HK Stock MarketDetailed Quotes

01753 DUIBA

Watchlist
  • 0.175
  • -0.005-2.78%
Market Closed May 6 16:08 CST
188.44MMarket Cap-4.38P/E (TTM)

DUIBA 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
-205.12%-37.2M
-169.04%-19.53M
230.29%35.38M
144.36%28.28M
-154.23%-27.16M
-195.93%-63.76M
84.84%-10.68M
215.83%66.46M
66.35%-70.46M
84.94%-57.38M
Profit adjustment
Interest (income) - adjustment
21.60%-21.88M
-3.30%-13.22M
-143.45%-27.91M
-252.94%-12.8M
-361.37%-11.47M
-227.05%-3.63M
-54.64%-2.49M
-25.74%-1.11M
48.34%-1.61M
6.67%-882K
Interest expense - adjustment
----
----
----
----
----
9.14%191K
----
236.54%175K
----
-10.34%52K
Investment loss (gain)
9.07%-3.06M
84.41%-87K
65.20%-3.36M
89.07%-558K
48.91%-9.66M
59.08%-5.1M
4.95%-18.92M
-7.18%-12.47M
-3.81%-19.9M
-130.55%-11.64M
Attributable subsidiary (profit) loss
233.33%2.97M
-67.53%176K
-15.30%891K
-16.10%542K
66.72%1.05M
412.70%646K
1,702.86%631K
--126K
--35K
----
Impairment and provisions:
-14.22%24.77M
-71.21%9.21M
150.48%28.88M
5,445.41%32M
-39.03%11.53M
82.59%577K
18,259.22%18.91M
-28.34%316K
134.09%103K
53.66%441K
-Impairment of trade receivables (reversal)
----
----
----
----
----
82.59%577K
----
-28.34%316K
134.09%103K
53.66%441K
-Other impairments and provisions
-14.22%24.77M
-71.21%9.21M
150.48%28.88M
--32M
-39.03%11.53M
----
--18.91M
----
----
----
Revaluation surplus:
105.88%316K
95.52%-265K
-331.05%-5.37M
0.17%-5.92M
115.57%2.33M
33.55%-5.93M
-295.55%-14.93M
7.09%-8.92M
-98.39%7.64M
-102.09%-9.61M
-Other fair value changes
105.88%316K
95.52%-265K
-331.05%-5.37M
0.17%-5.92M
115.57%2.33M
33.55%-5.93M
-295.55%-14.93M
7.09%-8.92M
-98.39%7.64M
-102.09%-9.61M
Asset sale loss (gain):
-215.63%-296K
-125.20%-64K
163.92%256K
2,053.85%254K
16.87%97K
-126.53%-13K
141.92%83K
--49K
-263.64%-198K
----
-Loss (gain) on sale of property, machinery and equipment
-215.63%-296K
-125.20%-64K
163.92%256K
2,053.85%254K
16.87%97K
-126.53%-13K
141.92%83K
--49K
-263.64%-198K
----
Depreciation and amortization:
-58.05%5.2M
-47.90%3.37M
-17.36%12.39M
-17.38%6.47M
22.23%15M
51.04%7.84M
31.19%12.27M
16.61%5.19M
-18.85%9.35M
-18.99%4.45M
-Amortization of intangible assets
-49.70%340K
-25.63%267K
-7.02%676K
-0.83%359K
42.55%727K
127.67%362K
58.39%510K
6.71%159K
5.57%322K
-10.78%149K
Financial expense
76.37%15.4M
229.95%6.92M
2,279.29%8.73M
--2.1M
3.97%367K
----
--353K
----
----
----
Exchange Loss (gain)
77.69%-351K
-112.81%-26K
-350.48%-1.57M
-78.81%203K
113.67%628K
119.73%958K
75.25%-4.59M
-185.21%-4.86M
-517.57%-18.56M
508.22%5.7M
Special items
-58.49%2.21M
-37.84%1.47M
-63.05%5.32M
-36.50%2.36M
-39.48%14.41M
-62.37%3.71M
-38.07%23.81M
-59.84%9.86M
33.61%38.44M
174.35%24.56M
Operating profit before the change of operating capital
-122.21%-11.91M
-122.76%-12.05M
1,961.14%53.64M
182.05%52.93M
-164.84%-2.88M
-217.68%-64.51M
108.06%4.45M
223.75%54.82M
-119.19%-55.16M
-149.90%-44.3M
Change of operating capital
Accounts receivable (increase)decrease
-189.41%-395.36M
-99.46%-347.87M
-16.53%-136.61M
-734.06%-174.41M
-1,302.69%-117.23M
21.14%-20.91M
-81.76%9.75M
