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MEILLEUREHEALTH (02327)

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  • 0.285
  • -0.005-1.72%
Market Closed Apr 30 13:00 CST
1.17BMarket Cap31.67P/E (TTM)

MEILLEUREHEALTH (02327) Cash Flow

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YOY yoy
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(FY)Dec 31, 2025
(Q6)Jun 30, 2025
(FY)Dec 31, 2024
(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
Cash flow from operating activities
Earning before tax
-32.74%30.54M
----
-14.31%45.4M
----
108.72%52.98M
----
-70.38%25.39M
----
-17.26%85.7M
----
Profit adjustment
Interest (income) - adjustment
-32.92%-29.3M
----
-17.11%-22.05M
----
30.04%-18.82M
----
-116.14%-26.91M
----
-51.14%-12.45M
----
Dividend (income)- adjustment
----
----
56.49%-456K
----
-249.33%-1.05M
----
72.38%-300K
----
-213.87%-1.09M
----
Investment loss (gain)
----
----
----
----
---3.42M
----
----
----
---12.99M
----
Attributable subsidiary (profit) loss
36.47%4.12M
----
-30.71%3.02M
----
-70.54%4.35M
----
33.48%14.77M
----
163.46%11.07M
----
Impairment and provisions:
-79.49%3.27M
----
-13.41%15.96M
----
1,007.19%18.43M
----
-128.85%-2.03M
----
1,194.85%7.04M
----
-Impairmen of inventory (reversal)
----
----
-95.56%26K
----
29,200.00%586K
----
--2K
----
----
----
-Impairment of trade receivables (reversal)
473.53%1.17M
----
-91.83%204K
----
945.19%2.5M
----
-73.99%239K
----
431.21%919K
----
-Other impairments and provisions
-86.63%2.1M
----
2.49%15.73M
----
775.32%15.35M
----
-137.11%-2.27M
----
1,550.94%6.13M
----
Revaluation surplus:
79.05%-9.07M
----
-63.46%-43.27M
----
-278.26%-26.47M
----
146.02%14.85M
----
-1,429.46%-32.27M
----
-Fair value of investment properties (increase)
8.76%-21.73M
----
-18.56%-23.81M
----
-47.90%-20.09M
----
10.59%-13.58M
----
-190.05%-15.19M
----
-Derivative financial instruments fair value (increase)
-112.94%-92K
----
296.41%711K
----
-51.46%-362K
----
-29.89%-239K
----
-167.90%-184K
----
-Other fair value changes
163.22%12.75M
----
-234.83%-20.17M
----
-121.01%-6.02M
----
269.73%28.67M
----
-14.81%-16.89M
----
Asset sale loss (gain):
-14,915.79%-8.56M
----
88.15%-57K
----
94.90%-481K
----
-409.83%-9.44M
----
95.96%-1.85M
----
-Loss (gain) from sale of subsidiary company
----
----
----
----
----
----
-1,710.20%-6.21M
----
99.25%-343K
----
-Loss (gain) on sale of property, machinery and equipment
98.25%-1K
----
---57K
----
----
----
---2K
----
----
----
-Loss (gain) from selling other assets
---8.56M
----
----
----
85.09%-481K
----
-113.93%-3.23M
----
---1.51M
----
Depreciation and amortization:
-32.74%1.1M
----
-38.20%1.63M
----
-31.49%2.64M
----
7.72%3.85M
----
-54.79%3.58M
----
-Amortization of intangible assets
----
----
----
----
-25.86%43K
----
93.33%58K
----
-88.28%30K
----
Financial expense
-9.75%9.29M
----
-9.77%10.29M
----
-0.34%11.41M
----
36.52%11.45M
----
-38.72%8.39M
----
Exchange Loss (gain)
-254.38%-12.02M
----
-288.66%-3.39M
----
-119.97%-873K
----
16.53%4.37M
----
288.30%3.75M
----
Special items
---30K
----
----
----
18,742.86%1.31M
----
-101.48%-7K
