest received (cash flow from operating activities) -4.53%13.2M-11.43%12.77M-8.98%13.66M4.33%57.31M-2.28%14.05M-4.52%13.83M6.89%14.42M19.31%15.01M61.75%54.93M31.78%14.38M
Tax refund paid -42.31%-23.63M-42.83%-18.53M-87.76%-21.1M-13.80%-81.34M-449.17%-40.53M43.61%-16.6M25.14%-12.98M35.13%-11.24M23.97%-71.48M61.48%-7.38M
Other operating cash inflow (outflow) 9.14%215K-11.60%221K21.20%223K-2.74%852K-6.36%221K-9.63%197K31.58%250K-20.69%184K9.36%876K10.80%236K
Operating cash flow -80.93%30.65M240.16%121.75M111.07%199.3M175.01%129.42M27.87%-38.81M87.80%160.68M13.45%-86.87M190.86%94.43M-118.63%-172.55M-118.73%-53.81M
Investing cash flow
Net PPE purchase and sale -1,114.29%-510K-20.68%-531K95.81%-50K-43.34%-1.69M98.73%-15K-44.83%-42K-503.67%-440K-1,372.84%-1.19M75.55%-1.18M-144.40%-1.18M
Net intangibles purchase and sale ---299K-48.72%-116K-307.32%-334K26.99%-633K-64.24%-473K--0-8.33%-78K80.52%-82K9.88%-867K-284.00%-288K
Investing cash flow -1,826.19%-809K-24.90%-647K69.88%-384K-13.54%-2.32M66.71%-488K63.48%-42K-1,500.00%-518K-153.98%-1.28M64.63%-2.05M-163.20%-1.47M
Financing cash flow
Increase or decrease of lease financing -49.51%-2.6M0.76%-1.69M-0.33%-1.81M-0.69%-7.04M1.05%-1.8M1.42%-1.74M-1.37%-1.7M-3.98%-1.8M-1.89%-6.99M-5.57%-1.82M
Cash dividends paid 0.00%-119.52M--0-25.00%-199.19M-14.75%-278.87M--0-15.39%-119.52M--0-14.29%-159.35M12.86%-243.01M--0
Financing cash flow -0.71%-122.11M0.76%-1.69M-24.72%-201M-14.36%-285.91M1.05%-1.8M-15.10%-121.25M-1.37%-1.7M-14.16%-161.16M12.50%-250M-5.57%-1.82M
Net cash flow
Beginning cash position 69.54%267.34M-40.21%148.03M-52.44%149.82M-56.54%315.02M-48.29%190.36M-59.40%157.69M-48.85%247.58M-56.54%315.02M724.70%724.91M-17.04%368.14M
Current changes in cash -334.31%-92.28M234.05%119.42M96.94%-2.08M62.60%-158.81M28.01%-41.1M297.89%39.38M12.67%-89.08M72.31%-68.01M-166.91%-424.6M-120.03%-57.1M
Effect of exchange rate changes 95.55%-299K86.30%-111K-48.95%291K-143.44%-6.39M-85.75%566K-1,723.91%-6.71M-112.62%-810K-87.83%570K504.77%14.7M202.64%3.97M
End cash Position -8.19%174.76M69.54%267.34M-40.21%148.03M-52.44%149.82M-52.44%149.82M-48.29%190.36M-59.40%157.69M-48.85%247.58M-56.54%315.02M-56.54%315.02M
Free cash flow -81.43%29.84M238.14%121.09M113.55%198.92M172.41%126.82M29.42%-39.3M88.01%160.63M12.76%-87.66M189.20%93.15M-119.03%-175.16M-119.42%-55.68M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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