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01308 SITC

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  • 20.600
  • +0.980+4.99%
Market Closed Dec 24 12:08 CST
55.35BMarket Cap12.39P/E (TTM)

SITC Key Stats

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YOY yoy
Hide blank lines yoy
(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
Cash flow from operating activities
Earning before tax
----
-71.95%553.41M
----
66.55%1.97B
----
224.57%1.18B
----
58.34%365M
----
10.99%230.51M
Profit adjustment
Interest (income) - adjustment
----
-57.11%-30.65M
----
-240.39%-19.51M
----
38.11%-5.73M
----
30.68%-9.26M
----
-10.39%-13.36M
Investment loss (gain)
----
-195.39%-641K
----
8.82%-217K
----
-11.74%-238K
----
33.23%-213K
----
-38.10%-319K
Attributable subsidiary (profit) loss
----
10.68%-19.8M
----
-39.01%-22.17M
----
-59.33%-15.95M
----
-10.87%-10.01M
----
10.91%-9.03M
Impairment and provisions:
----
-80.63%55K
----
384.00%284K
----
-131.15%-100K
----
322.37%321K
----
101.35%76K
-Impairment of trade receivables (reversal)
----
-80.63%55K
----
384.00%284K
----
-131.15%-100K
----
322.37%321K
----
-66.07%76K
Revaluation surplus:
----
16.80%-7.67M
----
-445.59%-9.22M
----
232.75%2.67M
----
-158.67%-2.01M
----
385.57%3.42M
-Derivative financial instruments fair value (increase)
----
----
----
----
----
----
----
-292.41%-3.26M
----
-1,176.92%-830K
-Other fair value changes
----
16.80%-7.67M
----
-445.59%-9.22M
----
113.70%2.67M
----
-70.66%1.25M
----
475.13%4.25M
Asset sale loss (gain):
----
81.48%-22.05M
----
-3,690.89%-119.07M
----
-12,464.00%-3.14M
----
83.44%-25K
----
96.56%-151K
-Loss (gain) on sale of property, machinery and equipment
----
81.48%-22.05M
----
-3,690.89%-119.07M
----
-12,464.00%-3.14M
----
83.44%-25K
----
96.56%-151K
Depreciation and amortization:
----
9.01%158.76M
----
10.86%145.64M
----
13.35%131.37M
----
12.30%115.91M
----
71.07%103.21M
Financial expense
----
7.21%18.75M
----
11.68%17.49M
----
15.76%15.66M
----
-6.57%13.53M
----
54.59%14.48M
Special items
----
-10.43%27.98M
----
276.59%31.24M
----
35.25%8.3M
----
13.32%6.13M
----
66.61%5.41M
Operating profit before the change of operating capital
----
-66.05%678.16M
----
51.61%2B
----
174.84%1.32B
----
43.41%479.37M
----
35.35%334.26M
Change of operating capital
Inventory (increase) decrease
----
184.24%9.88M
----
44.39%-11.73M
----
-1,353.24%-21.09M
----
88.04%1.68M
----
117.27%895K
Accounts receivable (increase)decrease
----
44.96%25.66M
----
168.75%17.7M
----
16.46%-25.75M
----
-521.41%-30.82M
----
-69.86%-4.96M
Accounts payable increase (decrease)
----
-523.35%-45.18M
----
-86.90%10.67M
----
70.64%81.44M
----
594.72%47.73M
----
65.22%6.87M
prepayments (increase)decrease
----
-141.54%-3.02M
----
229.36%7.27M
----
-413.27%-5.62M
----
140.35%1.79M
----
-34.50%746K
Derivative financial instruments (increase) decrease
----
146.44%6.23M
----
-169.89%-13.42M
----
-161.63%-4.97M
----
900.74%8.07M
----
19.76%806K
Special items for working capital changes
----
-111.24%-1.2M
----
42.91%10.69M
----
345.92%7.48M
