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01193 CHINA RES GAS

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  • 21.800
  • +0.100+0.46%
Market Closed May 2 16:08 CST
50.45BMarket Cap12.34P/E (TTM)

CHINA RES GAS 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
(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax
-13.05%7.75B
----
3.41%8.91B
----
-22.96%8.62B
----
24.40%11.18B
----
6.75%8.99B
----
Profit adjustment
Interest (income) - adjustment
19.05%-308.42M
----
-56.93%-381.02M
----
26.28%-242.79M
----
9.71%-329.32M
----
-0.17%-364.74M
----
Dividend (income)- adjustment
97.31%-256K
----
-444.85%-9.52M
----
33.96%-1.75M
----
-30.01%-2.65M
----
36.63%-2.04M
----
Attributable subsidiary (profit) loss
-16.14%-748.32M
----
-26.45%-644.32M
----
53.29%-509.53M
----
-19.19%-1.09B
----
-24.01%-915.31M
----
Impairment and provisions:
-52.25%75.7M
----
5,556.33%158.55M
----
-80.05%2.8M
----
-79.63%14.05M
----
-13.62%68.97M
----
-Impairment of trade receivables (reversal)
-49.33%72.71M
----
1,836.82%143.5M
----
-165.25%-8.26M
----
-82.12%12.66M
----
-2.62%70.82M
----
-Other impairments and provisions
-80.13%2.99M
----
36.02%15.05M
----
697.19%11.07M
----
175.03%1.39M
----
-125.99%-1.85M
----
Asset sale loss (gain):
92.76%-83.34M
----
-3,095.93%-1.15B
----
71.61%-36.02M
----
-1,841.09%-126.87M
----
103.42%7.29M
----
-Loss (gain) from sale of subsidiary company
----
----
---694.09M
----
----
----
-35,065.68%-59.43M
----
99.92%-169K
----
-Loss (gain) on sale of property, machinery and equipment
3.36%-44.38M
----
-132.05%-45.93M
----
-170.81%-19.79M
----
122.67%27.95M
----
16.98%12.55M
----
-Loss (gain) from selling other assets
90.53%-38.95M
----
-2,433.79%-411.18M
----
82.99%-16.23M
----
-1,771.59%-95.4M
----
-2,268.94%-5.1M
----
Depreciation and amortization:
-10.02%3.65B
----
20.91%4.06B
----
25.85%3.36B
----
25.98%2.67B
----
7.82%2.12B
----
-Amortization of intangible assets
-49.79%203.31M
----
255.28%404.95M
----
48.74%113.98M
----
18.22%76.63M
----
2.13%64.82M
----
Financial expense
-21.31%740.39M
----
68.92%940.93M
----
45.67%557.02M
----
-14.92%382.38M
----
-15.68%449.42M
----
Special items
45.14%-44.07M
----
-6.84%-80.32M
----
-3.27%-75.18M
----
50.70%-72.8M
----
-42.78%-147.66M
----
Operating profit before the change of operating capital
-6.53%11.03B
----
1.15%11.8B
----
-7.58%11.67B
----
23.73%12.63B
----
6.55%10.2B
----
Change of operating capital
Inventory (increase) decrease
-53.21%65.48M
----
151.39%139.94M
----
-161.14%-272.28M
----
-268.18%-104.27M
----
182.29%62M
----
Accounts receivable (increase)decrease
228.83%2.42B
----
18.64%-1.88B
----
21.43%-2.31B
----
-1,292.80%-2.94B
----
129.11%246.31M
----
Accounts payable increase (decrease)
-240.84%-3.8B
----
63.99%2.7B
----
-24.15%1.65B
----
349.22%2.17B
----
-147.03%-871.34M
----
Special items for working capital changes
-13.48%-616.74M
----
86.48%-543.47M
----
-862.56%-4.02B
----
-138.13%-417.55M
----
808.72%1.1B
----
Cash  from business operations
