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成功领取价值超 5000港元/年的高级行情
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公司概况 更多
佳兆业集团控股有限公司,紧抓消费升级和经济结构转型发展契机,实施“地产+城市更新+产业”三驾马车的发展战略,目前逐渐打造成为涵盖综合开发、城市更新、健康医疗、旅游产业、文化体育、物业管理、航海运输、商业运营、酒店运营、科技产业、足球俱乐部、国际教育等20多个产业领域的大型企业航母。
董事长: 郭英成
所属市场: 香港主板
上市日期: 2009/12/09
富途热股榜
港股美股沪深
交易热度搜索热度资讯热度
名称代码最新价涨跌幅

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自选
01638 佳兆业集团
0.8400.0000.00%
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隐藏空行
(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30(FY)2019/12/31
Cash flow from operating activities
Earning before tax
-- -- 26.76% 52.78亿 -- -- 26.4% 41.64亿
Profit adjustment
Interest (income) - adjustment
-- -- 19.6% -4.67亿 -- -- -44.16% -5.8亿
Interest expense - adjustment
-- -- 186.01% 22.85亿 -- -- -23.86% 7.99亿
Dividend (income)- adjustment
-- -- 46.4% -1,659.7万 -- -- -47.84% -3,096.6万
Attributable subsidiary (profit) loss
-- -- -93.19% 716.1万 -- -- 154.96% 1.05亿
Impairment and provisions:
-- 0 126.86% 34.55亿 -- 0 8.16% 15.23亿
-Impairment of property, plant and equipment (reversal)
-- -- 601.29% 25.79亿 -- -- 67.02% 3.68亿
-Impairment of goodwill
-- -- -- -- -- -- -- 2.04亿
-Other impairments and provisions
-- -- -7.88% 8.76亿 -- -- -19.91% 9.51亿
Revaluation surplus:
-- 0 -6.17% -1.89亿 -- 0 15.99% -1.78亿
-Fair value of investment properties (increase)
-- -- -6.17% -1.89亿 -- -- 15.99% -1.78亿
Asset sale loss (gain):
-- 0 36.5% -15.84亿 -- 0 14.11% -24.94亿
-Loss (gain) from sale of subsidiary company
-- -- 41.22% -15.91亿 -- -- 7.09% -27.06亿
-Loss (gain) on sale of property, machinery and equipment
-- -- -62.37% 676.8万 -- -- 1129.46% 1,798.7万
-Loss (gain) from selling other assets
-- -- -- -- -- -- 2629.16% 1.94亿
Depreciation and amortization:
-- 0 -9.01% 6.67亿 -- 0 81.69% 7.34亿
-Depreciation
-- -- -10.85% 3.48亿 -- -- 95.69% 3.91亿
-Amortization of intangible assets
-- -- -6.92% 3.19亿 -- -- 67.99% 3.43亿
Exchange Loss (gain)
-- -- -694.67% -46.71亿 -- -- -48.47% 7.85亿
Special items
-- -- 37.5% 62.65亿 -- -- 1.98% 45.57亿
Operating profit before the change of operating capital
-- 0 17.57% 110.31亿 -- 0 11.48% 93.83亿
Change of operating capital
Inventory (increase) decrease
-- -- -403.51% -1.71亿 -- -- 66.64% -3,398.6万
Developing property (increase)decrease
-- -- -20.9% 35.68亿 -- -- 577.35% 45.1亿
Accounts receivable (increase)decrease
-- -- -21.68% -170.91亿 -- -- -316.61% -140.46亿
Accounts payable increase (decrease)
-- -- -54.25% 85.06亿 -- -- 481.78% 185.94亿
prepayments (increase)decrease
-- -- 83.21% -13.46亿 -- -- -304.66% -80.18亿
Cash  from business operations
76.71% 173.88亿 102.88% 189.94亿 864.93% 98.4亿 -62.02% 93.62亿
Other taxs
-8.31% -9.66亿 -66.1% -29.64亿 -3.96% -8.92亿 44.07% -17.84亿
Interest paid - operating