----
-249.25%-3.04M
----
-699.08%-871K
Cash  from business operations
8.83%396.93M
-66.78%670.53M
-68.30%364.73M
49.64%2.02B
99.51%1.15B
167.25%1.35B
184.20%576.6M
49.46%504.78M
30.67%202.89M
38.02%337.75M
Hong Kong profits tax paid
----
52.05%-211K
----
20.72%-440K
----
0.36%-555K
----
---557K
----
----
Other taxs
-5.48%-11.63M
6.43%-19.47M
15.16%-11.02M
-57.61%-20.81M
-69.42%-12.99M
-63.12%-13.2M
-50.64%-7.67M
3.36%-8.09M
-7.97%-5.09M
-5.00%-8.38M
Interest received - operating
-39.30%12.2M
140.62%30.81M
208.95%20.09M
76.08%12.81M
99.82%6.5M
-43.27%7.27M
-50.64%3.26M
27.83%12.82M
0.20%6.6M
-10.93%10.03M
Interest paid - operating
43.35%-3.18M
-22.67%-9.45M
-79.10%-5.61M
-5.39%-7.7M
16.69%-3.13M
3.36%-7.31M
-0.43%-3.76M
22.26%-7.56M
16.03%-3.75M
-3.83%-9.73M
Net cash from operations
7.10%394.32M
-66.43%672.21M
-67.72%368.18M
49.98%2B
100.69%1.14B
166.30%1.34B
183.30%568.43M
52.09%501.39M
31.42%200.64M
38.24%329.67M
Cash flow from investment activities
Dividend received - investment
41.72%7.27M
26.02%16.03M
-1.57%5.13M
245.01%12.72M
888.80%5.21M
-44.54%3.69M
-84.31%527K
-27.48%6.65M
-10.97%3.36M
48.53%9.16M
Decrease in deposits (increase)
-118.59%-36.96M
167.45%142.76M
129.19%198.87M
-191.09%-211.65M
-508.14%-681.33M
272.47%232.36M
-31.26%166.94M
38.53%-134.73M
181.69%242.85M
-302.27%-219.19M
Sale of fixed assets
-86.45%5.97M
-81.77%44.07M
-70.22%44.03M
1,052.37%241.74M
59,273.49%147.84M
83,812.00%20.98M
730.00%249K
-83.44%25K
-36.17%30K
-97.25%151K
Purchase of fixed assets
44.16%-96.85M
36.86%-260.65M
-33.33%-173.46M
-507.14%-412.83M
-280.35%-130.1M
55.13%-68M
-367.17%-34.21M
-1,445.85%-151.56M
-123.44%-7.32M
58.31%-9.8M
Acquisition of subsidiaries
----
---39.77M
----
----
----
102.94%1.8M
----
--885K
----
----
Recovery of cash from investments
-23.93%16.59M
-85.20%15.54M
24.47%21.8M
-31.71%104.99M
24.06%17.52M
72,075.12%153.73M
338.65%14.12M
-98.96%213K
660.99%3.22M
41.70%20.5M
Cash on investment
41.34%-34.14M
59.05%-67.01M
39.34%-58.2M
43.70%-163.64M
-62.94%-95.94M
-546.10%-290.65M
-28.78%-58.88M
57.68%-44.99M
0.29%-45.72M
0.28%-106.29M
Other items in the investment business
56.31%-218K
72.33%-145K
-436.56%-499K
-516.47%-524K
23.77%-93K
60.83%-85K
33.70%-122K
23.59%-217K
-101.50%-184K
45.70%-284K
Net cash from investment operations
-467.18%-138.35M
65.24%-149.19M
105.11%37.68M
-897.48%-429.2M
-931.48%-736.9M
116.63%53.82M
-54.84%88.63M
-5.88%-323.71M
159.48%196.23M
-8,334.45%-305.75M
Net cash before financing
-36.93%255.97M
-66.76%523.03M
0.50%405.86M
13.27%1.57B
-38.54%403.85M
681.79%1.39B
65.56%657.05M
642.53%177.67M
323.96%396.87M
-90.12%23.93M
Cash flow from financing activities
New borrowing
-31.50%40.63M
-13.53%95.17M
-23.01%59.31M
55.68%110.07M
13.97%77.04M
-82.73%70.7M
-84.67%67.6M
30.32%409.3M
111.03%441.05M
545.31%314.07M
Refund
70.37%-35.94M
-19.22%-198.31M
-72.86%-121.28M
0.79%-166.34M
42.84%-70.16M
36.99%-167.66M
59.27%-122.75M
23.59%-266.07M
-196.47%-301.36M
-125.93%-348.22M
Issuing shares
158.82%176K
3.03%68K
94.29%68K
-87.69%66K
-91.05%35K
-73.39%536K
-50.32%391K