----
-88.10%472K
----
Operating profit before the change of operating capital
-250.67%-10.67M
----
-82.30%7.08M
----
11.14%40.01M
----
-39.35%36M
----
-25.77%59.36M
----
Change of operating capital
Inventory (increase) decrease
-41.19%774K
----
-10.78%1.32M
----
-65.35%1.48M
----
-16.95%4.26M
----
169.04%5.13M
----
Developing property (increase)decrease
-237.05%-92.44M
----
-1,112.51%-27.43M
----
62.97%-2.26M
----
74.05%-6.11M
----
-161.83%-23.54M
----
Accounts receivable (increase)decrease
-77.87%44.15M
----
220.30%199.5M
----
-792.01%-165.83M
----
125.59%23.96M
----
-940.94%-93.65M
----
Accounts payable increase (decrease)
-38.01%9.68M
----
312,060.00%15.61M
----
100.10%5K
----
56.39%-5.12M
----
-277.02%-11.73M
----
Cash  from business operations
-124.74%-48.52M
----
254.87%196.08M
----
-338.92%-126.61M
----
182.25%52.99M
----
-179.25%-64.43M
----
Other taxs
85.10%-1.5M
----
-2.03%-10.08M
----
-0.39%-9.88M
----
47.75%-9.84M
----
-79.37%-18.84M
----
Special items of business
----
-112.23%-13.36M
----
231.23%109.29M
----
-222.43%-83.28M
----
205.86%68.02M
----
-119.02%-64.25M
Net cash from operations
-126.89%-50.02M
-112.23%-13.36M
236.27%186M
231.23%109.29M
-416.31%-136.49M
-222.43%-83.28M
151.82%43.15M
205.86%68.02M
-217.60%-83.27M
-119.02%-64.25M
Cash flow from investment activities
Interest received - investment
9.83%13.79M
27.77%12.97M
-56.41%12.56M
-31.35%10.15M
356.92%28.81M
706.05%14.78M
-49.17%6.31M
1,367.20%1.83M
30.76%12.41M
-96.44%125K
Dividend received - investment
----
----
-56.49%456K
-53.92%458K
249.33%1.05M
224.84%994K
-72.38%300K
-71.53%306K
-96.21%1.09M
-96.24%1.08M
Loan receivable (increase) decrease
92.47%-19.55M
81.56%-39.09M
-966.66%-259.67M
-174.11%-212M
112.12%29.96M
76.31%-77.34M
---247.12M
-124.21%-326.44M
--0
-64.31%-145.6M
Decrease in deposits (increase)
----
----
138.03%4.6M
----
-3,513.28%-12.08M
-263.81%-1.91M
197.52%354K
---525K
---363K
----
Sale of fixed assets
-99.42%1K
----
-97.69%173K
----
124,850.00%7.5M
----
--6K
--6K
----
----
Purchase of fixed assets
-341.67%-583K
-1,218.18%-580K
84.04%-132K
87.21%-44K
18.28%-827K
42.28%-344K
84.39%-1.01M
8.31%-596K
-1,675.62%-6.48M
-261.11%-650K
Purchase of intangible assets
----
----
----
----
----
----
-14.29%-40K
----
32.69%-35K
----
Sale of subsidiaries
----
--4.04M
-89.22%433K
----
--4.02M
----
----
----
----
----
Recovery of cash from investments
475.16%20.98M
12.88%596K
-89.74%3.65M
-97.22%528K
217.75%35.56M
428.87%19.02M
-93.11%11.19M
-98.32%3.6M
--162.41M
--214.4M
Cash on investment
----
----
59.95%-16.04M
-102.66%-381K
-384.80%-40.05M
97.77%-188K
-7.75%-8.26M
-245.27%-8.41M
39.84%-7.67M
152.03%5.79M
Other items in the investment business
----
----
----
----
-100.21%-217K
-99.98%20K
48,730.66%103.52M
100.26%87.58M
-99.69%212K
-57.11%43.74M
Net cash from investment operations
105.76%14.64M
89.04%-22.07M
-572.80%-253.98M
-347.63%-201.3M
139.86%53.72M
81.47%-44.97M
-183.41%-134.76M
-304.11%-242.65M
49.41%161.56M
248.25%118.88M
Net cash before financing
47.95%-35.38M
61.50%-35.43M
17.87%-67.98M
28.26%-92.01M
9.64%-82.77M
26.56%-128.25M
-217.00%-91.61M
