(Q6)2024/06/30 | (FY)2023/12/31 | (Q6)2023/06/30 | (FY)2022/12/31 | (Q6)2022/06/30 | (FY)2021/12/31 | (Q6)2021/06/30 | (FY)2020/12/31 | (Q6)2020/06/30 | (FY)2019/12/31 | |
---|---|---|---|---|---|---|---|---|---|---|
資產 | ||||||||||
流動資產 | ||||||||||
存貨 | -10.38%1,142萬 | -22.93%1,219.7萬 | -40.10%1,274.2萬 | 4.52%1,582.6萬 | -12.11%2,127.2萬 | -17.78%1,514.2萬 | -6.66%2,420.2萬 | 2.72%1,841.7萬 | 31.84%2,592.8萬 | 28.28%1,792.9萬 |
應收賬款 | -58.05%1,535.3萬 | 56.82%2,747萬 | 119.98%3,660.1萬 | 34.67%1,751.7萬 | 51.77%1,663.8萬 | -49.02%1,300.7萬 | -39.69%1,096.3萬 | 85.21%2,551.5萬 | 27.45%1,817.9萬 | -44.12%1,377.6萬 |
預繳及應收稅項 | ---- | ---- | ---- | ---- | -97.76%9,000 | -99.67%9,000 | 1,332.14%40.1萬 | 7.43%269.1萬 | --2.8萬 | -37.00%250.5萬 |
現金及等價物 | 53.52%3.52億 | 56.70%2.66億 | 34.00%2.29億 | 2.90%1.69億 | 11.69%1.71億 | 40.37%1.65億 | 31.36%1.53億 | -14.98%1.17億 | -22.57%1.17億 | 9.40%1.38億 |
按公平值入損益金融資產-流動資產 | 9.06%1,255.9萬 | 10.96%1,209.4萬 | 20.64%1,151.6萬 | -19.98%1,089.9萬 | -32.60%954.6萬 | -3.92%1,362.1萬 | -2.99%1,416.4萬 | -14.02%1,417.7萬 | -10.72%1,460萬 | 9.97%1,648.9萬 |
流動資產合計 | 34.89%3.92億 | 48.48%3.17億 | 32.75%2.9億 | 3.51%2.14億 | 7.71%2.19億 | 15.91%2.06億 | 15.73%2.03億 | -5.60%1.78億 | -12.72%1.75億 | 2.70%1.89億 |
非流動資產 | ||||||||||
物業廠房及設備 | -15.23%2.95億 | -2.86%3.27億 | 5.71%3.49億 | -0.26%3.36億 | -2.39%3.3億 | 4.33%3.37億 | -1.40%3.38億 | -12.32%3.23億 | -12.80%3.43億 | -2.76%3.69億 |
投資物業 | -10.04%2.4億 | -3.65%2.55億 | -0.02%2.66億 | -7.24%2.65億 | -6.11%2.66億 | 0.18%2.86億 | -2.98%2.84億 | -17.70%2.85億 | -13.84%2.93億 | 0.79%3.46億 |
按公平值入損益金融資產-非流動資產 | -0.63%486.7萬 | -1.25%489.8萬 | -3.16%489.8萬 | -2.88%496萬 | -8.75%505.8萬 | -8.61%510.7萬 | -3.78%554.3萬 | -3.47%558.8萬 | -1.52%576.1萬 | -2.87%578.9萬 |
無形資產 | 0.00%245萬 | 0.00%245萬 | 0.00%245萬 | 0.00%245萬 | 0.00%245萬 | 0.00%245萬 | 0.00%245萬 | 0.00%245萬 | 0.00%245萬 | 0.00%245萬 |
遞延稅項資產 | 10.75%102萬 | 11.33%98.3萬 | -15.50%92.1萬 | -12.92%88.3萬 | 3.12%109萬 | -0.69%101.4萬 | --105.7萬 | --102.1萬 | ---- | ---- |
非流動資產合計 | -12.80%5.43億 | -3.16%5.9億 | 3.05%6.23億 | -3.46%6.09億 | -4.10%6.05億 | 2.27%6.31億 | -1.97%6.31億 | -14.64%6.17億 | -13.15%6.43億 | -1.09%7.23億 |
