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00028 TIAN AN

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  • 3.780
  • 0.0000.00%
Noon Break Nov 26 09:00 CST
5.54BMarket Cap7.71P/E (TTM)

TIAN AN Key Stats

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YOY yoy
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(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
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
Assets
Current assets
Inventory
40.09%8.53B
14.97%2.36B
311.08%6.09B
-73.61%2.05B
-82.48%1.48B
6.86%7.78B
85.54%8.46B
50.38%7.28B
-19.88%4.56B
-16.44%4.84B
Developing and for sale properties
----
9.69%4.61B
----
--4.2B
--6.42B
----
----
----
----
----
Accounts receivable
----
----
-27.36%355.37M
----
22.41%489.23M
----
-22.91%399.68M
----
44.01%518.48M
----
Related party payments receivable
8.22%1.23B
-3.89%1.18B
-14.72%1.13B
-48.48%1.23B
-44.75%1.33B
62.02%2.39B
95.59%2.4B
27.44%1.48B
-19.78%1.23B
-25.48%1.16B
Advance deposits and other receivables
--638.66M
8.08%517.95M
----
4.87%479.25M
----
5.82%457.01M
----
-22.45%431.88M
----
67.54%556.89M
Withholding and tax receivable
-1.16%319.16M
6,877.68%318.25M
367.24%322.89M
-91.53%4.56M
132.99%69.11M
1,337.15%53.85M
-42.37%29.66M
-57.95%3.75M
5,695.83%51.47M
219.28%8.91M
Cash and equivalents
3.41%7.01B
55.86%8.04B
113.03%6.78B
41.53%5.16B
-36.37%3.18B
-25.50%3.64B
209.08%5B
66.29%4.89B
-20.61%1.62B
28.29%2.94B
Fixed time deposit-current assets
----
----
----
----
----
--98.55M
----
----
----
----
Secured deposit
--5.5M
6,100.00%32.98M
----
-22.11%532K
-7.73%645K
-3.67%683K
-99.89%699K
-99.88%709K
-46.75%608.54M
9.34%604.3M
Financial assets at fair value-current assets
-25.66%156.74M
1.51%230.08M
11.27%210.83M
112.29%226.66M
-25.43%189.48M
-65.80%106.77M
28.00%254.1M
247.06%312.15M
-16.53%198.52M
-67.79%89.94M
Special items of current assets
-49.45%1.73B
-74.58%1.14B
734.61%3.41B
269.12%4.48B
-16.21%408.95M
0.89%1.21B
-85.94%488.07M
-64.82%1.2B
262.93%3.47B
149.94%3.42B
Total current assets
7.16%19.61B
3.32%18.43B
34.88%18.3B
13.28%17.84B
-20.32%13.57B
0.94%15.75B
39.01%17.03B
14.51%15.6B
2.48%12.25B
11.88%13.62B
Non-current assets
Property, plant and equipment
590.22%1.85B
527.19%1.84B
-12.62%268.27M
-8.04%293.33M
17.27%307M
22.91%318.98M
7.96%261.78M
26.80%259.53M
7.40%242.47M
-12.65%204.68M
Investment property
7.76%18.62B
10.32%19.59B
-3.41%17.28B
-5.23%17.76B
11.52%17.89B
21.75%18.73B
0.16%16.04B
-6.16%15.39B
-7.82%16.02B
-5.98%16.4B
Advance payment
--12.02M
--23.4M
----
----
----
----
----
----
580.07%1.31B
-2.01%189.37M
Associated company interest
-2.58%2.15B
-1.19%2.17B
-7.10%2.21B
-7.19%2.2B
-13.85%2.37B
-14.40%2.37B
-4.34%2.76B
-4.24%2.77B
-0.46%2.88B
-0.01%2.89B
Interests in Joint Venture
4.77%10.53B
1.84%10.14B
1.26%10.05B
14.93%9.96B