-25.58%9.1B
----
81.99%12.22B
----
-40.77%6.72B
----
5.60%11.34B
----
1.01%10.74B
----
China income tax paid
-1.37%-2.09B
----
12.63%-2.07B
----
19.79%-2.36B
----
-39.02%-2.95B
----
-4.60%-2.12B
----
Special items of business
----
-10.58%4.25B
----
48,066.15%4.76B
----
-100.21%-9.92M
----
28.07%4.67B
----
22.58%3.65B
Net cash from operations
-31.06%7B
-10.58%4.25B
133.41%10.16B
48,066.15%4.76B
-48.14%4.35B
-100.21%-9.92M
-2.62%8.39B
28.07%4.67B
0.17%8.62B
22.58%3.65B
Cash flow from investment activities
Interest received - investment
-38.32%235.01M
----
64.54%381.02M
----
-29.50%231.57M
----
-8.84%328.46M
----
-1.18%360.3M
----
Dividend received - investment
481.27%695.85M
497.67%115.88M
-49.24%119.71M
-64.71%19.39M
-46.92%235.83M
40.54%54.93M
1.75%444.3M
-72.51%39.09M
8.50%436.64M
-43.98%142.2M
Loan receivable (increase) decrease
140.71%193.69M
-288.36%-1.67B
23.77%-475.75M
81.20%-430.81M
-189.27%-624.09M
-782.76%-2.29B
306.82%699.08M
-55.49%335.57M
-28.02%-338.01M
323.64%753.87M
Decrease in deposits (increase)
38.30%-27.64B
12.21%-270.84M
-127.26%-44.8B
-435.22%-308.5M
56.64%-19.71B
-297.61%-57.64M
-9.50%-45.46B
114.83%29.17M
-25.69%-41.52B
-6,298.58%-196.68M
Sale of fixed assets
185.63%689.64M
220.03%99.25M
122.87%241.45M
-48.33%31.01M
123.21%108.33M
-4.97%60.02M
-38.56%48.54M
-35.16%63.16M
-47.24%79M
288.54%97.41M
Purchase of fixed assets
18.48%-4.2B
-7.63%-2.27B
17.47%-5.15B
9.09%-2.11B
-8.94%-6.24B
-19.07%-2.32B
-30.90%-5.73B
-55.14%-1.94B
-7.68%-4.37B
21.26%-1.25B
Selling intangible assets
25.91%72.93M
----
--57.92M
----
----
----
--9.94M
----
----
----
Purchase of intangible assets
22.99%-146.2M
-355.80%-47.13M
-72.05%-189.85M
89.67%-10.34M
44.97%-110.35M
-8.56%-100.06M
49.83%-200.54M
46.67%-92.18M
-35.08%-399.74M
-1,546.66%-172.83M
Sale of subsidiaries
----
----
----
----
----
----
----
----
--347.53M
--347.53M
Recovery of cash from investments
-40.35%27.52B
----
111.58%46.14B
----
-48.94%21.81B
----
1.83%42.71B
----
28.10%41.94B
----
Cash on investment
99.57%-8.03M
100.09%1.19M
66.57%-1.88B
-161.17%-1.39B
-51.55%-5.62B
-205.95%-532.89M
-14.83%-3.71B
-357.97%-174.17M
-2,798.39%-3.23B
75.87%-38.03M
Other items in the investment business
-65.24%353.23M
-78.62%179.42M
141.89%1.02B
1,140.74%839.15M
-748.78%-2.43B
-165.50%-80.63M
43.23%-285.84M
-52.85%123.1M
-418.05%-503.51M
15.93%261.08M
Net cash from investment operations
50.85%-2.23B
-15.02%-3.86B
63.29%-4.53B
36.22%-3.36B
-10.83%-12.35B
-224.64%-5.26B
-54.76%-11.14B
-2,641.42%-1.62B
-84.64%-7.2B
96.28%-59.14M
Net cash before financing
-15.11%4.77B
-72.01%391.7M
170.32%5.62B
126.53%1.4B
-190.53%-8B
-273.03%-5.27B
-294.38%-2.75B
-15.02%3.05B
-69.88%1.42B
159.14%3.59B
Cash flow from financing activities
New borrowing
-15.93%25.15B
14.96%21.81B
-26.61%29.92B
36.74%18.97B
2,110.85%40.77B
2,102.31%13.87B
-12.65%1.84B
-64.02%629.92M
-56.76%2.11B
-0.63%1.75B
Refund
-4.33%-28.02B
-172.82%-20.15B
-17.67%-26.86B
-164.28%-7.39B
-507.84%-22.83B
-491.04%-2.8B