-54.57%2.01M
-46.86%787K
20.43%4.43M
Dividends paid - financing
68.52%-172.97M
52.21%-753.64M
27.19%-549.48M
-184.81%-1.58B
-262.35%-754.63M
-102.50%-553.68M
-5.60%-208.26M
-80.54%-273.43M
-119.12%-197.22M
1.89%-151.45M
Absorb investment income
--28K
-70.00%84K
----
-49.91%280K
----
91.44%559K
----
-45.72%292K
--718K
175.90%538K
Issuance expenses and redemption of securities expenses
77.18%-2.7M
-7.90%-23.75M
-257.26%-11.81M
54.25%-22.01M
-447.35%-3.31M
-205.32%-48.11M
90.52%-604K
-178.36%-15.76M
-12.60%-6.37M
---5.66M
Other items of the financing business
-285.43%-582K
-42.61%-502K
-13.53%-151K
17.37%-352K
56.39%-133K
-37.42%-426K
-81.55%-305K
-229.79%-310K
---168K
---94K
Net cash from financing operations
69.66%-199.36M
45.02%-944.61M
16.00%-657.16M
-127.82%-1.72B
-168.06%-782.35M
-289.89%-754.21M
-238.48%-291.86M
13.79%-193.44M
-5,002.07%-86.23M
12.33%-224.4M
Effect of rate
-72.14%-2.36M
81.60%-869K
84.36%-1.37M
-178.91%-4.72M
-1,991.89%-8.77M
-525.38%-1.69M
-81.39%-419K
798.25%398K
-178.04%-231K
98.01%-57K
Net Cash
122.53%56.61M
-190.99%-421.58M
33.61%-251.3M
-122.82%-144.88M
-203.64%-378.49M
4,125.22%634.82M
17.56%365.19M
92.13%-15.77M
273.65%310.65M
-1,357.31%-200.47M
Begining period cash
-77.56%122.21M
-21.55%544.66M
-21.55%544.66M
1,035.55%694.26M
1,035.55%694.26M
-20.09%61.14M
-20.09%61.14M
-72.38%76.51M
-72.38%76.51M
-5.66%277.04M
Cash at the end
-39.57%176.46M
-77.56%122.21M
-4.89%292M
-21.55%544.66M
-27.92%307.01M
1,035.55%694.26M
10.08%425.91M
-20.09%61.14M
293.08%386.93M
-72.38%76.51M
Cash balance analysis
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
(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
Cash flow from operating activities
Earning before tax -----71.95%553.41M----66.55%1.97B----224.57%1.18B----58.34%365M----10.99%230.51M
Profit adjustment
Interest (income) - adjustment -----57.11%-30.65M-----240.39%-19.51M----38.11%-5.73M----30.68%-9.26M-----10.39%-13.36M
Investment loss (gain) -----195.39%-641K----8.82%-217K-----11.74%-238K----33.23%-213K-----38.10%-319K
Attributable subsidiary (profit) loss ----10.68%-19.8M-----39.01%-22.17M-----59.33%-15.95M-----10.87%-10.01M----10.91%-9.03M
Impairment and provisions: -----80.63%55K----384.00%284K-----131.15%-100K----322.37%321K----101.35%76K
-Impairment of trade receivables (reversal) -----80.63%55K----384.00%284K-----131.15%-100K----322.37%321K-----66.07%76K
Revaluation surplus: ----16.80%-7.67M-----445.59%-9.22M----232.75%2.67M-----158.67%-2.01M----385.57%3.42M
-Derivative financial instruments fair value (increase) -----------------------------292.41%-3.26M-----1,176.92%-830K
-Other fair value changes ----16.80%-7.67M-----445.59%-9.22M----113.70%2.67M-----70.66%1.25M----475.13%4.25M
Asset sale loss (gain): ----81.48%-22.05M-----3,690.89%-119.07M-----12,464.00%-3.14M----83.44%-25K----96.56%-151K
-Loss (gain) on sale of property, machinery and equipment ----81.48%-22.05M-----3,690.89%-119.07M-----12,464.00%-3.14M----83.44%-25K----96.56%-151K
Depreciation and amortization: ----9.01%158.76M----10.86%145.64M----13.35%131.37M----12.30%115.91M----71.07%103.21M