-181.22%-26.52M
268.73%53.43M
-64.30%32.65M
Accounts payable increase (decrease)
425.66%109.5M
112.14%6.43M
-248.01%-33.63M
-373.55%-52.98M
-216.16%-9.66M
213.83%19.37M
-110.13%-3.06M
-128.68%-17.02M
-49.26%30.18M
-126.03%-7.44M
prepayments (increase)decrease
-85.14%-229.05M
-111.51%-8.26M
-8.84%-123.72M
769.72%71.8M
-6,960.12%-113.67M
71.66%8.26M
83.79%-1.61M
249.44%4.81M
87.14%-9.93M
-279.03%-3.22M
Special items for working capital changes
75.61%-13.94M
69.15%-15.25M
-187.34%-57.16M
-2,489.21%-49.43M
382.91%65.45M
-211.64%-1.91M
-252.92%-23.13M
-91.23%1.71M
7,589.11%15.13M
318.27%19.49M
Cash  from business operations
-81.78%-540.76M
-147.87%-377M
-67.13%-297.47M
-154.74%-152.1M
-1,208.09%-177.99M
-435.33%-59.71M
-140.44%-13.61M
732.76%17.81M
-85.85%33.65M
-101.41%-2.81M
Other taxs
58.77%-780K
---37K
5.31%-1.89M
----
---2M
---1.11M
----
----
----
----
Interest received - operating
101.24%4.56M
58.59%2.11M
-37.41%2.27M
-14.93%1.33M
124.00%3.62M
41.30%1.57M
0.62%1.62M
25.74%1.11M
-48.34%1.61M
-6.67%882K
Net cash from operations
-80.74%-536.98M
-148.68%-374.93M
-68.45%-297.1M
-154.44%-150.77M
-1,370.96%-176.37M
-413.26%-59.25M
-134.01%-11.99M
1,079.04%18.92M
-85.37%35.25M
-100.97%-1.93M
Cash flow from investment activities
Interest received - investment
-20.55%16.43M
331.62%7.89M
924.73%20.68M
550.53%1.83M
--2.02M
--281K
----
----
----
----
Restricted cash (increase) decrease
---6.4M
----
----
----
----
----
----
----
----
----
Loan receivable (increase) decrease
125.35%2.8M
-731.25%-4.04M
-1,143.40%-11.06M
113.62%640K
33.67%1.06M
---4.7M
--793K
----
----
----
Decrease in deposits (increase)
883.77%257.58M
707.54%157.96M
93.79%-32.86M
106.62%19.56M
-1,663.57%-529.07M
---295.3M
---30M
----
----
----
Sale of fixed assets
-21.89%389K
-71.25%115K
155.38%498K
185.71%400K
333.33%195K
-25.93%140K
-87.18%45K
6,200.00%189K
-75.12%351K
-90.00%3K
Purchase of fixed assets
-380.35%-1.1M
-457.40%-942K
66.91%-229K
67.12%-169K
92.83%-692K
84.60%-514K
-51.48%-9.65M
-218.11%-3.34M
-122.19%-6.37M
-141.15%-1.05M
Purchase of intangible assets
35.27%-134K
----
-13.74%-207K
---44K
86.16%-182K
----
-732.28%-1.32M
----
-75.56%-158K
---4K
Acquisition of subsidiaries
----
----
26.52%-1.65M
---1.63M
---2.24M
----
----
----
----
---19M
Recovery of cash from investments
-59.85%109.3M
-74.50%28.25M
-80.23%272.25M
-88.04%110.82M
-21.26%1.38B
-16.81%926.87M
-21.32%1.75B
-13.96%1.11B
-8.98%2.22B
50.56%1.29B
Cash on investment
86.53%-30.03M
82.45%-24.22M
71.15%-223M
76.00%-138M
51.59%-773M
43.11%-575M
31.20%-1.6B
27.51%-1.01B
24.30%-2.32B
19.77%-1.39B
Other items in the investment business
----
----
----
----
----
-30.36%13.86M
----
28.38%19.9M
----
207.19%15.5M
Net cash from investment operations
1,328.68%348.84M
2,601.82%165.02M
-67.47%24.42M
-110.05%-6.6M
-32.89%75.06M
-45.34%65.64M
206.94%111.84M
215.39%120.09M
83.29%-104.58M
88.08%-104.08M
Net cash before financing
31.00%-188.14M
-33.39%-209.91M
-169.15%-272.68M
-2,564.17%-157.36M
-201.46%-101.31M
-95.41%6.39M
244.03%99.85M
231.13%139.01M
81.98%-69.33M
84.26%-106.01M