總資產 | 2.35%9.35億 | 10.24%9.07億 | 10.94%9.14億 | -1.74%8.23億 | -1.23%8.23億 | 5.32%8.38億 | 1.82%8.34億 | -12.77%7.95億 | -13.05%8.19億 | -0.33%9.12億 |
負債 | ||||||||||
流動負債 | ||||||||||
應付帳款 | 23.61%1,792.4萬 | 79.63%2,197萬 | 14.73%1,450.1萬 | 11.96%1,223.1萬 | -18.54%1,263.9萬 | 2.70%1,092.4萬 | -27.99%1,551.5萬 | -60.59%1,063.7萬 | -29.09%2,154.6萬 | -24.70%2,699.2萬 |
應付稅項 | 127.90%2,943.1萬 | 1,660.84%1,632.3萬 | 98.34%1,291.4萬 | -74.05%92.7萬 | 222.17%651.1萬 | 192.79%357.2萬 | -52.73%202.1萬 | -59.66%122萬 | 1,283.50%427.5萬 | --302.4萬 |
應付股利 | 73.94%3,824.2萬 | 6.24%86.8萬 | 20.69%2,198.6萬 | 4.48%81.7萬 | 44.75%1,821.7萬 | 2.76%78.2萬 | 0.06%1,258.5萬 | -89.58%76.1萬 | -40.86%1,257.7萬 | -0.56%730.2萬 |
銀行貸款及透支 | -24.91%412.1萬 | -13.81%473.7萬 | -60.53%548.8萬 | -66.10%549.6萬 | -19.92%1,390.3萬 | -9.22%1,621.2萬 | 3.08%1,736.1萬 | -8.38%1,785.9萬 | -18.72%1,684.3萬 | -10.97%1,949.2萬 |
遞延收入-流動負債 | 7.95%28.5萬 | 7.09%28.7萬 | 13.79%26.4萬 | -4.63%26.8萬 | -11.79%23.2萬 | 8.91%28.1萬 | 16.37%26.3萬 | 6.61%25.8萬 | 2.73%22.6萬 | 9.50%24.2萬 |
流動負債合計 | 63.19%9,000.3萬 | 123.85%4,418.5萬 | 7.09%5,515.3萬 | -37.87%1,973.9萬 | 7.87%5,150.2萬 | 3.37%3,177.1萬 | -13.92%4,774.5萬 | -46.13%3,073.5萬 | -23.91%5,546.7萬 | -12.64%5,705.2萬 |
淨流動資產 | 28.25%3.02億 | 40.81%2.73億 | 40.65%2.35億 | 11.04%1.94億 | 7.66%1.67億 | 18.53%1.75億 | 29.43%1.55億 | 11.97%1.47億 | -6.35%1.2億 | 11.15%1.32億 |
總資產減流動負債 | -1.55%8.45億 | 7.45%8.63億 | 11.20%8.58億 | -0.32%8.03億 | -1.78%7.72億 | 5.40%8.06億 | 2.96%7.86億 | -10.54%7.65億 | -12.14%7.63億 | 0.62%8.55億 |
非流動負債 | ||||||||||
遞延稅項負債 | -14.90%4,630.9萬 | -1.85%5,101.5萬 | 7.67%5,441.8萬 | 1.51%5,197.6萬 | -0.36%5,054.2萬 | 8.21%5,120.1萬 | 2.18%5,072.7萬 | -12.41%4,731.6萬 | -13.50%4,964.6萬 | -0.85%5,402萬 |
遞延收入-非流動負債 | 1.79%3,908.8萬 | 6.19%3,905萬 | 10.02%3,840.2萬 | -5.31%3,677.3萬 | -10.76%3,490.4萬 | 8.20%3,883.6萬 | 23.77%3,911.4萬 | 5.88%3,589.2萬 | -4.17%3,160.1萬 | 5.68%3,389.9萬 |
退休福利責任 | 10.78%618.4萬 | 11.38%595.9萬 | -15.50%558.2萬 | -12.95%535萬 | 3.11%660.6萬 | -0.68%614.6萬 | 30.68%640.7萬 | 31.97%618.8萬 | 10.83%490.3萬 | 11.54%468.9萬 |
