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01238 POWERLONG

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  • 0.350
  • +0.005+1.45%
Market Closed May 2 16:08 CST
1.45BMarket Cap-0.23P/E (TTM)

POWERLONG 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
-137.71%-4.66B
----
-147.00%-1.96B
----
-65.66%4.17B
----
-8.55%12.15B
----
34.77%13.28B
----
Profit adjustment
Investment loss (gain)
101.08%13.4M
----
-100.71%-1.24B
----
-21.30%-616.09M
----
23.85%-507.9M
----
-77.51%-666.99M
----
Impairment and provisions:
33.44%5.59B
----
139.00%4.19B
----
626.31%1.75B
----
60.94%241.42M
----
--150M
----
-Other impairments and provisions
33.44%5.59B
----
139.00%4.19B
----
626.31%1.75B
----
60.94%241.42M
----
--150M
----
Revaluation surplus:
94.60%3.33B
----
1,847.84%1.71B
----
105.13%87.76M
----
18.36%-1.71B
----
12.47%-2.1B
----
-Fair value of investment properties (increase)
94.60%3.33B
----
1,847.84%1.71B
----
105.13%87.76M
----
18.36%-1.71B
----
12.47%-2.1B
----
Depreciation and amortization:
4.11%362.45M
----
11.19%348.14M
----
6.10%313.1M
----
5.58%295.11M
----
2.38%279.51M
----
-Depreciation
4.11%362.45M
----
11.19%348.14M
----
6.10%313.1M
----
5.58%295.11M
----
2.38%279.51M
----
Financial expense
47.63%1.99B
----
-43.91%1.35B
----
454.06%2.41B
----
239.14%434.72M
----
-134.72%-312.43M
----
Special items
-235.41%-488.78M
----
-65.59%360.95M
----
178.58%1.05B
----
-705.20%-1.34B
----
82.12%-165.81M
----
Operating profit before the change of operating capital
28.91%6.14B
----
-48.04%4.76B
----
-4.16%9.17B
----
-8.66%9.57B
----
42.83%10.47B
----
Change of operating capital
Developing property (increase)decrease
135.41%13.39B
----
164.13%5.69B
----
115.50%2.15B
----
-16.05%-13.9B
----
-261.55%-11.98B
----
Accounts receivable (increase)decrease
-218.57%-1.04B
----
-118.77%-325.32M
----
20.84%1.73B
----
432.47%1.43B
----
87.42%-431.33M
----
Accounts payable increase (decrease)
-175.49%-1.98B
----
257.69%2.63B
----
-161.77%-1.67B
----
462.51%2.7B
----
-94.04%479.87M
----
prepayments (increase)decrease
-85.67%213.78M
----
21.69%1.49B
----
-68.01%1.23B
----
233.42%3.83B
----
58.24%-2.87B
----
Special items for working capital changes
-194.53%-11.95B
----
-65.82%-4.06B
----
-138.36%-2.45B
----
563.01%6.38B
----
-124.26%-1.38B
----
Cash  from business operations
-55.82%4.75B
-48.85%2.24B
5.78%10.75B
-53.61%4.38B
1.59%10.17B
787.79%9.44B
275.30%10.01B
-132.35%-1.37B
-176.73%-5.71B
-14.15%4.24B
China income tax paid
35.62%-730.98M
37.88%-416.86M
25.28%-1.14B
19.21%-671.07M
54.33%-1.52B
44.07%-830.67M
-50.62%-3.33B
-12.54%-1.49B
-27.38%-2.21B
-21.82%-1.32B
Interest paid - operating
43.21%-2.31B
55.56%-1.04B
3.46%-4.06B
-36.23%-2.35B
11.20%-4.21B
29.31%-1.72B
-15.63%-4.74B
-32.21%-2.44B
-38.74%-4.1B
-25.91%-1.84B