-100.22%-3.76B
119.67%714.79M
65.70%-1.88B
-936.84%-3.63B
Issuing shares
--58.92M
----
----
----
----
----
----
----
--3.67B
--3.67B
Interest paid - financing
21.19%-724.26M
----
-70.02%-919.01M
----
-48.88%-540.52M
----
22.16%-363.07M
----
7.47%-466.41M
----
Dividends paid - financing
-2.21%-3.75B
-73.69%-153.86M
10.50%-3.67B
82.67%-88.58M
-22.75%-4.1B
74.05%-511.13M
-6.71%-3.34B
4.10%-1.97B
-41.07%-3.13B
-43.74%-2.05B
Absorb investment income
45.02%54.14M
-49.45%15.63M
-59.50%37.34M
-58.78%30.91M
15.37%92.19M
25.41%74.98M
-64.11%79.9M
-36.06%59.79M
1,529.77%222.61M
502.58%93.51M
Issuance expenses and redemption of securities expenses
----
----
94.23%-322.84M
----
---5.6B
---5.6B
----
----
----
----
Other items of the financing business
-33.93%-194.24M
-22.01%-586.91M
16.83%-145.04M
-129.90%-481.03M
-107.98%-174.39M
25.18%-209.23M
183.34%2.19B
-315.95%-279.66M
-242.49%-2.62B
-118.64%-67.23M
Net cash from financing operations
-278.57%-7.43B
-92.38%835.67M
-125.76%-1.96B
130.36%10.96B
327.23%7.62B
629.97%4.76B
-59.96%-3.35B
-220.13%-898.1M
-20.81%-2.1B
-897.60%-280.55M
Effect of rate
-87.36%-225.87M
61.16%-77.85M
83.79%-120.55M
-277.95%-200.46M
-430.37%-743.82M
-154.97%-53.04M
-63.62%225.15M
1,087.60%96.48M
471.92%618.87M
-114.90%-9.77M
Net Cash
-172.48%-2.65B
-90.07%1.23B
1,059.40%3.66B
2,507.72%12.36B
93.75%-381.65M
-123.89%-513.5M
-798.84%-6.1B
-34.98%2.15B
-122.88%-679.15M
132.95%3.31B
Begining period cash
55.01%9.98B
55.01%9.98B
-14.88%6.44B
-14.88%6.44B
-43.74%7.56B
-43.74%7.56B
-0.45%13.44B
1.55%13.44B
26.18%13.5B
27.36%13.24B
Cash at the end
-28.86%7.1B
-40.17%11.13B
55.01%9.98B
165.86%18.6B
-14.88%6.44B
-55.40%7B
-43.74%7.56B
-5.11%15.69B
-0.45%13.44B
39.20%16.53B
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
KPMG
--
KPMG
--
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(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax -13.05%7.75B----3.41%8.91B-----22.96%8.62B----24.40%11.18B----6.75%8.99B----
Profit adjustment
Interest (income) - adjustment 19.05%-308.42M-----56.93%-381.02M----26.28%-242.79M----9.71%-329.32M-----0.17%-364.74M----
Dividend (income)- adjustment 97.31%-256K-----444.85%-9.52M----33.96%-1.75M-----30.01%-2.65M----36.63%-2.04M----
Attributable subsidiary (profit) loss -16.14%-748.32M-----26.45%-644.32M----53.29%-509.53M-----19.19%-1.09B-----24.01%-915.31M----
Impairment and provisions: -52.25%75.7M----5,556.33%158.55M-----80.05%2.8M-----79.63%14.05M-----13.62%68.97M----
-Impairment of trade receivables (reversal) -49.33%72.71M----1,836.82%143.5M-----165.25%-8.26M-----82.12%12.66M-----2.62%70.82M----
-Other impairments and provisions -80.13%2.99M----36.02%15.05M----697.19%11.07M----175.03%1.39M-----125.99%-1.85M----
Asset sale loss (gain): 92.76%-83.34M-----3,095.93%-1.15B----71.61%-36.02M-----1,841.09%-126.87M----103.42%7.29M----
-Loss (gain) from sale of subsidiary company -----------694.09M-------------35,065.68%-59.43M----99.92%-169K----
