HK Stock MarketDetailed Quotes

00852 STRONG PETRO

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  • 0.201
  • 0.0000.00%
Market Closed Nov 14 16:08 CST
426.80MMarket Cap-4568P/E (TTM)

STRONG PETRO 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
9.17%34.05M
-73.30%9.39M
1,258.58%31.19M
--35.18M
-81.89%2.3M
----
-52.34%12.68M
3.59%24.4M
-40.27%26.59M
38.74%23.55M
Accounts receivable
-47.96%103.54M
-14.05%196.71M
-5.77%198.96M
-1.54%228.86M
-67.04%211.14M
-67.44%232.43M
-63.72%640.68M
-73.44%713.88M
69.56%1.77B
-2.79%2.69B
Advance deposits and other receivables
264.88%138.39M
-7.71%21.35M
111.10%37.93M
-51.89%23.13M
-88.43%17.97M
-55.31%48.08M
-48.59%155.22M
-63.94%107.57M
6.13%301.93M
20.97%298.33M
Withholding and tax receivable
----
----
--9K
--839K
----
----
----
----
----
----
Cash and equivalents
45.50%481.12M
58.56%456.59M
15.97%330.67M
82.08%287.96M
115.79%285.15M
9.70%158.15M
10.62%132.14M
-59.74%144.17M
-85.16%119.46M
75.26%358.08M
Short-term deposit
5.75%113.28M
-13.78%106.24M
-12.52%107.11M
-30.11%123.22M
15.84%122.43M
101.27%176.3M
6.72%105.69M
13.46%87.59M
65.01%99.04M
-31.36%77.2M
Secured deposit
----
-99.91%25K
----
--26.6M
--2.33M
----
----
----
-58.84%22.47M
-59.44%17.12M
Financial assets at fair value-current assets
-31.53%202K
-19.53%272K
-18.96%295K
-18.94%338K
-71.72%364K
-66.18%417K
-14.66%1.29M
49.45%1.23M
90.40%1.51M
-97.53%825K
Derivative financial instruments-current assets
54.87%18.16M
1,902.61%12.28M
-98.34%11.73M
-98.98%613K
453.23%705.39M
12.63%59.98M
166.11%127.51M
109.46%53.25M
-87.24%47.91M
1,215.94%25.42M
Special items of current assets
----
----
----
----
----
----
----
----
-89.66%10.98M
-89.99%8.18M
Total current assets
23.80%888.74M
10.47%802.84M
-46.71%717.89M
7.61%726.73M
14.62%1.35B
-40.34%675.36M
-50.95%1.18B
-67.62%1.13B
-13.59%2.4B
-0.25%3.5B
Non-current assets
Property, plant and equipment
155.09%595.79M
155.38%440.62M
38.33%233.57M
33.55%172.53M
65.02%168.84M
52.20%129.19M
-58.56%102.32M
-67.37%84.88M
-16.80%246.91M
244.81%260.1M
Investment property
-6.01%151.34M
-5.98%156.06M
-5.13%161.02M
-4.83%165.98M
-17.06%169.73M
-16.95%174.4M
--204.65M
--209.99M
----
----
Advance payment
----
----
----
----
----
----
-92.97%3.08M
--3.05M
--43.79M
----
Prepaid rent-non-current assets
65.50%331K
-61.54%205K
-36.71%200K
149.07%533K
--316K
-33.33%214K
----
58.13%321K
--317K
-98.80%203K
Associated company interest
5.51%78.27M
5.29%75.46M
9.06%74.19M
4.73%71.67M
16.06%68.03M
31.40%68.43M
29.22%58.61M
16.19%52.08M
-28.90%45.36M
-30.90%44.83M
Financial assets at fair value-non-current assets
-67.98%48.86M
-66.94%50.44M
-22.75%152.56M
-22.75%152.56M
1.27%197.49M
1.27%197.49M
--195M
--195M
----
----
Goodwill
----
----
----
----
----
----
----
----
--3.55M
--3.55M
Deferred tax assets
--40.36M
----
----
----
----
----
----
----
----
----
Other illiquid assets
-34.18%1.17M
-62.78%667K
-2.04%1.77M
-1.97%1.79M
-1.95%1.81M
-1.98%1.83M
-5.04%1.85M
76.11%1.87M
83.57%1.94M
0.00%1.06M
Special items of non-current assets
----
----
-55.63%80.4M
-61.36%119.93M
--181.19M
--310.35M
----
----
----
----
Total non-current assets
27.73%979.07M
4.43%785.18M
-10.60%766.51M
-21.12%751.85M
35.42%857.39M
54.76%953.12M
54.67%633.13M
63.46%615.87M
-1.41%409.34M
138.10%376.78M
Total assets
25.83%1.87B
7.40%1.59B