-419.65%-174.64M
-56.25%78.29M
1,037.71%54.63M
Cash flow from financing activities
New borrowing
8.30%137.01M
286.60%48.34M
33.91%126.51M
--12.5M
-33.10%94.48M
----
290.02%141.22M
--95.88M
249.19%36.21M
----
Refund
26.32%-77.86M
-55.63%-19.34M
-202.71%-105.67M
-65.37%-12.43M
29.71%-34.91M
-13.99%-7.51M
-111.02%-49.66M
60.60%-6.59M
86.90%-23.54M
80.57%-16.73M
Interest paid - financing
9.91%-9.25M
22.34%-4.77M
8.63%-10.26M
-7.79%-6.14M
-1.06%-11.23M
-20.22%-5.7M
-34.26%-11.11M
-10.96%-4.74M
37.08%-8.28M
35.42%-4.27M
Dividends paid - financing
-37.50%-22.52M
----
75.00%-16.38M
----
---65.5M
----
----
----
----
----
Issuance expenses and redemption of securities expenses
---8.86M
---8.86M
----
----
99.10%-335K
100.00%-1K
9.00%-37.02M
---35.25M
---40.68M
----
Net cash from financing operations
382.82%18.07M
337.00%15.09M
66.19%-6.39M
54.45%-6.37M
-145.07%-18.9M
-128.76%-13.98M
209.71%41.93M
320.45%48.6M
64.90%-38.22M
-218.83%-22.05M
Effect of rate
122.37%446K
126.30%339K
33.71%-1.99M
63.37%-1.29M
74.78%-3.01M
54.32%-3.52M
-1,155.68%-11.93M
-489.89%-7.7M
-113.25%-950K
17.81%-1.31M
Net Cash
76.72%-17.31M
79.33%-20.34M
26.85%-74.37M
30.83%-98.38M
-104.67%-101.67M
-12.85%-142.23M
-223.96%-49.68M
-486.77%-126.03M
-42.81%40.07M
1,642.17%32.59M
Begining period cash
-71.83%29.94M
-71.83%29.94M
-49.61%106.31M
-49.61%106.31M
-22.60%210.99M
-22.60%210.99M
16.76%272.59M
16.76%272.59M
49.44%233.47M
49.44%233.47M
Cash at the end
-56.32%13.08M
49.74%9.95M
-71.83%29.94M
-89.82%6.64M
-49.61%106.31M
-53.01%65.24M
-22.60%210.99M
-47.55%138.86M
16.76%272.59M
73.57%264.75M
Cash balance analysis
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
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
(FY)Dec 31, 2025(Q6)Jun 30, 2025(FY)Dec 31, 2024(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
Cash flow from operating activities
Earning before tax -32.74%30.54M-----14.31%45.4M----108.72%52.98M-----70.38%25.39M-----17.26%85.7M----
Profit adjustment
Interest (income) - adjustment -32.92%-29.3M-----17.11%-22.05M----30.04%-18.82M-----116.14%-26.91M-----51.14%-12.45M----
Dividend (income)- adjustment --------56.49%-456K-----249.33%-1.05M----72.38%-300K-----213.87%-1.09M----
Investment loss (gain) -------------------3.42M---------------12.99M----
Attributable subsidiary (profit) loss 36.47%4.12M-----30.71%3.02M-----70.54%4.35M----33.48%14.77M----163.46%11.07M----
Impairment and provisions: -79.49%3.27M-----13.41%15.96M----1,007.19%18.43M-----128.85%-2.03M----1,194.85%7.04M----
-Impairmen of inventory (reversal) ---------95.56%26K----29,200.00%586K------2K------------
-Impairment of trade receivables (reversal) 473.53%1.17M-----91.83%204K----945.19%2.5M-----73.99%239K----431.21%919K----
-Other impairments and provisions -86.63%2.1M----2.49%15.73M----775.32%15.35M-----137.11%-2.27M----1,550.94%6.13M----
Revaluation surplus: 79.05%-9.07M-----63.46%-43.27M-----278.26%-26.47M----146.02%14.85M-----1,429.46%-32.27M----
-Fair value of investment properties (increase) 8.76%-21.73M-----18.56%-23.81M-----47.90%-20.09M----10.59%-13.58M-----190.05%-15.19M----