Financial expense ----7.21%18.75M----11.68%17.49M----15.76%15.66M-----6.57%13.53M----54.59%14.48M
Special items -----10.43%27.98M----276.59%31.24M----35.25%8.3M----13.32%6.13M----66.61%5.41M
Operating profit before the change of operating capital -----66.05%678.16M----51.61%2B----174.84%1.32B----43.41%479.37M----35.35%334.26M
Change of operating capital
Inventory (increase) decrease ----184.24%9.88M----44.39%-11.73M-----1,353.24%-21.09M----88.04%1.68M----117.27%895K
Accounts receivable (increase)decrease ----44.96%25.66M----168.75%17.7M----16.46%-25.75M-----521.41%-30.82M-----69.86%-4.96M
Accounts payable increase (decrease) -----523.35%-45.18M-----86.90%10.67M----70.64%81.44M----594.72%47.73M----65.22%6.87M
prepayments (increase)decrease -----141.54%-3.02M----229.36%7.27M-----413.27%-5.62M----140.35%1.79M-----34.50%746K
Derivative financial instruments (increase) decrease ----146.44%6.23M-----169.89%-13.42M-----161.63%-4.97M----900.74%8.07M----19.76%806K
Special items for working capital changes -----111.24%-1.2M----42.91%10.69M----345.92%7.48M-----249.25%-3.04M-----699.08%-871K
Cash  from business operations 8.83%396.93M-66.78%670.53M-68.30%364.73M49.64%2.02B99.51%1.15B167.25%1.35B184.20%576.6M49.46%504.78M30.67%202.89M38.02%337.75M
Hong Kong profits tax paid ----52.05%-211K----20.72%-440K----0.36%-555K-------557K--------
Other taxs -5.48%-11.63M6.43%-19.47M15.16%-11.02M-57.61%-20.81M-69.42%-12.99M-63.12%-13.2M-50.64%-7.67M3.36%-8.09M-7.97%-5.09M-5.00%-8.38M
Interest received - operating -39.30%12.2M140.62%30.81M208.95%20.09M76.08%12.81M99.82%6.5M-43.27%7.27M-50.64%3.26M27.83%12.82M0.20%6.6M-10.93%10.03M
Interest paid - operating 43.35%-3.18M-22.67%-9.45M-79.10%-5.61M-5.39%-7.7M16.69%-3.13M3.36%-7.31M-0.43%-3.76M22.26%-7.56M16.03%-3.75M-3.83%-9.73M
Net cash from operations 7.10%394.32M-66.43%672.21M-67.72%368.18M49.98%2B100.69%1.14B166.30%1.34B183.30%568.43M52.09%501.39M31.42%200.64M38.24%329.67M
Cash flow from investment activities
Dividend received - investment 41.72%7.27M26.02%16.03M-1.57%5.13M245.01%12.72M888.80%5.21M-44.54%3.69M-84.31%527K-27.48%6.65M-10.97%3.36M48.53%9.16M
Decrease in deposits (increase) -118.59%-36.96M167.45%142.76M129.19%198.87M-191.09%-211.65M-508.14%-681.33M272.47%232.36M-31.26%166.94M38.53%-134.73M181.69%242.85M-302.27%-219.19M
Sale of fixed assets -86.45%5.97M-81.77%44.07M-70.22%44.03M1,052.37%241.74M59,273.49%147.84M83,812.00%20.98M730.00%249K-83.44%25K-36.17%30K-97.25%151K
Purchase of fixed assets 44.16%-96.85M36.86%-260.65M-33.33%-173.46M-507.14%-412.83M-280.35%-130.1M55.13%-68M-367.17%-34.21M-1,445.85%-151.56M-123.44%-7.32M58.31%-9.8M
Acquisition of subsidiaries -------39.77M------------102.94%1.8M------885K--------
Recovery of cash from investments -23.93%16.59M-85.20%15.54M24.47%21.8M-31.71%104.99M24.06%17.52M72,075.12%153.73M338.65%14.12M-98.96%213K660.99%3.22M41.70%20.5M
Cash on investment 41.34%-34.14M59.05%-67.01M39.34%-58.2M43.70%-163.64M-62.94%-95.94M-546.10%-290.65M-28.78%-58.88M57.68%-44.99M0.29%-45.72M0.28%-106.29M