-32.66%1.48B
-9.20%1.48B
21.91%2.2B
-6.84%1.63B
-35.53%1.81B
-54.87%1.75B
-12.01%2.81B
5.73%3.87B
Liabilities
Current liabilities
Accounts payable
--14.11M
-92.42%2.95M
----
--38.86M
--16.41M
----
----
-97.63%28.95M
-18.83%814.95M
-29.57%1.22B
Tax payable
29.26%2.44M
-35.76%672K
15.53%1.89M
-42.27%1.05M
249.57%1.64M
--1.81M
-97.54%468K
----
94,850.00%18.99M
-22.70%269K
Other payables and accrued expenses
505.39%138.44M
212.49%110.75M
-34.33%22.87M
-66.69%35.44M
-63.32%34.82M
2.14%106.41M
-35.21%94.95M
22.57%104.18M
7.11%146.54M
243.87%85M
Bank loans and overdrafts
----
----
----
----
----
----
-34.57%141.61M
-83.91%140.2M
475.20%216.44M
5,773.28%871.42M
Other loans-current liabilities
--55.82M
----
----
----
----
----
----
----
----
----
Derivative financial instrument-current liabilities
114.16%23.11M
2,405.64%12.88M
-98.49%10.79M
-99.34%514K
459.08%715.96M
54.78%78.05M
173.52%128.06M
119.29%50.43M
-84.41%46.82M
--23M
Financial lease liabilities-current liabilities
7.29%2.55M
-49.19%1.44M
-7.56%2.37M
108.82%2.84M
73.56%2.57M
-34.77%1.36M
-38.86%1.48M
67.87%2.09M
22.23%2.42M
--1.24M
Total current liabilities
435.34%302.43M
61.55%130.49M
-92.72%56.49M
-57.35%80.78M
100.15%776.42M
-41.88%189.39M
-69.52%387.92M
-85.36%325.84M
-20.15%1.27B
-2.76%2.23B
Net current assets
-11.35%586.31M
4.09%672.35M
15.90%661.4M
32.92%645.96M
-27.52%570.65M
-39.73%485.97M
-29.90%787.29M
-36.53%806.25M
-4.72%1.12B
4.49%1.27B
Total assets less current liabilities
9.63%1.57B
4.27%1.46B
-0.01%1.43B
-2.87%1.4B
0.54%1.43B
1.19%1.44B
-7.31%1.42B
-13.66%1.42B
-3.86%1.53B
19.88%1.65B
Non-current liabilities
Long-term bank loan
417.11%275.83M
--159.89M
--53.34M
----
----
----
----
----
-19.75%120.42M
--135.08M
Long-term accounts payable
--3.04M
----
----
----
----
----
----
----
----
----
Financial lease liabilities-non-current liabilities
105.06%1.46M
-85.01%251K
-51.83%712K
650.67%1.67M
--1.48M
-55.04%223K
----
287.50%496K
--1.48M
--128K
Deferred tax liability
--623K
----
----
----
----
----
----
----
--3.77M
--3.9M
Total non-current liabilities
419.77%280.95M
9,466.49%160.14M
3,557.10%54.05M
650.67%1.67M
--1.48M
-55.04%223K
----
-99.64%496K
-16.25%125.68M
--139.1M
Total liabilities
427.73%583.38M
252.50%290.63M
-85.79%110.55M
-56.52%82.45M
100.53%777.9M
-41.90%189.62M
-72.26%387.92M
-86.20%326.34M
-19.82%1.4B
3.31%2.37B
Total assets less total liabilities
-6.51%1.28B
-7.07%1.3B
-3.69%1.37B
-2.97%1.4B
0.43%1.43B
1.21%1.44B
0.97%1.42B
-5.73%1.42B
-2.57%1.41B
9.75%1.51B
Total equity and non-current liabilities
9.63%1.57B
4.27%1.46B
-0.01%1.43B
-2.87%1.4B
--1.43B
1.19%1.44B
----
-13.66%1.42B
-3.86%1.53B
--1.65B
Equity
Share capital
0.00%53.08M
0.00%53.08M
0.00%53.08M
0.00%53.08M
0.00%53.08M
0.00%53.08M
0.00%53.08M
-0.02%53.08M
-0.05%53.08M
-0.03%53.09M
Reserve
-6.69%1.23B
-7.29%1.25B
-3.78%1.32B
-3.06%1.34B
0.49%1.37B
1.30%1.39B
2.45%1.37B
-4.90%1.37B
-2.47%1.33B
8.95%1.44B
Shareholders' Equity
-6.43%1.29B
-7.01%1.3B
-3.64%1.37B
-2.94%1.4B
0.47%1.43B
1.25%1.44B
2.35%1.42B
-4.73%1.42B
-2.38%1.39B
8.60%1.49B
Non-controlling interest
-137.34%-1.82M
-227.32%-1.2M
-1,529.79%-766K
---366K
-109.25%-47K
----
-97.40%508K
-96.92%503K
-14.15%19.53M
3,273.55%16.33M
Total equity
-6.51%1.28B
-7.07%1.3B
-3.69%1.37B
-2.97%1.4B
0.43%1.43B
1.21%1.44B
0.97%1.42B
-5.73%1.42B