Net cash from operations
-69.17%1.71B
-42.69%780.27M
25.16%5.56B
-80.24%1.36B
128.53%4.44B
230.06%6.89B
116.17%1.94B
-590.55%-5.3B
-536.40%-12.01B
-54.92%1.08B
Cash flow from investment activities
Interest received - investment
-30.40%79.43M
-32.77%42.1M
-69.11%114.12M
-58.61%62.62M
-27.97%369.47M
-29.55%151.28M
11.01%512.96M
19.15%214.75M
69.16%462.1M
17.74%180.24M
Dividend received - investment
-46.18%254.79M
----
74.33%473.38M
----
--271.55M
----
----
--96.85M
13,802.85%332.28M
----
Loan receivable (increase) decrease
-46.61%2.7B
-61.20%852.87M
276.65%5.06B
167.85%2.2B
60.67%-2.86B
-44.07%-3.24B
-589.22%-7.28B
27.89%-2.25B
27.26%1.49B
-453.42%-3.12B
Decrease in deposits (increase)
-98.66%109K
1,729.41%933K
-99.73%8.15M
-100.00%51K
198.50%3.05B
--1.65B
---3.1B
----
----
----
Sale of fixed assets
67.84%193.21M
184.18%171.63M
91.92%115.11M
146.90%60.4M
486.92%59.98M
487.04%24.46M
8.78%10.22M
-16.44%4.17M
-91.27%9.39M
-92.49%4.99M
Purchase of fixed assets
64.56%-176.44M
35.39%-148.38M
-34.28%-497.79M
46.26%-229.65M
19.42%-370.72M
-296.90%-427.33M
-19.81%-460.05M
-136.45%-107.67M
41.52%-383.99M
74.54%-45.54M
Purchase of intangible assets
-83.48%-3.16B
-51.51%-1B
15.67%-1.72B
42.22%-663.25M
82.69%-2.05B
-117.42%-1.15B
-135.37%-11.81B
-2,098.38%-527.96M
---5.02B
-1,038.74%-24.02M
Sale of subsidiaries
----
----
-9.45%256.32M
-91.49%50.53M
-56.69%283.06M
853.41%594.01M
8,876.12%653.56M
936.63%62.3M
-100.88%-7.45M
---7.45M
Acquisition of subsidiaries
----
----
----
----
----
----
----
----
--56K
----
Recovery of cash from investments
-85.19%190.59M
-98.51%3.29M
289.82%1.29B
-34.72%220.98M
224.17%330.2M
--338.54M
1,773.84%101.86M
----
-94.27%5.44M
----
Cash on investment
70.25%-351.8M
----
-59.03%-1.18B
----
75.04%-743.52M
81.38%-814.94M
-31.34%-2.98B
-231.62%-4.38B
28.99%-2.27B
-10.80%-1.32B
Other items in the investment business
----
----
-82.88%1.36M
----
-99.47%7.91M
--12.05M
932.32%1.49B
----
--144.27M
--144.27M
Net cash from investment operations
-107.04%-274.89M
-104.85%-82.47M
337.37%3.91B
159.44%1.7B
92.80%-1.65B
58.46%-2.86B
-336.49%-22.86B
-64.44%-6.88B
-287.01%-5.24B
-1,997.81%-4.19B
Net cash before financing
-84.80%1.44B
-77.21%697.79M
238.67%9.46B
-24.03%3.06B
113.36%2.79B
133.08%4.03B
-21.27%-20.92B
-292.13%-12.18B
-1,332.84%-17.25B
-241.47%-3.11B
Cash flow from financing activities
New borrowing
-49.68%2.8B
-20.91%3.56B
-63.52%5.56B
-61.22%4.51B
-68.10%15.24B
-58.19%11.62B
-1.57%47.77B
58.00%27.79B
106.95%48.53B
25.46%17.59B
Refund
63.40%-5.61B
32.49%-5.48B
43.85%-15.32B
58.13%-8.12B
23.89%-27.28B
6.61%-19.4B
-15.55%-35.84B
-79.98%-20.78B
-39.25%-31.02B
3.97%-11.54B
Dividends paid - financing
91.63%-128.79M
---18.24M
-111.83%-1.54B
----
63.89%-726.17M
-1,559.97%-630.79M
-17.19%-2.01B
23.13%-38M
-42.18%-1.72B
-59.49%-49.44M