非流動負債特殊專案 | 0.00%207.3萬 | 0.00%207.3萬 | 0.00%207.3萬 | 0.00%207.3萬 | 0.00%207.3萬 | 0.00%207.3萬 | 0.00%207.3萬 | 0.00%207.3萬 | 0.00%207.3萬 | 0.00%207.3萬 |
非流動負債合計 | -6.79%9,365.4萬 | 2.00%9,809.7萬 | 6.75%1億 | -2.12%9,617.2萬 | -4.27%9,412.5萬 | 7.42%9,825.6萬 | 11.45%9,832.1萬 | -3.39%9,146.9萬 | -8.93%8,822.3萬 | 1.99%9,468.1萬 |
總負債 | 18.01%1.84億 | 22.75%1.42億 | 6.87%1.56億 | -10.86%1.16億 | -0.30%1.46億 | 6.40%1.3億 | 1.65%1.46億 | -19.46%1.22億 | -15.36%1.44億 | -4.05%1.52億 |
總資產減總負債 | -0.86%7.51億 | 8.20%7.65億 | 11.81%7.58億 | -0.07%7.07億 | -1.42%6.78億 | 5.13%7.08億 | 1.86%6.88億 | -11.44%6.73億 | -12.55%6.75億 | 0.45%7.6億 |
總權益及非流動負債 | -1.55%8.45億 | 7.45%8.63億 | 11.20%8.58億 | -0.32%8.03億 | -1.78%7.72億 | 5.40%8.06億 | 2.96%7.86億 | -10.54%7.65億 | -12.14%7.63億 | 0.62%8.55億 |
權益 | ||||||||||
股本 | 0.00%1,558.2萬 | 0.00%1,558.2萬 | 0.00%1,558.2萬 | 0.00%1,558.2萬 | 0.00%1,558.2萬 | 0.00%1,558.2萬 | 0.00%1,558.2萬 | 0.00%1,558.2萬 | 0.00%1,558.2萬 | 0.00%1,558.2萬 |
股本溢價 | -0.88%7.36億 | 8.38%7.5億 | 12.09%7.42億 | -0.07%6.92億 | -1.45%6.62億 | 5.25%6.92億 | 1.90%6.72億 | -11.68%6.58億 | -12.81%6.6億 | 0.46%7.45億 |
股東權益 | -0.86%7.51億 | 8.20%7.65億 | 11.81%7.58億 | -0.07%7.07億 | -1.42%6.78億 | 5.13%7.08億 | 1.86%6.88億 | -11.44%6.73億 | -12.55%6.75億 | 0.45%7.6億 |
總權益 | -0.86%7.51億 | 8.20%7.65億 | 11.81%7.58億 | -0.07%7.07億 | -1.42%6.78億 | 5.13%7.08億 | 1.86%6.88億 | -11.44%6.73億 | -12.55%6.75億 | 0.45%7.6億 |
總權益及總負債 | 2.35%9.35億 | 10.24%9.07億 | 10.94%9.14億 | -1.74%8.23億 | -1.23%8.23億 | 5.32%8.38億 | 1.82%8.34億 | -12.77%7.95億 | -13.05%8.19億 | -0.33%9.12億 |
貨幣單位 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 | 港元 |
會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 | 香港會計準則 |
審計意見 | -- | 無保留意見 | -- | 無保留意見 | -- | 無保留意見 | -- | 無保留意見 | -- | 無保留意見 |
會計師事務所 | -- | 富睿瑪澤會計師事務所有限公司 | -- | 富睿瑪澤會計師事務所有限公司 | -- | 富睿瑪澤會計師事務所有限公司 | -- | 富睿瑪澤會計師事務所有限公司 | -- | 富睿瑪澤會計師事務所有限公司 |
FY:Financial Year 年度報告,相當於上市公司向SEC披露的10-K文件。
Q:Quarter 季度報告,相當於上市公司向SEC披露的10-Q文件,其中Q1、Q2、Q3、Q4為單季報,跨度為3個月;Q6、Q9為累計季報,Q6為6個月,Q9為9個月。
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