-2.57%1.41B
9.75%1.51B
Total equity and total liabilities
25.83%1.87B
7.40%1.59B
-32.66%1.48B
-9.20%1.48B
21.91%2.2B
-6.84%1.63B
-35.53%1.81B
-54.87%1.75B
-12.01%2.81B
5.73%3.87B
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
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
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 9.17%34.05M-73.30%9.39M1,258.58%31.19M--35.18M-81.89%2.3M-----52.34%12.68M3.59%24.4M-40.27%26.59M38.74%23.55M
Accounts receivable -47.96%103.54M-14.05%196.71M-5.77%198.96M-1.54%228.86M-67.04%211.14M-67.44%232.43M-63.72%640.68M-73.44%713.88M69.56%1.77B-2.79%2.69B
Advance deposits and other receivables 264.88%138.39M-7.71%21.35M111.10%37.93M-51.89%23.13M-88.43%17.97M-55.31%48.08M-48.59%155.22M-63.94%107.57M6.13%301.93M20.97%298.33M
Withholding and tax receivable ----------9K--839K------------------------
Cash and equivalents 45.50%481.12M58.56%456.59M15.97%330.67M82.08%287.96M115.79%285.15M9.70%158.15M10.62%132.14M-59.74%144.17M-85.16%119.46M75.26%358.08M
Short-term deposit 5.75%113.28M-13.78%106.24M-12.52%107.11M-30.11%123.22M15.84%122.43M101.27%176.3M6.72%105.69M13.46%87.59M65.01%99.04M-31.36%77.2M
Secured deposit -----99.91%25K------26.6M--2.33M-------------58.84%22.47M-59.44%17.12M
Financial assets at fair value-current assets -31.53%202K-19.53%272K-18.96%295K-18.94%338K-71.72%364K-66.18%417K-14.66%1.29M49.45%1.23M90.40%1.51M-97.53%825K
Derivative financial instruments-current assets 54.87%18.16M1,902.61%12.28M-98.34%11.73M-98.98%613K453.23%705.39M12.63%59.98M166.11%127.51M109.46%53.25M-87.24%47.91M1,215.94%25.42M
Special items of current assets ---------------------------------89.66%10.98M-89.99%8.18M
Total current assets 23.80%888.74M10.47%802.84M-46.71%717.89M7.61%726.73M14.62%1.35B-40.34%675.36M-50.95%1.18B-67.62%1.13B-13.59%2.4B-0.25%3.5B
Non-current assets
Property, plant and equipment 155.09%595.79M155.38%440.62M38.33%233.57M33.55%172.53M65.02%168.84M52.20%129.19M-58.56%102.32M-67.37%84.88M-16.80%246.91M244.81%260.1M
Investment property -6.01%151.34M-5.98%156.06M-5.13%161.02M-4.83%165.98M-17.06%169.73M-16.95%174.4M--204.65M--209.99M--------
Advance payment -------------------------92.97%3.08M--3.05M--43.79M----
Prepaid rent-non-current assets 65.50%331K-61.54%205K-36.71%200K149.07%533K--316K-33.33%214K----58.13%321K--317K-98.80%203K
Associated company interest 5.51%78.27M5.29%75.46M9.06%74.19M4.73%71.67M16.06%68.03M31.40%68.43M29.22%58.61M16.19%52.08M-28.90%45.36M-30.90%44.83M
Financial assets at fair value-non-current assets -67.98%48.86M-66.94%50.44M-22.75%152.56M-22.75%152.56M1.27%197.49M1.27%197.49M--195M--195M--------
Goodwill ----------------------------------3.55M--3.55M
Deferred tax assets --40.36M------------------------------------
Other illiquid assets -34.18%1.17M-62.78%667K-2.04%1.77M-1.97%1.79M-1.95%1.81M-1.98%1.83M-5.04%1.85M76.11%1.87M83.57%1.94M0.00%1.06M
Special items of non-current assets ---------55.63%80.4M-61.36%119.93M--181.19M--310.35M----------------
Total non-current assets 27.73%979.07M4.43%785.18M-10.60%766.51M-21.12%751.85M35.42%857.39M54.76%953.12M54.67%633.13M63.46%615.87M-1.41%409.34M138.10%376.78M
Total assets 25.83%1.87B7.40%1.59B-32.66%1.48B-9.20%1.48B21.91%2.2B-6.84%1.63B-35.53%1.81B-54.87%1.75B-12.01%2.81B5.73%3.87B
Liabilities
Current liabilities
