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01278 CHINANEWTOWN

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  • 0.077
  • +0.009+13.24%
Market Closed Apr 25 16:08 CST
748.92MMarket Cap15.40P/E (TTM)

CHINANEWTOWN Key Stats

All
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2020
(Q9)Sep 30, 2020
Cash flow from operating activities
Earning before tax
-65.86%68.64M
16.91%83.26M
255.97%201.08M
-28.66%71.22M
-60.07%56.49M
-27.67%99.83M
168.31%141.45M
146.29%138.03M
-216.66%-207.07M
---255.81M
Profit adjustment
Interest (income) - adjustment
-2.44%-212.07M
-22.29%-109.97M
-34.46%-207.01M
-18.68%-89.92M
-52.84%-153.96M
-1,823.12%-75.77M
-3,646.15%-100.73M
-167.12%-3.94M
86.15%-2.69M
---197.68M
Interest expense - adjustment
3.52%94.4M
35.68%47.46M
104.40%91.19M
64.33%34.98M
-12.45%44.62M
185.31%21.28M
143.92%50.96M
70.10%-24.95M
7.22%-116.03M
--93.05M
Attributable subsidiary (profit) loss
157.24%31.77M
35.21%7.15M
32.92%12.35M
94.31%5.29M
19.68%9.29M
162.27%2.72M
20.22%7.76M
-144.45%-4.37M
140.47%6.46M
---10.75M
Impairment and provisions:
97.41%-1.15M
-183.26%-14.12M
-133.11%-44.55M
689.43%16.96M
473.97%134.55M
103.36%2.15M
-109.31%-35.98M
-265.14%-63.9M
195.56%386.45M
----
-Other impairments and provisions
97.41%-1.15M
-183.26%-14.12M
-133.11%-44.55M
689.43%16.96M
473.97%134.55M
103.36%2.15M
-109.31%-35.98M
-265.14%-63.9M
195.56%386.45M
----
Revaluation surplus:
148.96%22.47M
-158.05%-3.3M
36.13%-45.9M
113.69%5.69M
-32.19%-71.86M
-110.57%-41.52M
10.11%-54.36M
33.55%-19.72M
63.57%-60.47M
---38.45M
-Fair value of investment properties (increase)
1,448.28%19.63M
----
88.18%-1.46M
-491.87%-1.46M
-25.78%-12.32M
---246K
29.46%-9.79M
----
87.58%-13.89M
--3.97M
-Other fair value changes
106.38%2.84M
-146.22%-3.3M
25.36%-44.44M
117.30%7.14M
-33.60%-59.54M
-109.32%-41.28M
4.34%-44.57M
33.55%-19.72M
14.09%-46.59M
---42.42M
Asset sale loss (gain):
-157.89%-11K
----
375.00%19K
----
--4K
----
----
----
----
----
-Loss (gain) on sale of property, machinery and equipment
-157.89%-11K
----
375.00%19K
----
--4K
----
----
----
----
----
Depreciation and amortization:
-9.45%12.96M
-8.20%6.41M
-0.13%14.31M
-3.40%6.98M
-4.05%14.33M
-3.19%7.23M
-2.08%14.93M
-3.29%7.46M
19.28%15.25M
--11.61M
-Amortization of intangible assets
-87.72%156K
-70.32%65K
267.05%1.27M
28.07%219K
1.47%346K
0.00%171K
0.00%341K
0.59%171K
0.00%341K
--254K
Exchange Loss (gain)
-106.74%-823K
96.91%-612K
295.59%12.21M
-281.96%-19.82M
-232.13%-6.24M
111.31%10.89M
169.83%4.72M
-53.58%5.16M
-4,521.57%-6.77M
--470K
Special items
----
----
----
----
----
----
----
----
----
--401.65M
Operating profit before the change of operating capital
-51.98%16.18M
-48.10%16.28M
23.84%33.71M
16.97%31.36M
-5.37%27.22M
-20.61%26.81M
90.03%28.76M
283.57%33.77M
334.36%15.14M
--4.09M
Change of operating capital
Accounts receivable (increase)decrease
234.36%34.66M