Cash flow from financing activities
New borrowing
68.67%1.53B
87.36%724.19M
609.20%906.51M
--386.52M
--127.82M
----
----
--16M
----
----
Refund
-157.14%-1.37B
---540.48M
---531.85M
----
----
----
----
----
----
----
Interest paid - financing
-167.38%-15.22M
-304.58%-619K
-1,451.23%-5.69M
19.90%-153K
-3.97%-367K
-9.14%-191K
---353K
-236.54%-175K
----
---52K
Issuance expenses and redemption of securities expenses
----
----
----
----
----
----
---920K
---920K
----
----
Pledged bank deposit (increase) decrease
152.43%33.03M
90.43%-27.49M
---63M
---287.28M
----
----
----
----
----
----
Net cash from financing operations
-40.92%176.72M
60.31%153.26M
151.44%299.13M
2,052.70%95.6M
1,413.82%118.97M
-141.92%-4.9M
-36.06%-9.06M
419.59%11.68M
-102.19%-6.66M
-100.67%-3.65M
Effect of rate
-64.76%3.71M
-87.61%214K
30.35%10.54M
-66.95%1.73M
2,609.94%8.08M
50.87%5.23M
96.62%-322K
490.12%3.46M
-148.64%-9.53M
-93.02%587K
Net Cash
-143.19%-11.42M
8.29%-56.64M
49.80%26.45M
-4,244.83%-61.76M
-80.55%17.66M
-99.01%1.49M
219.49%90.79M
237.41%150.69M
5.47%-75.98M
15.66%-109.66M
Begining period cash
14.71%288.46M
14.71%288.46M
11.40%251.48M
11.40%251.48M
66.88%225.74M
66.88%225.74M
-38.73%135.27M
-38.73%135.27M
-21.59%220.78M
-21.59%220.78M
Cash at the end
-2.67%280.75M
21.20%232.03M
14.71%288.46M
-17.64%191.45M
11.40%251.48M
-19.68%232.46M
66.88%225.74M
159.10%289.42M
-38.73%135.27M
-30.16%111.7M
Cash balance analysis
Cash and bank balance
----
21.20%232.03M
----
--191.45M
----
----
----
159.10%289.42M
----
-30.16%111.7M
Cash and cash equivalent balance
----
21.20%232.03M
----
--191.45M
----
----
----
159.10%289.42M
----
-30.16%111.7M
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
Tianjian International Certified Public Accountants Co., Ltd.
--
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(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax -205.12%-37.2M-169.04%-19.53M230.29%35.38M144.36%28.28M-154.23%-27.16M-195.93%-63.76M84.84%-10.68M215.83%66.46M66.35%-70.46M84.94%-57.38M
Profit adjustment
Interest (income) - adjustment 21.60%-21.88M-3.30%-13.22M-143.45%-27.91M-252.94%-12.8M-361.37%-11.47M-227.05%-3.63M-54.64%-2.49M-25.74%-1.11M48.34%-1.61M6.67%-882K
Interest expense - adjustment --------------------9.14%191K----236.54%175K-----10.34%52K
Investment loss (gain) 9.07%-3.06M84.41%-87K65.20%-3.36M89.07%-558K48.91%-9.66M59.08%-5.1M4.95%-18.92M-7.18%-12.47M-3.81%-19.9M-130.55%-11.64M
Attributable subsidiary (profit) loss 233.33%2.97M-67.53%176K-15.30%891K-16.10%542K66.72%1.05M412.70%646K1,702.86%631K--126K--35K----
Impairment and provisions: -14.22%24.77M-71.21%9.21M150.48%28.88M5,445.41%32M-39.03%11.53M82.59%577K18,259.22%18.91M-28.34%316K134.09%103K53.66%441K
-Impairment of trade receivables (reversal) --------------------82.59%577K-----28.34%316K134.09%103K53.66%441K
-Other impairments and provisions -14.22%24.77M-71.21%9.21M150.48%28.88M--32M-39.03%11.53M------18.91M------------
Revaluation surplus: 105.88%316K95.52%-265K-331.05%-5.37M0.17%-5.92M115.57%2.33M33.55%-5.93M-295.55%-14.93M7.09%-8.92M-98.39%7.64M-102.09%-9.61M