Absorb investment income
----
----
-80.79%22.51M
----
-97.42%117.18M
-97.75%57.18M
-32.34%4.54B
378.56%2.55B
363.09%6.71B
551.50%531.95M
Issuance expenses and redemption of securities expenses
----
----
----
----
----
----
96.42%-10.94M
----
95.75%-305.54M
99.79%-5.54M
Other items of the financing business
-106.16%-3.55M
-124.95%-3.73M
-87.01%57.51M
106.44%14.94M
-49.74%442.75M
-251.78%-231.88M
169.45%880.89M
94.94%-65.91M
115.34%326.93M
-509.74%-1.3B
Net cash from financing operations
72.87%-3.07B
45.83%-2.01B
9.81%-11.32B
57.52%-3.71B
-183.12%-12.55B
-193.17%-8.73B
-32.46%15.1B
82.39%9.37B
452.97%22.36B
1,300.58%5.14B
Effect of rate
3.99%1.23M
-89.98%294K
101.98%1.18M
187.50%2.93M
47.13%-59.6M
68.71%-3.35M
-47.86%-112.73M
-115.30%-10.72M
-435.42%-76.24M
44,517.20%70.05M
Net Cash
12.06%-1.63B
-102.89%-1.31B
80.98%-1.86B
86.25%-645.82M
-67.69%-9.76B
-67.01%-4.7B
-213.88%-5.82B
-238.57%-2.81B
-6.13%5.11B
14.83%2.03B
Begining period cash
-19.34%7.73B
-19.34%7.73B
-50.59%9.59B
-50.59%9.59B
-23.41%19.41B
-23.41%19.41B
24.79%25.34B
24.79%25.34B
36.83%20.31B
36.83%20.31B
Cash at the end
-21.09%6.1B
-28.19%6.42B
-19.34%7.73B
-39.16%8.95B
-50.59%9.59B
-34.68%14.71B
-23.41%19.41B
0.49%22.52B
24.79%25.34B
34.91%22.41B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
--
--
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
--
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
PricewaterhouseCoopers
--
(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 -137.71%-4.66B-----147.00%-1.96B-----65.66%4.17B-----8.55%12.15B----34.77%13.28B----
Profit adjustment
Investment loss (gain) 101.08%13.4M-----100.71%-1.24B-----21.30%-616.09M----23.85%-507.9M-----77.51%-666.99M----
Impairment and provisions: 33.44%5.59B----139.00%4.19B----626.31%1.75B----60.94%241.42M------150M----
-Other impairments and provisions 33.44%5.59B----139.00%4.19B----626.31%1.75B----60.94%241.42M------150M----
Revaluation surplus: 94.60%3.33B----1,847.84%1.71B----105.13%87.76M----18.36%-1.71B----12.47%-2.1B----
-Fair value of investment properties (increase) 94.60%3.33B----1,847.84%1.71B----105.13%87.76M----18.36%-1.71B----12.47%-2.1B----
Depreciation and amortization: 4.11%362.45M----11.19%348.14M----6.10%313.1M----5.58%295.11M----2.38%279.51M----
-Depreciation 4.11%362.45M----11.19%348.14M----6.10%313.1M----5.58%295.11M----2.38%279.51M----
Financial expense 47.63%1.99B-----43.91%1.35B----454.06%2.41B----239.14%434.72M-----134.72%-312.43M----
Special items -235.41%-488.78M-----65.59%360.95M----178.58%1.05B-----705.20%-1.34B----82.12%-165.81M----
Operating profit before the change of operating capital 28.91%6.14B-----48.04%4.76B-----4.16%9.17B-----8.66%9.57B----42.83%10.47B----
Change of operating capital