155.20%12.23M
-1,262.98%-25.8M
-363.04%-22.16M
-99.57%2.22M
-98.40%8.43M
7,283.13%518.74M
6,796.87%526.51M
-99.31%7.03M
--8.36M
Accounts payable increase (decrease)
81,852.11%58.19M
-63.91%-17.52M
100.38%71K
63.36%-10.69M
76.07%-18.75M
74.55%-29.17M
-577.93%-78.38M
-770.55%-114.6M
95.81%-11.56M
--11.38M
Advance payment increase (decrease)
-144.98%-8.52M
-200.92%-6.7M
119.57%18.94M
7.94%6.64M
265.10%8.63M
261.10%6.15M
-617.74%-5.22M
31.94%-3.82M
-72.61%1.01M
---7.09M
prepayments (increase)decrease
43.84%-310K
-99.26%3K
-300.00%-552K
208.51%408K
-251.65%-138K
-4,077.78%-376K
-91.74%91K
99.48%-9K
520.61%1.1M
--679K
Special items for working capital changes
-186.48%-41.97M
-41.90%-19.12M
---14.65M
-1,614.50%-13.48M
----
91.67%-786K
---30.14M
---9.43M
----
----
Cash  from business operations
396.94%58.23M
-77.96%-15.23M
-34.29%11.72M
-177.41%-8.56M
-95.89%17.83M
-97.44%11.06M
116,413.40%433.85M
2,001.69%432.43M
-100.05%-373K
--17.41M
Other taxs
10.74%-28.35M
-1.91%-13.91M
38.63%-31.76M
68.28%-13.65M
-364.52%-51.75M
-569.82%-43.02M
11.78%-11.14M
70.74%-6.42M
62.93%-12.63M
---22.24M
Special items of business
----
----
----
----
----
----
----
----
----
---6.28M
Net cash from operations
249.12%29.88M
-31.22%-29.14M
40.91%-20.04M
30.53%-22.2M
-108.02%-33.92M
-107.50%-31.96M
3,351.61%422.71M
1,053.28%426M
-101.86%-13M
---11.1M
Cash flow from investment activities
Interest received - investment
1.36%198.61M
25.33%108.56M
39.43%195.94M
31.78%86.62M
33.81%140.53M
5.19%65.73M
-53.30%105.02M
-57.53%62.49M
-15.84%224.89M
--190.18M
Sale of fixed assets
--24K
----
----
----
----
----
-35.90%25K
-85.11%7K
-97.68%39K
--39K
Purchase of fixed assets
-5.46%-483K
43.48%-208K
-27.58%-458K
-82.18%-368K
-108.72%-359K
-149.38%-202K
49.41%-172K
24.30%-81K
23.94%-340K
---121K
Purchase of intangible assets
-453.33%-166K
----
94.64%-30K
----
---560K
----
----
----
----
----
Recovery of cash from investments
-13.20%2.09B
-25.68%1.03B
-26.39%2.4B
-7.61%1.39B
63.52%3.26B
29.89%1.5B
-5.99%2B
--1.16B
108.14%2.12B
--1.39B
Cash on investment
2.90%-2.58B
33.05%-1.09B
17.49%-2.66B
-2.74%-1.63B
-42.28%-3.22B
-67.99%-1.59B
-220.45%-2.27B
-1,654.98%-947.17M
65.99%-706.94M
---90.7M
Other items in the investment business
128.97%2.78M
-72.01%1.39M
-120.26%-9.59M
-85.08%4.96M
-19.37%47.32M
-17.59%33.27M
107.86%58.69M
-93.04%40.36M
-42.87%28.24M
--29.89M
Net cash from investment operations
-314.57%-296.75M
129.57%46.23M
-131.54%-71.58M
-1,838.50%-156.36M
313.75%226.92M
-97.11%8.99M
-106.36%-106.16M
-53.71%311.45M
325.24%1.67B
--1.52B
Net cash before financing
-191.27%-266.87M
109.57%17.09M
-147.47%-91.62M
-677.48%-178.56M
-39.03%193.01M
-103.11%-22.97M
-80.88%316.55M
17.40%737.45M
3,923.83%1.66B
--1.51B
Cash flow from financing activities
New borrowing
-57.46%643M
-57.30%642.24M
3,213.58%1.51B
3,093.93%1.5B
-81.42%45.62M
--47.09M
--245.51M
----
----
----