21.98%9.92B
14.97%8.67B
17.79%8.13B
15.48%7.54B
12.84%6.91B
23.05%6.53B
Financial assets at fair value-non-current assets
50.59%904.41M
12.65%683.42M
59.81%600.59M
19.99%606.69M
-11.82%375.81M
30.02%505.61M
26.59%426.17M
124.44%388.88M
79.83%336.65M
50.94%173.27M
Intangible assets
50.48%6.41M
50.48%6.41M
0.00%4.26M
0.00%4.26M
0.00%4.26M
0.00%4.26M
0.00%4.26M
0.00%4.26M
-59.42%4.26M
-59.42%4.26M
Deferred tax assets
11.65%179.99M
4.04%163.69M
30.77%161.21M
35.12%157.33M
-12.97%123.28M
-7.37%116.44M
20.06%141.65M
-59.63%125.7M
-0.88%117.98M
166.23%311.39M
Other illiquid assets
0.67%112.74M
659.07%112.98M
606.99%111.99M
-10.79%14.88M
-5.41%15.84M
0.46%16.69M
7.48%16.75M
2.72%16.61M
-7.17%15.58M
-6.14%16.17M
Special items of non-current assets
----
----
-81.21%78.21M
-52.97%229.54M
-44.46%416.14M
131.88%488.03M
181.94%749.31M
-33.99%210.46M
-6.14%265.77M
5.05%318.85M
Total non-current assets
11.24%34.65B
11.54%35.04B
-1.61%31.15B
-0.11%31.41B
9.80%31.66B
16.38%31.45B
1.13%28.84B
-1.48%27.02B
2.65%28.51B
2.19%27.43B
Total assets
9.73%54.27B
8.56%53.47B
9.34%49.45B
4.36%49.25B
-1.39%45.23B
10.73%47.19B
12.51%45.87B
3.83%42.62B
2.60%40.77B
5.22%41.05B
Liabilities
Current liabilities
Accounts payable
21.32%2.17B
8.72%2.5B
1.21%1.79B
9.77%2.3B
27.16%1.77B
50.51%2.09B
-45.45%1.39B
-37.97%1.39B
38.33%2.55B
20.62%2.24B
Tax payable
8.19%2.15B
2.29%2.15B
2.30%1.98B
6.61%2.1B
19.86%1.94B
23.73%1.97B
9.75%1.62B
7.90%1.59B
2.97%1.47B
3.27%1.48B
Bank loans and overdrafts
14.08%4.04B
84.25%3.82B
11.16%3.54B
-47.35%2.07B
-27.47%3.18B
10.66%3.93B
48.80%4.39B
25.65%3.55B
6.22%2.95B
24.11%2.83B
Financial lease liabilities-current liabilities
--3.69M
--3.39M
----
----
----
----
----
----
----
----
Special items of current liabilities
----
----
--4.58M
----
----
----
----
----
--1.19B
--1.08B
Total current liabilities
15.78%17.13B
12.28%15.65B
44.83%14.8B
27.08%13.94B
-4.53%10.22B
32.95%10.97B
15.16%10.7B
-5.29%8.25B
21.69%9.29B
15.19%8.71B
Net current assets
-29.26%2.48B
-28.70%2.78B
4.56%3.51B
-18.37%3.9B
-47.02%3.35B
-34.97%4.78B
113.92%6.33B
49.62%7.35B
-31.48%2.96B
6.46%4.91B
Total assets less current liabilities
7.15%37.13B
7.10%37.82B
-1.02%34.66B
-2.52%35.31B
-0.43%35.01B
5.39%36.23B
11.73%35.17B
6.28%34.37B
-1.94%31.47B
2.82%32.34B
Non-current liabilities
Long-term bank loan
7.93%4.88B
16.91%5.3B
8.17%4.52B
2.07%4.53B
-9.66%4.18B
-2.79%4.44B
21.05%4.62B
17.53%4.57B
2.58%3.82B
14.25%3.89B
Financial lease liabilities-non-current liabilities
--33.27M
--35.19M
----
----
----
----
----
----
----
----
Deferred tax liability
7.51%3.44B
7.64%3.51B
-5.17%3.2B
-8.15%3.26B
11.09%3.37B
26.69%3.55B
16.33%3.04B
-0.78%2.8B
-6.05%2.61B
2.51%2.82B
Deferred income-non-current liabilities
----
----
----
----
----
----
-63.05%4.33M
-47.06%8.46M
-42.61%11.73M
-35.56%15.98M