Other items in the investment business 56.31%-218K72.33%-145K-436.56%-499K-516.47%-524K23.77%-93K60.83%-85K33.70%-122K23.59%-217K-101.50%-184K45.70%-284K
Net cash from investment operations -467.18%-138.35M65.24%-149.19M105.11%37.68M-897.48%-429.2M-931.48%-736.9M116.63%53.82M-54.84%88.63M-5.88%-323.71M159.48%196.23M-8,334.45%-305.75M
Net cash before financing -36.93%255.97M-66.76%523.03M0.50%405.86M13.27%1.57B-38.54%403.85M681.79%1.39B65.56%657.05M642.53%177.67M323.96%396.87M-90.12%23.93M
Cash flow from financing activities
New borrowing -31.50%40.63M-13.53%95.17M-23.01%59.31M55.68%110.07M13.97%77.04M-82.73%70.7M-84.67%67.6M30.32%409.3M111.03%441.05M545.31%314.07M
Refund 70.37%-35.94M-19.22%-198.31M-72.86%-121.28M0.79%-166.34M42.84%-70.16M36.99%-167.66M59.27%-122.75M23.59%-266.07M-196.47%-301.36M-125.93%-348.22M
Issuing shares 158.82%176K3.03%68K94.29%68K-87.69%66K-91.05%35K-73.39%536K-50.32%391K-54.57%2.01M-46.86%787K20.43%4.43M
Dividends paid - financing 68.52%-172.97M52.21%-753.64M27.19%-549.48M-184.81%-1.58B-262.35%-754.63M-102.50%-553.68M-5.60%-208.26M-80.54%-273.43M-119.12%-197.22M1.89%-151.45M
Absorb investment income --28K-70.00%84K-----49.91%280K----91.44%559K-----45.72%292K--718K175.90%538K
Issuance expenses and redemption of securities expenses 77.18%-2.7M-7.90%-23.75M-257.26%-11.81M54.25%-22.01M-447.35%-3.31M-205.32%-48.11M90.52%-604K-178.36%-15.76M-12.60%-6.37M---5.66M
Other items of the financing business -285.43%-582K-42.61%-502K-13.53%-151K17.37%-352K56.39%-133K-37.42%-426K-81.55%-305K-229.79%-310K---168K---94K
Net cash from financing operations 69.66%-199.36M45.02%-944.61M16.00%-657.16M-127.82%-1.72B-168.06%-782.35M-289.89%-754.21M-238.48%-291.86M13.79%-193.44M-5,002.07%-86.23M12.33%-224.4M
Effect of rate -72.14%-2.36M81.60%-869K84.36%-1.37M-178.91%-4.72M-1,991.89%-8.77M-525.38%-1.69M-81.39%-419K798.25%398K-178.04%-231K98.01%-57K
Net Cash 122.53%56.61M-190.99%-421.58M33.61%-251.3M-122.82%-144.88M-203.64%-378.49M4,125.22%634.82M17.56%365.19M92.13%-15.77M273.65%310.65M-1,357.31%-200.47M
Begining period cash -77.56%122.21M-21.55%544.66M-21.55%544.66M1,035.55%694.26M1,035.55%694.26M-20.09%61.14M-20.09%61.14M-72.38%76.51M-72.38%76.51M-5.66%277.04M
Cash at the end -39.57%176.46M-77.56%122.21M-4.89%292M-21.55%544.66M-27.92%307.01M1,035.55%694.26M10.08%425.91M-20.09%61.14M293.08%386.93M-72.38%76.51M
Cash balance analysis
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young

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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Stocks of companies primarily involved in technology and internet sectors in the HK stock market.Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in HK Tech and Internet Stocks, ranked from highest to lowest based on real-time market data. Stocks of companies primarily involved in technology and internet sectors in the HK stock market.Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in HK Tech and Internet Stocks, ranked from highest to lowest based on real-time market data.