Refund
-66.43%-656.59M
-1,114.47%-619.38M
-463.57%-394.5M
-52.15%-51M
92.79%-70M
96.53%-33.52M
-11.09%-971.43M
-61.80%-964.75M
8.54%-874.43M
---611.26M
Interest paid - financing
-99.39%-86.92M
-243.97%-73.83M
-13.56%-43.59M
-2.14%-21.46M
17.59%-38.38M
15.96%-21.01M
56.94%-46.58M
60.54%-25M
28.44%-108.16M
---88.47M
Dividends paid - financing
-54.28%-30.06M
---7K
---19.48M
----
----
----
99.96%-14K
---14K
64.25%-37.68M
---37.46M
Other items of the financing business
----
----
----
----
----
----
----
----
96.87%-5.9M
---5.9M
Net cash from financing operations
-113.72%-142.87M
-103.97%-56.6M
1,477.53%1.04B
10,392.85%1.43B
90.38%-75.62M
98.61%-13.85M
24.63%-785.71M
-47.63%-996.39M
-198.00%-1.04B
---753.68M
Effect of rate
776.29%850K
-119.78%-18K
-88.71%97K
-82.12%91K
1,401.52%859K
127.09%509K
99.76%-66K
-353.23%-1.88M
-7,621.72%-28.06M
---16.77M
Net Cash
-143.13%-409.74M
-103.17%-39.51M
709.28%950.01M
3,487.57%1.25B
125.02%117.39M
85.78%-36.82M
-176.49%-469.17M
-453.58%-258.94M
256.03%613.37M
--754.12M
Begining period cash
188.42%1.45B
188.42%1.45B
30.63%504.25M
30.63%504.25M
-54.87%386M
-54.87%386M
216.85%855.23M
216.85%855.23M
-59.27%269.92M
--269.92M
Cash at the end
-28.12%1.05B
-19.23%1.41B
188.42%1.45B
400.91%1.75B
30.63%504.25M
-41.17%349.69M
-54.87%386M
165.50%594.41M
216.85%855.23M
--1.01B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
(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(FY)Dec 31, 2020(Q9)Sep 30, 2020
Cash flow from operating activities
Earning before tax -65.86%68.64M16.91%83.26M255.97%201.08M-28.66%71.22M-60.07%56.49M-27.67%99.83M168.31%141.45M146.29%138.03M-216.66%-207.07M---255.81M
Profit adjustment
Interest (income) - adjustment -2.44%-212.07M-22.29%-109.97M-34.46%-207.01M-18.68%-89.92M-52.84%-153.96M-1,823.12%-75.77M-3,646.15%-100.73M-167.12%-3.94M86.15%-2.69M---197.68M
Interest expense - adjustment 3.52%94.4M35.68%47.46M104.40%91.19M64.33%34.98M-12.45%44.62M185.31%21.28M143.92%50.96M70.10%-24.95M7.22%-116.03M--93.05M
Attributable subsidiary (profit) loss 157.24%31.77M35.21%7.15M32.92%12.35M94.31%5.29M19.68%9.29M162.27%2.72M20.22%7.76M-144.45%-4.37M140.47%6.46M---10.75M
Impairment and provisions: 97.41%-1.15M-183.26%-14.12M-133.11%-44.55M689.43%16.96M473.97%134.55M103.36%2.15M-109.31%-35.98M-265.14%-63.9M195.56%386.45M----
-Other impairments and provisions 97.41%-1.15M-183.26%-14.12M-133.11%-44.55M689.43%16.96M473.97%134.55M103.36%2.15M-109.31%-35.98M-265.14%-63.9M195.56%386.45M----
Revaluation surplus: 148.96%22.47M-158.05%-3.3M36.13%-45.9M113.69%5.69M-32.19%-71.86M-110.57%-41.52M10.11%-54.36M33.55%-19.72M63.57%-60.47M---38.45M
-Fair value of investment properties (increase) 1,448.28%19.63M----88.18%-1.46M-491.87%-1.46M-25.78%-12.32M---246K29.46%-9.79M----87.58%-13.89M--3.97M
-Other fair value changes 106.38%2.84M-146.22%-3.3M25.36%-44.44M117.30%7.14M-33.60%-59.54M-109.32%-41.28M4.34%-44.57M33.55%-19.72M14.09%-46.59M---42.42M