Special items of non-current liabilities
31.05%22.93M
37.13%25.94M
-25.67%17.49M
-33.13%18.91M
-7.80%23.54M
19.89%28.28M
15.79%25.53M
10.69%23.59M
-5.51%22.05M
-3.76%21.31M
Total non-current liabilities
8.24%8.37B
13.54%8.87B
2.12%7.74B
-2.58%7.81B
-1.51%7.58B
8.32%8.02B
18.98%7.69B
9.70%7.4B
-1.25%6.47B
8.78%6.75B
Total liabilities
13.19%25.51B
12.73%24.51B
26.64%22.53B
14.56%21.74B
-3.27%17.79B
21.30%18.98B
16.73%18.4B
1.25%15.65B
11.10%15.76B
12.30%15.45B
Total assets less total liabilities
6.83%28.76B
5.27%28.95B
-1.89%26.92B
-2.51%27.5B
-0.13%27.44B
4.59%28.21B
9.86%27.47B
5.38%26.97B
-2.12%25.01B
1.35%25.6B
Total equity and non-current liabilities
7.15%37.13B
7.10%37.82B
-1.02%34.66B
-2.52%35.31B
-0.43%35.01B
5.39%36.23B
11.73%35.17B
6.28%34.37B
-1.94%31.47B
2.82%32.34B
Equity
Share capital
0.00%3.79B
0.00%3.79B
0.00%3.79B
0.00%3.79B
0.00%3.79B
0.00%3.79B
0.00%3.79B
0.00%3.79B
0.00%3.79B
0.00%3.79B
Reserve
3.04%23.19B
1.48%23.44B
-2.47%22.5B
-2.99%23.09B
3.06%23.07B
8.85%23.81B
12.60%22.39B
6.88%21.87B
-2.59%19.88B
1.83%20.46B
Shareholders' Equity
2.60%26.97B
1.27%27.22B
-2.12%26.29B
-2.58%26.88B
2.61%26.86B
7.55%27.6B
10.59%26.18B
5.81%25.66B
-2.19%23.67B
1.54%24.25B
Non-controlling interest
183.20%1.78B
177.97%1.73B
9.16%630.29M
0.88%621.81M
-55.45%577.41M
-53.08%616.36M
-2.98%1.3B
-2.27%1.31B
-0.94%1.34B
-1.88%1.34B
Total equity
6.83%28.76B
5.27%28.95B
-1.89%26.92B
-2.51%27.5B
-0.13%27.44B
4.59%28.21B
9.86%27.47B
5.38%26.97B
-2.12%25.01B
1.35%25.6B
Total equity and total liabilities
9.73%54.27B
8.56%53.47B
9.34%49.45B
4.36%49.25B
-1.39%45.23B
10.73%47.19B
12.51%45.87B
3.83%42.62B
2.60%40.77B
5.22%41.05B
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
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
(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(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019
Assets
Current assets
Inventory 40.09%8.53B14.97%2.36B311.08%6.09B-73.61%2.05B-82.48%1.48B6.86%7.78B85.54%8.46B50.38%7.28B-19.88%4.56B-16.44%4.84B
Developing and for sale properties ----9.69%4.61B------4.2B--6.42B--------------------
Accounts receivable ---------27.36%355.37M----22.41%489.23M-----22.91%399.68M----44.01%518.48M----
Related party payments receivable 8.22%1.23B-3.89%1.18B-14.72%1.13B-48.48%1.23B-44.75%1.33B62.02%2.39B95.59%2.4B27.44%1.48B-19.78%1.23B-25.48%1.16B
Advance deposits and other receivables --638.66M8.08%517.95M----4.87%479.25M----5.82%457.01M-----22.45%431.88M----67.54%556.89M
Withholding and tax receivable -1.16%319.16M6,877.68%318.25M367.24%322.89M-91.53%4.56M132.99%69.11M1,337.15%53.85M-42.37%29.66M-57.95%3.75M5,695.83%51.47M219.28%8.91M
Cash and equivalents 3.41%7.01B55.86%8.04B113.03%6.78B41.53%5.16B-36.37%3.18B-25.50%3.64B209.08%5B66.29%4.89B-20.61%1.62B28.29%2.94B