Developing property (increase)decrease 135.41%13.39B----164.13%5.69B----115.50%2.15B-----16.05%-13.9B-----261.55%-11.98B----
Accounts receivable (increase)decrease -218.57%-1.04B-----118.77%-325.32M----20.84%1.73B----432.47%1.43B----87.42%-431.33M----
Accounts payable increase (decrease) -175.49%-1.98B----257.69%2.63B-----161.77%-1.67B----462.51%2.7B-----94.04%479.87M----
prepayments (increase)decrease -85.67%213.78M----21.69%1.49B-----68.01%1.23B----233.42%3.83B----58.24%-2.87B----
Special items for working capital changes -194.53%-11.95B-----65.82%-4.06B-----138.36%-2.45B----563.01%6.38B-----124.26%-1.38B----
Cash  from business operations -55.82%4.75B-48.85%2.24B5.78%10.75B-53.61%4.38B1.59%10.17B787.79%9.44B275.30%10.01B-132.35%-1.37B-176.73%-5.71B-14.15%4.24B
China income tax paid 35.62%-730.98M37.88%-416.86M25.28%-1.14B19.21%-671.07M54.33%-1.52B44.07%-830.67M-50.62%-3.33B-12.54%-1.49B-27.38%-2.21B-21.82%-1.32B
Interest paid - operating 43.21%-2.31B55.56%-1.04B3.46%-4.06B-36.23%-2.35B11.20%-4.21B29.31%-1.72B-15.63%-4.74B-32.21%-2.44B-38.74%-4.1B-25.91%-1.84B
Net cash from operations -69.17%1.71B-42.69%780.27M25.16%5.56B-80.24%1.36B128.53%4.44B230.06%6.89B116.17%1.94B-590.55%-5.3B-536.40%-12.01B-54.92%1.08B
Cash flow from investment activities
Interest received - investment -30.40%79.43M-32.77%42.1M-69.11%114.12M-58.61%62.62M-27.97%369.47M-29.55%151.28M11.01%512.96M19.15%214.75M69.16%462.1M17.74%180.24M
Dividend received - investment -46.18%254.79M----74.33%473.38M------271.55M----------96.85M13,802.85%332.28M----
Loan receivable (increase) decrease -46.61%2.7B-61.20%852.87M276.65%5.06B167.85%2.2B60.67%-2.86B-44.07%-3.24B-589.22%-7.28B27.89%-2.25B27.26%1.49B-453.42%-3.12B
Decrease in deposits (increase) -98.66%109K1,729.41%933K-99.73%8.15M-100.00%51K198.50%3.05B--1.65B---3.1B------------
Sale of fixed assets 67.84%193.21M184.18%171.63M91.92%115.11M146.90%60.4M486.92%59.98M487.04%24.46M8.78%10.22M-16.44%4.17M-91.27%9.39M-92.49%4.99M
Purchase of fixed assets 64.56%-176.44M35.39%-148.38M-34.28%-497.79M46.26%-229.65M19.42%-370.72M-296.90%-427.33M-19.81%-460.05M-136.45%-107.67M41.52%-383.99M74.54%-45.54M
Purchase of intangible assets -83.48%-3.16B-51.51%-1B15.67%-1.72B42.22%-663.25M82.69%-2.05B-117.42%-1.15B-135.37%-11.81B-2,098.38%-527.96M---5.02B-1,038.74%-24.02M
Sale of subsidiaries ---------9.45%256.32M-91.49%50.53M-56.69%283.06M853.41%594.01M8,876.12%653.56M936.63%62.3M-100.88%-7.45M---7.45M
Acquisition of subsidiaries ----------------------------------56K----
Recovery of cash from investments -85.19%190.59M-98.51%3.29M289.82%1.29B-34.72%220.98M224.17%330.2M--338.54M1,773.84%101.86M-----94.27%5.44M----
Cash on investment 70.25%-351.8M-----59.03%-1.18B----75.04%-743.52M81.38%-814.94M-31.34%-2.98B-231.62%-4.38B28.99%-2.27B-10.80%-1.32B