Accounts payable --14.11M-92.42%2.95M------38.86M--16.41M---------97.63%28.95M-18.83%814.95M-29.57%1.22B
Tax payable 29.26%2.44M-35.76%672K15.53%1.89M-42.27%1.05M249.57%1.64M--1.81M-97.54%468K----94,850.00%18.99M-22.70%269K
Other payables and accrued expenses 505.39%138.44M212.49%110.75M-34.33%22.87M-66.69%35.44M-63.32%34.82M2.14%106.41M-35.21%94.95M22.57%104.18M7.11%146.54M243.87%85M
Bank loans and overdrafts -------------------------34.57%141.61M-83.91%140.2M475.20%216.44M5,773.28%871.42M
Other loans-current liabilities --55.82M------------------------------------
Derivative financial instrument-current liabilities 114.16%23.11M2,405.64%12.88M-98.49%10.79M-99.34%514K459.08%715.96M54.78%78.05M173.52%128.06M119.29%50.43M-84.41%46.82M--23M
Financial lease liabilities-current liabilities 7.29%2.55M-49.19%1.44M-7.56%2.37M108.82%2.84M73.56%2.57M-34.77%1.36M-38.86%1.48M67.87%2.09M22.23%2.42M--1.24M
Total current liabilities 435.34%302.43M61.55%130.49M-92.72%56.49M-57.35%80.78M100.15%776.42M-41.88%189.39M-69.52%387.92M-85.36%325.84M-20.15%1.27B-2.76%2.23B
Net current assets -11.35%586.31M4.09%672.35M15.90%661.4M32.92%645.96M-27.52%570.65M-39.73%485.97M-29.90%787.29M-36.53%806.25M-4.72%1.12B4.49%1.27B
Total assets less current liabilities 9.63%1.57B4.27%1.46B-0.01%1.43B-2.87%1.4B0.54%1.43B1.19%1.44B-7.31%1.42B-13.66%1.42B-3.86%1.53B19.88%1.65B
Non-current liabilities
Long-term bank loan 417.11%275.83M--159.89M--53.34M---------------------19.75%120.42M--135.08M
Long-term accounts payable --3.04M------------------------------------
Financial lease liabilities-non-current liabilities 105.06%1.46M-85.01%251K-51.83%712K650.67%1.67M--1.48M-55.04%223K----287.50%496K--1.48M--128K
Deferred tax liability --623K------------------------------3.77M--3.9M
Total non-current liabilities 419.77%280.95M9,466.49%160.14M3,557.10%54.05M650.67%1.67M--1.48M-55.04%223K-----99.64%496K-16.25%125.68M--139.1M
Total liabilities 427.73%583.38M252.50%290.63M-85.79%110.55M-56.52%82.45M100.53%777.9M-41.90%189.62M-72.26%387.92M-86.20%326.34M-19.82%1.4B3.31%2.37B
Total assets less total liabilities -6.51%1.28B-7.07%1.3B-3.69%1.37B-2.97%1.4B0.43%1.43B1.21%1.44B0.97%1.42B-5.73%1.42B-2.57%1.41B9.75%1.51B
Total equity and non-current liabilities 9.63%1.57B4.27%1.46B-0.01%1.43B-2.87%1.4B--1.43B1.19%1.44B-----13.66%1.42B-3.86%1.53B--1.65B
Equity
Share capital 0.00%53.08M0.00%53.08M0.00%53.08M0.00%53.08M0.00%53.08M0.00%53.08M0.00%53.08M-0.02%53.08M-0.05%53.08M-0.03%53.09M
Reserve -6.69%1.23B-7.29%1.25B-3.78%1.32B-3.06%1.34B0.49%1.37B1.30%1.39B2.45%1.37B-4.90%1.37B-2.47%1.33B8.95%1.44B
Shareholders' Equity -6.43%1.29B-7.01%1.3B-3.64%1.37B-2.94%1.4B0.47%1.43B1.25%1.44B2.35%1.42B-4.73%1.42B-2.38%1.39B8.60%1.49B
Non-controlling interest -137.34%-1.82M-227.32%-1.2M-1,529.79%-766K---366K-109.25%-47K-----97.40%508K-96.92%503K-14.15%19.53M3,273.55%16.33M
Total equity -6.51%1.28B-7.07%1.3B-3.69%1.37B-2.97%1.4B0.43%1.43B1.21%1.44B0.97%1.42B-5.73%1.42B-2.57%1.41B9.75%1.51B
Total equity and total liabilities 25.83%1.87B7.40%1.59B-32.66%1.48B-9.20%1.48B21.91%2.2B-6.84%1.63B-35.53%1.81B-54.87%1.75B-12.01%2.81B5.73%3.87B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--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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