Fixed time deposit-current assets ----------------------98.55M----------------
Secured deposit --5.5M6,100.00%32.98M-----22.11%532K-7.73%645K-3.67%683K-99.89%699K-99.88%709K-46.75%608.54M9.34%604.3M
Financial assets at fair value-current assets -25.66%156.74M1.51%230.08M11.27%210.83M112.29%226.66M-25.43%189.48M-65.80%106.77M28.00%254.1M247.06%312.15M-16.53%198.52M-67.79%89.94M
Special items of current assets -49.45%1.73B-74.58%1.14B734.61%3.41B269.12%4.48B-16.21%408.95M0.89%1.21B-85.94%488.07M-64.82%1.2B262.93%3.47B149.94%3.42B
Total current assets 7.16%19.61B3.32%18.43B34.88%18.3B13.28%17.84B-20.32%13.57B0.94%15.75B39.01%17.03B14.51%15.6B2.48%12.25B11.88%13.62B
Non-current assets
Property, plant and equipment 590.22%1.85B527.19%1.84B-12.62%268.27M-8.04%293.33M17.27%307M22.91%318.98M7.96%261.78M26.80%259.53M7.40%242.47M-12.65%204.68M
Investment property 7.76%18.62B10.32%19.59B-3.41%17.28B-5.23%17.76B11.52%17.89B21.75%18.73B0.16%16.04B-6.16%15.39B-7.82%16.02B-5.98%16.4B
Advance payment --12.02M--23.4M------------------------580.07%1.31B-2.01%189.37M
Associated company interest -2.58%2.15B-1.19%2.17B-7.10%2.21B-7.19%2.2B-13.85%2.37B-14.40%2.37B-4.34%2.76B-4.24%2.77B-0.46%2.88B-0.01%2.89B
Interests in Joint Venture 4.77%10.53B1.84%10.14B1.26%10.05B14.93%9.96B21.98%9.92B14.97%8.67B17.79%8.13B15.48%7.54B12.84%6.91B23.05%6.53B
Financial assets at fair value-non-current assets 50.59%904.41M12.65%683.42M59.81%600.59M19.99%606.69M-11.82%375.81M30.02%505.61M26.59%426.17M124.44%388.88M79.83%336.65M50.94%173.27M
Intangible assets 50.48%6.41M50.48%6.41M0.00%4.26M0.00%4.26M0.00%4.26M0.00%4.26M0.00%4.26M0.00%4.26M-59.42%4.26M-59.42%4.26M
Deferred tax assets 11.65%179.99M4.04%163.69M30.77%161.21M35.12%157.33M-12.97%123.28M-7.37%116.44M20.06%141.65M-59.63%125.7M-0.88%117.98M166.23%311.39M
Other illiquid assets 0.67%112.74M659.07%112.98M606.99%111.99M-10.79%14.88M-5.41%15.84M0.46%16.69M7.48%16.75M2.72%16.61M-7.17%15.58M-6.14%16.17M
Special items of non-current assets ---------81.21%78.21M-52.97%229.54M-44.46%416.14M131.88%488.03M181.94%749.31M-33.99%210.46M-6.14%265.77M5.05%318.85M
Total non-current assets 11.24%34.65B11.54%35.04B-1.61%31.15B-0.11%31.41B9.80%31.66B16.38%31.45B1.13%28.84B-1.48%27.02B2.65%28.51B2.19%27.43B
Total assets 9.73%54.27B8.56%53.47B9.34%49.45B4.36%49.25B-1.39%45.23B10.73%47.19B12.51%45.87B3.83%42.62B2.60%40.77B5.22%41.05B
Liabilities
Current liabilities
Accounts payable 21.32%2.17B8.72%2.5B1.21%1.79B9.77%2.3B27.16%1.77B50.51%2.09B-45.45%1.39B-37.97%1.39B38.33%2.55B20.62%2.24B
Tax payable 8.19%2.15B2.29%2.15B2.30%1.98B6.61%2.1B19.86%1.94B23.73%1.97B9.75%1.62B7.90%1.59B2.97%1.47B3.27%1.48B
Bank loans and overdrafts 14.08%4.04B84.25%3.82B11.16%3.54B-47.35%2.07B-27.47%3.18B10.66%3.93B48.80%4.39B25.65%3.55B6.22%2.95B24.11%2.83B