Asset sale loss (gain): -157.89%-11K----375.00%19K------4K--------------------
-Loss (gain) on sale of property, machinery and equipment -157.89%-11K----375.00%19K------4K--------------------
Depreciation and amortization: -9.45%12.96M-8.20%6.41M-0.13%14.31M-3.40%6.98M-4.05%14.33M-3.19%7.23M-2.08%14.93M-3.29%7.46M19.28%15.25M--11.61M
-Amortization of intangible assets -87.72%156K-70.32%65K267.05%1.27M28.07%219K1.47%346K0.00%171K0.00%341K0.59%171K0.00%341K--254K
Exchange Loss (gain) -106.74%-823K96.91%-612K295.59%12.21M-281.96%-19.82M-232.13%-6.24M111.31%10.89M169.83%4.72M-53.58%5.16M-4,521.57%-6.77M--470K
Special items --------------------------------------401.65M
Operating profit before the change of operating capital -51.98%16.18M-48.10%16.28M23.84%33.71M16.97%31.36M-5.37%27.22M-20.61%26.81M90.03%28.76M283.57%33.77M334.36%15.14M--4.09M
Change of operating capital
Accounts receivable (increase)decrease 234.36%34.66M155.20%12.23M-1,262.98%-25.8M-363.04%-22.16M-99.57%2.22M-98.40%8.43M7,283.13%518.74M6,796.87%526.51M-99.31%7.03M--8.36M
Accounts payable increase (decrease) 81,852.11%58.19M-63.91%-17.52M100.38%71K63.36%-10.69M76.07%-18.75M74.55%-29.17M-577.93%-78.38M-770.55%-114.6M95.81%-11.56M--11.38M
Advance payment increase (decrease) -144.98%-8.52M-200.92%-6.7M119.57%18.94M7.94%6.64M265.10%8.63M261.10%6.15M-617.74%-5.22M31.94%-3.82M-72.61%1.01M---7.09M
prepayments (increase)decrease 43.84%-310K-99.26%3K-300.00%-552K208.51%408K-251.65%-138K-4,077.78%-376K-91.74%91K99.48%-9K520.61%1.1M--679K
Special items for working capital changes -186.48%-41.97M-41.90%-19.12M---14.65M-1,614.50%-13.48M----91.67%-786K---30.14M---9.43M--------
Cash  from business operations 396.94%58.23M-77.96%-15.23M-34.29%11.72M-177.41%-8.56M-95.89%17.83M-97.44%11.06M116,413.40%433.85M2,001.69%432.43M-100.05%-373K--17.41M
Other taxs 10.74%-28.35M-1.91%-13.91M38.63%-31.76M68.28%-13.65M-364.52%-51.75M-569.82%-43.02M11.78%-11.14M70.74%-6.42M62.93%-12.63M---22.24M
Special items of business ---------------------------------------6.28M
Net cash from operations 249.12%29.88M-31.22%-29.14M40.91%-20.04M30.53%-22.2M-108.02%-33.92M-107.50%-31.96M3,351.61%422.71M1,053.28%426M-101.86%-13M---11.1M
Cash flow from investment activities
Interest received - investment 1.36%198.61M25.33%108.56M39.43%195.94M31.78%86.62M33.81%140.53M5.19%65.73M-53.30%105.02M-57.53%62.49M-15.84%224.89M--190.18M
Sale of fixed assets --24K---------------------35.90%25K-85.11%7K-97.68%39K--39K
Purchase of fixed assets -5.46%-483K43.48%-208K-27.58%-458K-82.18%-368K-108.72%-359K-149.38%-202K49.41%-172K24.30%-81K23.94%-340K---121K
Purchase of intangible assets -453.33%-166K----94.64%-30K-------560K--------------------
Recovery of cash from investments -13.20%2.09B-25.68%1.03B-26.39%2.4B-7.61%1.39B63.52%3.26B29.89%1.5B-5.99%2B--1.16B108.14%2.12B--1.39B