-Derivative financial instruments fair value (increase) -112.94%-92K----296.41%711K-----51.46%-362K-----29.89%-239K-----167.90%-184K----
-Other fair value changes 163.22%12.75M-----234.83%-20.17M-----121.01%-6.02M----269.73%28.67M-----14.81%-16.89M----
Asset sale loss (gain): -14,915.79%-8.56M----88.15%-57K----94.90%-481K-----409.83%-9.44M----95.96%-1.85M----
-Loss (gain) from sale of subsidiary company -------------------------1,710.20%-6.21M----99.25%-343K----
-Loss (gain) on sale of property, machinery and equipment 98.25%-1K-------57K---------------2K------------
-Loss (gain) from selling other assets ---8.56M------------85.09%-481K-----113.93%-3.23M-------1.51M----
Depreciation and amortization: -32.74%1.1M-----38.20%1.63M-----31.49%2.64M----7.72%3.85M-----54.79%3.58M----
-Amortization of intangible assets -----------------25.86%43K----93.33%58K-----88.28%30K----
Financial expense -9.75%9.29M-----9.77%10.29M-----0.34%11.41M----36.52%11.45M-----38.72%8.39M----
Exchange Loss (gain) -254.38%-12.02M-----288.66%-3.39M-----119.97%-873K----16.53%4.37M----288.30%3.75M----
Special items ---30K------------18,742.86%1.31M-----101.48%-7K-----88.10%472K----
Operating profit before the change of operating capital -250.67%-10.67M-----82.30%7.08M----11.14%40.01M-----39.35%36M-----25.77%59.36M----
Change of operating capital
Inventory (increase) decrease -41.19%774K-----10.78%1.32M-----65.35%1.48M-----16.95%4.26M----169.04%5.13M----
Developing property (increase)decrease -237.05%-92.44M-----1,112.51%-27.43M----62.97%-2.26M----74.05%-6.11M-----161.83%-23.54M----
Accounts receivable (increase)decrease -77.87%44.15M----220.30%199.5M-----792.01%-165.83M----125.59%23.96M-----940.94%-93.65M----
Accounts payable increase (decrease) -38.01%9.68M----312,060.00%15.61M----100.10%5K----56.39%-5.12M-----277.02%-11.73M----
Cash  from business operations -124.74%-48.52M----254.87%196.08M-----338.92%-126.61M----182.25%52.99M-----179.25%-64.43M----
Other taxs 85.10%-1.5M-----2.03%-10.08M-----0.39%-9.88M----47.75%-9.84M-----79.37%-18.84M----
Special items of business -----112.23%-13.36M----231.23%109.29M-----222.43%-83.28M----205.86%68.02M-----119.02%-64.25M
Net cash from operations -126.89%-50.02M-112.23%-13.36M236.27%186M231.23%109.29M-416.31%-136.49M-222.43%-83.28M151.82%43.15M205.86%68.02M-217.60%-83.27M-119.02%-64.25M
Cash flow from investment activities
Interest received - investment 9.83%13.79M27.77%12.97M-56.41%12.56M-31.35%10.15M356.92%28.81M706.05%14.78M-49.17%6.31M1,367.20%1.83M30.76%12.41M-96.44%125K
Dividend received - investment ---------56.49%456K-53.92%458K249.33%1.05M224.84%994K-72.38%300K-71.53%306K-96.21%1.09M-96.24%1.08M
Loan receivable (increase) decrease 92.47%-19.55M81.56%-39.09M-966.66%-259.67M-174.11%-212M112.12%29.96M76.31%-77.34M---247.12M-124.21%-326.44M--0-64.31%-145.6M
Decrease in deposits (increase) --------138.03%4.6M-----3,513.28%-12.08M-263.81%-1.91M197.52%354K---525K---363K----
Sale of fixed assets -99.42%1K-----97.69%173K----124,850.00%7.5M------6K--6K--------
Purchase of fixed assets -341.67%-583K-1,218.18%-580K84.04%-132K87.21%-44K18.28%-827K42.28%-344K84.39%-1.01M8.31%-596K-1,675.62%-6.48M-261.11%-650K