Other items in the investment business ---------82.88%1.36M-----99.47%7.91M--12.05M932.32%1.49B------144.27M--144.27M
Net cash from investment operations -107.04%-274.89M-104.85%-82.47M337.37%3.91B159.44%1.7B92.80%-1.65B58.46%-2.86B-336.49%-22.86B-64.44%-6.88B-287.01%-5.24B-1,997.81%-4.19B
Net cash before financing -84.80%1.44B-77.21%697.79M238.67%9.46B-24.03%3.06B113.36%2.79B133.08%4.03B-21.27%-20.92B-292.13%-12.18B-1,332.84%-17.25B-241.47%-3.11B
Cash flow from financing activities
New borrowing -49.68%2.8B-20.91%3.56B-63.52%5.56B-61.22%4.51B-68.10%15.24B-58.19%11.62B-1.57%47.77B58.00%27.79B106.95%48.53B25.46%17.59B
Refund 63.40%-5.61B32.49%-5.48B43.85%-15.32B58.13%-8.12B23.89%-27.28B6.61%-19.4B-15.55%-35.84B-79.98%-20.78B-39.25%-31.02B3.97%-11.54B
Dividends paid - financing 91.63%-128.79M---18.24M-111.83%-1.54B----63.89%-726.17M-1,559.97%-630.79M-17.19%-2.01B23.13%-38M-42.18%-1.72B-59.49%-49.44M
Absorb investment income ---------80.79%22.51M-----97.42%117.18M-97.75%57.18M-32.34%4.54B378.56%2.55B363.09%6.71B551.50%531.95M
Issuance expenses and redemption of securities expenses ------------------------96.42%-10.94M----95.75%-305.54M99.79%-5.54M
Other items of the financing business -106.16%-3.55M-124.95%-3.73M-87.01%57.51M106.44%14.94M-49.74%442.75M-251.78%-231.88M169.45%880.89M94.94%-65.91M115.34%326.93M-509.74%-1.3B
Net cash from financing operations 72.87%-3.07B45.83%-2.01B9.81%-11.32B57.52%-3.71B-183.12%-12.55B-193.17%-8.73B-32.46%15.1B82.39%9.37B452.97%22.36B1,300.58%5.14B
Effect of rate 3.99%1.23M-89.98%294K101.98%1.18M187.50%2.93M47.13%-59.6M68.71%-3.35M-47.86%-112.73M-115.30%-10.72M-435.42%-76.24M44,517.20%70.05M
Net Cash 12.06%-1.63B-102.89%-1.31B80.98%-1.86B86.25%-645.82M-67.69%-9.76B-67.01%-4.7B-213.88%-5.82B-238.57%-2.81B-6.13%5.11B14.83%2.03B
Begining period cash -19.34%7.73B-19.34%7.73B-50.59%9.59B-50.59%9.59B-23.41%19.41B-23.41%19.41B24.79%25.34B24.79%25.34B36.83%20.31B36.83%20.31B
Cash at the end -21.09%6.1B-28.19%6.42B-19.34%7.73B-39.16%8.95B-50.59%9.59B-34.68%14.71B-23.41%19.41B0.49%22.52B24.79%25.34B34.91%22.41B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --------Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor ----Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--PricewaterhouseCoopers--

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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Warren Buffett Portfolio Warren Buffett Portfolio

Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry. Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry.

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BRK cash at new high: What to expect from Buffett’s meeting?
🎙️Discussion 1. Buffett said he won't sell Japanese stocks for the next ten years. What's your take? 2. In the face of market changes, do y Show More