Cash on investment 2.90%-2.58B33.05%-1.09B17.49%-2.66B-2.74%-1.63B-42.28%-3.22B-67.99%-1.59B-220.45%-2.27B-1,654.98%-947.17M65.99%-706.94M---90.7M
Other items in the investment business 128.97%2.78M-72.01%1.39M-120.26%-9.59M-85.08%4.96M-19.37%47.32M-17.59%33.27M107.86%58.69M-93.04%40.36M-42.87%28.24M--29.89M
Net cash from investment operations -314.57%-296.75M129.57%46.23M-131.54%-71.58M-1,838.50%-156.36M313.75%226.92M-97.11%8.99M-106.36%-106.16M-53.71%311.45M325.24%1.67B--1.52B
Net cash before financing -191.27%-266.87M109.57%17.09M-147.47%-91.62M-677.48%-178.56M-39.03%193.01M-103.11%-22.97M-80.88%316.55M17.40%737.45M3,923.83%1.66B--1.51B
Cash flow from financing activities
New borrowing -57.46%643M-57.30%642.24M3,213.58%1.51B3,093.93%1.5B-81.42%45.62M--47.09M--245.51M------------
Refund -66.43%-656.59M-1,114.47%-619.38M-463.57%-394.5M-52.15%-51M92.79%-70M96.53%-33.52M-11.09%-971.43M-61.80%-964.75M8.54%-874.43M---611.26M
Interest paid - financing -99.39%-86.92M-243.97%-73.83M-13.56%-43.59M-2.14%-21.46M17.59%-38.38M15.96%-21.01M56.94%-46.58M60.54%-25M28.44%-108.16M---88.47M
Dividends paid - financing -54.28%-30.06M---7K---19.48M------------99.96%-14K---14K64.25%-37.68M---37.46M
Other items of the financing business --------------------------------96.87%-5.9M---5.9M
Net cash from financing operations -113.72%-142.87M-103.97%-56.6M1,477.53%1.04B10,392.85%1.43B90.38%-75.62M98.61%-13.85M24.63%-785.71M-47.63%-996.39M-198.00%-1.04B---753.68M
Effect of rate 776.29%850K-119.78%-18K-88.71%97K-82.12%91K1,401.52%859K127.09%509K99.76%-66K-353.23%-1.88M-7,621.72%-28.06M---16.77M
Net Cash -143.13%-409.74M-103.17%-39.51M709.28%950.01M3,487.57%1.25B125.02%117.39M85.78%-36.82M-176.49%-469.17M-453.58%-258.94M256.03%613.37M--754.12M
Begining period cash 188.42%1.45B188.42%1.45B30.63%504.25M30.63%504.25M-54.87%386M-54.87%386M216.85%855.23M216.85%855.23M-59.27%269.92M--269.92M
Cash at the end -28.12%1.05B-19.23%1.41B188.42%1.45B400.91%1.75B30.63%504.25M-41.17%349.69M-54.87%386M165.50%594.41M216.85%855.23M--1.01B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
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.

Market Insights

HK Dividend Stocks HK Dividend Stocks

Dividend stocks are stocks of companies in the HK stock market that regularly distribute dividends to shareholders, generally representing stable businesses. 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 dividend stocks, ranked from highest to lowest based on real-time market data. Dividend stocks are stocks of companies in the HK stock market that regularly distribute dividends to shareholders, generally representing stable businesses. 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 dividend stocks, ranked from highest to lowest based on real-time market data.

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