Purchase of intangible assets -------------------------14.29%-40K----32.69%-35K----
Sale of subsidiaries ------4.04M-89.22%433K------4.02M--------------------
Recovery of cash from investments 475.16%20.98M12.88%596K-89.74%3.65M-97.22%528K217.75%35.56M428.87%19.02M-93.11%11.19M-98.32%3.6M--162.41M--214.4M
Cash on investment --------59.95%-16.04M-102.66%-381K-384.80%-40.05M97.77%-188K-7.75%-8.26M-245.27%-8.41M39.84%-7.67M152.03%5.79M
Other items in the investment business -----------------100.21%-217K-99.98%20K48,730.66%103.52M100.26%87.58M-99.69%212K-57.11%43.74M
Net cash from investment operations 105.76%14.64M89.04%-22.07M-572.80%-253.98M-347.63%-201.3M139.86%53.72M81.47%-44.97M-183.41%-134.76M-304.11%-242.65M49.41%161.56M248.25%118.88M
Net cash before financing 47.95%-35.38M61.50%-35.43M17.87%-67.98M28.26%-92.01M9.64%-82.77M26.56%-128.25M-217.00%-91.61M-419.65%-174.64M-56.25%78.29M1,037.71%54.63M
Cash flow from financing activities
New borrowing 8.30%137.01M286.60%48.34M33.91%126.51M--12.5M-33.10%94.48M----290.02%141.22M--95.88M249.19%36.21M----
Refund 26.32%-77.86M-55.63%-19.34M-202.71%-105.67M-65.37%-12.43M29.71%-34.91M-13.99%-7.51M-111.02%-49.66M60.60%-6.59M86.90%-23.54M80.57%-16.73M
Interest paid - financing 9.91%-9.25M22.34%-4.77M8.63%-10.26M-7.79%-6.14M-1.06%-11.23M-20.22%-5.7M-34.26%-11.11M-10.96%-4.74M37.08%-8.28M35.42%-4.27M
Dividends paid - financing -37.50%-22.52M----75.00%-16.38M-------65.5M--------------------
Issuance expenses and redemption of securities expenses ---8.86M---8.86M--------99.10%-335K100.00%-1K9.00%-37.02M---35.25M---40.68M----
Net cash from financing operations 382.82%18.07M337.00%15.09M66.19%-6.39M54.45%-6.37M-145.07%-18.9M-128.76%-13.98M209.71%41.93M320.45%48.6M64.90%-38.22M-218.83%-22.05M
Effect of rate 122.37%446K126.30%339K33.71%-1.99M63.37%-1.29M74.78%-3.01M54.32%-3.52M-1,155.68%-11.93M-489.89%-7.7M-113.25%-950K17.81%-1.31M
Net Cash 76.72%-17.31M79.33%-20.34M26.85%-74.37M30.83%-98.38M-104.67%-101.67M-12.85%-142.23M-223.96%-49.68M-486.77%-126.03M-42.81%40.07M1,642.17%32.59M
Begining period cash -71.83%29.94M-71.83%29.94M-49.61%106.31M-49.61%106.31M-22.60%210.99M-22.60%210.99M16.76%272.59M16.76%272.59M49.44%233.47M49.44%233.47M
Cash at the end -56.32%13.08M49.74%9.95M-71.83%29.94M-89.82%6.64M-49.61%106.31M-53.01%65.24M-22.60%210.99M-47.55%138.86M16.76%272.59M73.57%264.75M
Cash balance analysis
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Zhonghui Anda Certified Public Accountants Co., Ltd.--Zhonghui Anda Certified Public Accountants Co., Ltd.--Zhonghui Anda Certified Public Accountants Co., Ltd.--Zhonghui Anda Certified Public Accountants Co., Ltd.--Zhonghui Anda Certified Public Accountants Co., Ltd.--

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.

Market Insights
China and the US begin implementing the Kuala Lumpur economic and trade consultation consensus.
China and the United States have successively adjusted multiple tariff and non-tariff measures, beginning to implement the consensus outcome Show More