-Loss (gain) on sale of property, machinery and equipment 3.36%-44.38M-----132.05%-45.93M-----170.81%-19.79M----122.67%27.95M----16.98%12.55M----
-Loss (gain) from selling other assets 90.53%-38.95M-----2,433.79%-411.18M----82.99%-16.23M-----1,771.59%-95.4M-----2,268.94%-5.1M----
Depreciation and amortization: -10.02%3.65B----20.91%4.06B----25.85%3.36B----25.98%2.67B----7.82%2.12B----
-Amortization of intangible assets -49.79%203.31M----255.28%404.95M----48.74%113.98M----18.22%76.63M----2.13%64.82M----
Financial expense -21.31%740.39M----68.92%940.93M----45.67%557.02M-----14.92%382.38M-----15.68%449.42M----
Special items 45.14%-44.07M-----6.84%-80.32M-----3.27%-75.18M----50.70%-72.8M-----42.78%-147.66M----
Operating profit before the change of operating capital -6.53%11.03B----1.15%11.8B-----7.58%11.67B----23.73%12.63B----6.55%10.2B----
Change of operating capital
Inventory (increase) decrease -53.21%65.48M----151.39%139.94M-----161.14%-272.28M-----268.18%-104.27M----182.29%62M----
Accounts receivable (increase)decrease 228.83%2.42B----18.64%-1.88B----21.43%-2.31B-----1,292.80%-2.94B----129.11%246.31M----
Accounts payable increase (decrease) -240.84%-3.8B----63.99%2.7B-----24.15%1.65B----349.22%2.17B-----147.03%-871.34M----
Special items for working capital changes -13.48%-616.74M----86.48%-543.47M-----862.56%-4.02B-----138.13%-417.55M----808.72%1.1B----
Cash  from business operations -25.58%9.1B----81.99%12.22B-----40.77%6.72B----5.60%11.34B----1.01%10.74B----
China income tax paid -1.37%-2.09B----12.63%-2.07B----19.79%-2.36B-----39.02%-2.95B-----4.60%-2.12B----
Special items of business -----10.58%4.25B----48,066.15%4.76B-----100.21%-9.92M----28.07%4.67B----22.58%3.65B
Net cash from operations -31.06%7B-10.58%4.25B133.41%10.16B48,066.15%4.76B-48.14%4.35B-100.21%-9.92M-2.62%8.39B28.07%4.67B0.17%8.62B22.58%3.65B
Cash flow from investment activities
Interest received - investment -38.32%235.01M----64.54%381.02M-----29.50%231.57M-----8.84%328.46M-----1.18%360.3M----
Dividend received - investment 481.27%695.85M497.67%115.88M-49.24%119.71M-64.71%19.39M-46.92%235.83M40.54%54.93M1.75%444.3M-72.51%39.09M8.50%436.64M-43.98%142.2M
Loan receivable (increase) decrease 140.71%193.69M-288.36%-1.67B23.77%-475.75M81.20%-430.81M-189.27%-624.09M-782.76%-2.29B306.82%699.08M-55.49%335.57M-28.02%-338.01M323.64%753.87M
Decrease in deposits (increase) 38.30%-27.64B12.21%-270.84M-127.26%-44.8B-435.22%-308.5M56.64%-19.71B-297.61%-57.64M-9.50%-45.46B114.83%29.17M-25.69%-41.52B-6,298.58%-196.68M
Sale of fixed assets 185.63%689.64M220.03%99.25M122.87%241.45M-48.33%31.01M123.21%108.33M-4.97%60.02M-38.56%48.54M-35.16%63.16M-47.24%79M288.54%97.41M
Purchase of fixed assets 18.48%-4.2B-7.63%-2.27B17.47%-5.15B9.09%-2.11B-8.94%-6.24B-19.07%-2.32B-30.90%-5.73B-55.14%-1.94B-7.68%-4.37B21.26%-1.25B
Selling intangible assets 25.91%72.93M------57.92M--------------9.94M------------
Purchase of intangible assets 22.99%-146.2M-355.80%-47.13M-72.05%-189.85M89.67%-10.34M44.97%-110.35M-8.56%-100.06M49.83%-200.54M46.67%-92.18M-35.08%-399.74M-1,546.66%-172.83M