-6.03% -55.73亿 -19.28% -115亿 -33.08% -52.56亿 11.23% -96.41亿
Special items of business
-- -- 1512.8% 144.98亿 -- -- -105.76% -10.26亿
Net cash from operations
193.87% 108.49亿 319.54% 45.3亿 160.58% 36.92亿 -119.47% -20.63亿
Cash flow from investment activities
Interest received - investment
-- -- 10.13% 9.75亿 -- -- 341.07% 8.86亿
Dividend received - investment
-- -- 27.57% 2.71亿 -- -- 915.34% 2.13亿
Decrease in deposits (increase)
-84.46% 2亿 81.38% -6.49亿 199.39% 12.87亿 -701.22% -34.84亿
Sale of fixed assets
-- -- -25.56% 2,248.6万 -- -- 87.98% 3,020.5万
Purchase of fixed assets
-48.44% -4.15亿 -220.73% -12.05亿 -62.15% -2.8亿 -21.92% -3.76亿
Purchase of intangible assets
-22.07% -1.28亿 -10.4% -3.52亿 47.88% -1.05亿 -275.4% -3.19亿
Sale of subsidiaries
7.94% 3.03亿 167.2% 8.14亿 -- 2.81亿 -- 3.05亿
Acquisition of subsidiaries
486.83% 3.27亿 -30.92% -86.95亿 98.32% -8,447.6万 -87.86% -66.41亿
Recovery of cash from investments
-- -- 991.2% 4.3亿 -- -- -- 3,940万
Cash on investment
31.97% -4.44亿 -97.78% -54.14亿 -99.72% -6.53亿 50.65% -27.37亿
Other items in the investment business
-1.38% -83.83亿 3.77% -120.88亿 -154.61% -82.69亿 7.07% -125.61亿
Net cash from investment operations
-9.17% -85.39亿 -5.05% -258.9亿 23.78% -78.23亿 -11.15% -246.46亿
Net cash before financing
155.9% 23.09亿 20.03% -213.6亿 74.75% -41.31亿 -130.74% -267.1亿
Cash flow from financing activities
New borrowing
-31.47% 80.92亿 -27.35% 194.86亿 -33.03% 118.08亿 -12.88% 268.2亿
Refund
37.1% -90.58亿 13.76% -202.98亿 -8.41% -144.02亿 19% -235.37亿
Issuing shares
-- 21.86亿 -85.72% 9,253.2万 -- -- 9591.46% 6.48亿
Issuance of bonds
55.2% 163.38亿 5.61% 218.08亿 37.08% 105.27亿 266.29% 206.5亿
Dividends paid - financing
-- -- -11.63% -7.2亿 -- -- 14.43% -6.45亿
Absorb investment income
-93.4% 2.9亿 12.6% 166.74亿 -21.81% 43.93亿 367.57% 148.08亿
Issuance expenses and redemption of securities expenses
-- -- -84.04% -36.32亿 -- -- 2.07% -19.73亿
Other items of the financing business
-497.31% -178.52亿 -338.35% -29.93亿 -182.5% -29.89亿 -81.94% 12.56亿
Net cash from financing operations
-100.05% -498万 -20.01% 304.18亿 -57.45% 93.37亿 158.23% 380.26亿
Effect of rate
-160.74% -1,922.3万 578.5% 1.96亿 259.05% 3,164.7万 -91.28% 2,882.6万
Net Cash
-55.74% 23.04亿 -19.96% 90.58亿 -6.79% 52.06亿 259.23% 113.17亿
Begining period cash
34.5% 360.79亿 73.3% 268.25亿 73.3% 268.25亿 29.01% 154.79亿
Cash at the end
19.65% 383.64亿 34.5% 360.79亿 52.36% 320.62亿 73.3% 268.25亿
Cash balance analysis
Cash and cash equivalent balance
-- 0 -- 0 -- 0 -- 0
Currency Unit
人民币人民币人民币人民币
Accounting Standards
香港会计准则香港会计准则香港会计准则香港会计准则
Audit Opinions
--无保留意见--无保留意见
Auditor
--致同(香港)会计师事务所有限公司--致同(香港)会计师事务所有限公司

Q6、Q9、FY为累计季报:Q6 为中期报告;Q9 为第三季报;FY为年报。

环比数据来源于季报,环比 = (本期 - 上期)/上期 * 100%

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