Financial lease liabilities-current liabilities --3.69M--3.39M--------------------------------
Special items of current liabilities ----------4.58M----------------------1.19B--1.08B
Total current liabilities 15.78%17.13B12.28%15.65B44.83%14.8B27.08%13.94B-4.53%10.22B32.95%10.97B15.16%10.7B-5.29%8.25B21.69%9.29B15.19%8.71B
Net current assets -29.26%2.48B-28.70%2.78B4.56%3.51B-18.37%3.9B-47.02%3.35B-34.97%4.78B113.92%6.33B49.62%7.35B-31.48%2.96B6.46%4.91B
Total assets less current liabilities 7.15%37.13B7.10%37.82B-1.02%34.66B-2.52%35.31B-0.43%35.01B5.39%36.23B11.73%35.17B6.28%34.37B-1.94%31.47B2.82%32.34B
Non-current liabilities
Long-term bank loan 7.93%4.88B16.91%5.3B8.17%4.52B2.07%4.53B-9.66%4.18B-2.79%4.44B21.05%4.62B17.53%4.57B2.58%3.82B14.25%3.89B
Financial lease liabilities-non-current liabilities --33.27M--35.19M--------------------------------
Deferred tax liability 7.51%3.44B7.64%3.51B-5.17%3.2B-8.15%3.26B11.09%3.37B26.69%3.55B16.33%3.04B-0.78%2.8B-6.05%2.61B2.51%2.82B
Deferred income-non-current liabilities -------------------------63.05%4.33M-47.06%8.46M-42.61%11.73M-35.56%15.98M
Special items of non-current liabilities 31.05%22.93M37.13%25.94M-25.67%17.49M-33.13%18.91M-7.80%23.54M19.89%28.28M15.79%25.53M10.69%23.59M-5.51%22.05M-3.76%21.31M
Total non-current liabilities 8.24%8.37B13.54%8.87B2.12%7.74B-2.58%7.81B-1.51%7.58B8.32%8.02B18.98%7.69B9.70%7.4B-1.25%6.47B8.78%6.75B
Total liabilities 13.19%25.51B12.73%24.51B26.64%22.53B14.56%21.74B-3.27%17.79B21.30%18.98B16.73%18.4B1.25%15.65B11.10%15.76B12.30%15.45B
Total assets less total liabilities 6.83%28.76B5.27%28.95B-1.89%26.92B-2.51%27.5B-0.13%27.44B4.59%28.21B9.86%27.47B5.38%26.97B-2.12%25.01B1.35%25.6B
Total equity and non-current liabilities 7.15%37.13B7.10%37.82B-1.02%34.66B-2.52%35.31B-0.43%35.01B5.39%36.23B11.73%35.17B6.28%34.37B-1.94%31.47B2.82%32.34B
Equity
Share capital 0.00%3.79B0.00%3.79B0.00%3.79B0.00%3.79B0.00%3.79B0.00%3.79B0.00%3.79B0.00%3.79B0.00%3.79B0.00%3.79B
Reserve 3.04%23.19B1.48%23.44B-2.47%22.5B-2.99%23.09B3.06%23.07B8.85%23.81B12.60%22.39B6.88%21.87B-2.59%19.88B1.83%20.46B
Shareholders' Equity 2.60%26.97B1.27%27.22B-2.12%26.29B-2.58%26.88B2.61%26.86B7.55%27.6B10.59%26.18B5.81%25.66B-2.19%23.67B1.54%24.25B
Non-controlling interest 183.20%1.78B177.97%1.73B9.16%630.29M0.88%621.81M-55.45%577.41M-53.08%616.36M-2.98%1.3B-2.27%1.31B-0.94%1.34B-1.88%1.34B
Total equity 6.83%28.76B5.27%28.95B-1.89%26.92B-2.51%27.5B-0.13%27.44B4.59%28.21B9.86%27.47B5.38%26.97B-2.12%25.01B1.35%25.6B
Total equity and total liabilities 9.73%54.27B8.56%53.47B9.34%49.45B4.36%49.25B-1.39%45.23B10.73%47.19B12.51%45.87B3.83%42.62B2.60%40.77B5.22%41.05B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants

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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