Sale of subsidiaries ----------------------------------347.53M--347.53M
Recovery of cash from investments -40.35%27.52B----111.58%46.14B-----48.94%21.81B----1.83%42.71B----28.10%41.94B----
Cash on investment 99.57%-8.03M100.09%1.19M66.57%-1.88B-161.17%-1.39B-51.55%-5.62B-205.95%-532.89M-14.83%-3.71B-357.97%-174.17M-2,798.39%-3.23B75.87%-38.03M
Other items in the investment business -65.24%353.23M-78.62%179.42M141.89%1.02B1,140.74%839.15M-748.78%-2.43B-165.50%-80.63M43.23%-285.84M-52.85%123.1M-418.05%-503.51M15.93%261.08M
Net cash from investment operations 50.85%-2.23B-15.02%-3.86B63.29%-4.53B36.22%-3.36B-10.83%-12.35B-224.64%-5.26B-54.76%-11.14B-2,641.42%-1.62B-84.64%-7.2B96.28%-59.14M
Net cash before financing -15.11%4.77B-72.01%391.7M170.32%5.62B126.53%1.4B-190.53%-8B-273.03%-5.27B-294.38%-2.75B-15.02%3.05B-69.88%1.42B159.14%3.59B
Cash flow from financing activities
New borrowing -15.93%25.15B14.96%21.81B-26.61%29.92B36.74%18.97B2,110.85%40.77B2,102.31%13.87B-12.65%1.84B-64.02%629.92M-56.76%2.11B-0.63%1.75B
Refund -4.33%-28.02B-172.82%-20.15B-17.67%-26.86B-164.28%-7.39B-507.84%-22.83B-491.04%-2.8B-100.22%-3.76B119.67%714.79M65.70%-1.88B-936.84%-3.63B
Issuing shares --58.92M------------------------------3.67B--3.67B
Interest paid - financing 21.19%-724.26M-----70.02%-919.01M-----48.88%-540.52M----22.16%-363.07M----7.47%-466.41M----
Dividends paid - financing -2.21%-3.75B-73.69%-153.86M10.50%-3.67B82.67%-88.58M-22.75%-4.1B74.05%-511.13M-6.71%-3.34B4.10%-1.97B-41.07%-3.13B-43.74%-2.05B
Absorb investment income 45.02%54.14M-49.45%15.63M-59.50%37.34M-58.78%30.91M15.37%92.19M25.41%74.98M-64.11%79.9M-36.06%59.79M1,529.77%222.61M502.58%93.51M
Issuance expenses and redemption of securities expenses --------94.23%-322.84M-------5.6B---5.6B----------------
Other items of the financing business -33.93%-194.24M-22.01%-586.91M16.83%-145.04M-129.90%-481.03M-107.98%-174.39M25.18%-209.23M183.34%2.19B-315.95%-279.66M-242.49%-2.62B-118.64%-67.23M
Net cash from financing operations -278.57%-7.43B-92.38%835.67M-125.76%-1.96B130.36%10.96B327.23%7.62B629.97%4.76B-59.96%-3.35B-220.13%-898.1M-20.81%-2.1B-897.60%-280.55M
Effect of rate -87.36%-225.87M61.16%-77.85M83.79%-120.55M-277.95%-200.46M-430.37%-743.82M-154.97%-53.04M-63.62%225.15M1,087.60%96.48M471.92%618.87M-114.90%-9.77M
Net Cash -172.48%-2.65B-90.07%1.23B1,059.40%3.66B2,507.72%12.36B93.75%-381.65M-123.89%-513.5M-798.84%-6.1B-34.98%2.15B-122.88%-679.15M132.95%3.31B
Begining period cash 55.01%9.98B55.01%9.98B-14.88%6.44B-14.88%6.44B-43.74%7.56B-43.74%7.56B-0.45%13.44B1.55%13.44B26.18%13.5B27.36%13.24B
Cash at the end -28.86%7.1B-40.17%11.13B55.01%9.98B165.86%18.6B-14.88%6.44B-55.40%7B-43.74%7.56B-5.11%15.69B-0.45%13.44B39.20%16.53B
Cash balance analysis
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor KPMG--KPMG--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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