-Other fair value changes 105.88%316K95.52%-265K-331.05%-5.37M0.17%-5.92M115.57%2.33M33.55%-5.93M-295.55%-14.93M7.09%-8.92M-98.39%7.64M-102.09%-9.61M
Asset sale loss (gain): -215.63%-296K-125.20%-64K163.92%256K2,053.85%254K16.87%97K-126.53%-13K141.92%83K--49K-263.64%-198K----
-Loss (gain) on sale of property, machinery and equipment -215.63%-296K-125.20%-64K163.92%256K2,053.85%254K16.87%97K-126.53%-13K141.92%83K--49K-263.64%-198K----
Depreciation and amortization: -58.05%5.2M-47.90%3.37M-17.36%12.39M-17.38%6.47M22.23%15M51.04%7.84M31.19%12.27M16.61%5.19M-18.85%9.35M-18.99%4.45M
-Amortization of intangible assets -49.70%340K-25.63%267K-7.02%676K-0.83%359K42.55%727K127.67%362K58.39%510K6.71%159K5.57%322K-10.78%149K
Financial expense 76.37%15.4M229.95%6.92M2,279.29%8.73M--2.1M3.97%367K------353K------------
Exchange Loss (gain) 77.69%-351K-112.81%-26K-350.48%-1.57M-78.81%203K113.67%628K119.73%958K75.25%-4.59M-185.21%-4.86M-517.57%-18.56M508.22%5.7M
Special items -58.49%2.21M-37.84%1.47M-63.05%5.32M-36.50%2.36M-39.48%14.41M-62.37%3.71M-38.07%23.81M-59.84%9.86M33.61%38.44M174.35%24.56M
Operating profit before the change of operating capital -122.21%-11.91M-122.76%-12.05M1,961.14%53.64M182.05%52.93M-164.84%-2.88M-217.68%-64.51M108.06%4.45M223.75%54.82M-119.19%-55.16M-149.90%-44.3M
Change of operating capital
Accounts receivable (increase)decrease -189.41%-395.36M-99.46%-347.87M-16.53%-136.61M-734.06%-174.41M-1,302.69%-117.23M21.14%-20.91M-81.76%9.75M-181.22%-26.52M268.73%53.43M-64.30%32.65M
Accounts payable increase (decrease) 425.66%109.5M112.14%6.43M-248.01%-33.63M-373.55%-52.98M-216.16%-9.66M213.83%19.37M-110.13%-3.06M-128.68%-17.02M-49.26%30.18M-126.03%-7.44M
prepayments (increase)decrease -85.14%-229.05M-111.51%-8.26M-8.84%-123.72M769.72%71.8M-6,960.12%-113.67M71.66%8.26M83.79%-1.61M249.44%4.81M87.14%-9.93M-279.03%-3.22M
Special items for working capital changes 75.61%-13.94M69.15%-15.25M-187.34%-57.16M-2,489.21%-49.43M382.91%65.45M-211.64%-1.91M-252.92%-23.13M-91.23%1.71M7,589.11%15.13M318.27%19.49M
Cash  from business operations -81.78%-540.76M-147.87%-377M-67.13%-297.47M-154.74%-152.1M-1,208.09%-177.99M-435.33%-59.71M-140.44%-13.61M732.76%17.81M-85.85%33.65M-101.41%-2.81M
Other taxs 58.77%-780K---37K5.31%-1.89M-------2M---1.11M----------------
Interest received - operating 101.24%4.56M58.59%2.11M-37.41%2.27M-14.93%1.33M124.00%3.62M41.30%1.57M0.62%1.62M25.74%1.11M-48.34%1.61M-6.67%882K
Net cash from operations -80.74%-536.98M-148.68%-374.93M-68.45%-297.1M-154.44%-150.77M-1,370.96%-176.37M-413.26%-59.25M-134.01%-11.99M1,079.04%18.92M-85.37%35.25M-100.97%-1.93M
Cash flow from investment activities
Interest received - investment -20.55%16.43M331.62%7.89M924.73%20.68M550.53%1.83M--2.02M--281K----------------
Restricted cash (increase) decrease ---6.4M------------------------------------
Loan receivable (increase) decrease 125.35%2.8M-731.25%-4.04M-1,143.40%-11.06M113.62%640K33.67%1.06M---4.7M--793K------------
Decrease in deposits (increase) 883.77%257.58M707.54%157.96M93.79%-32.86M106.62%19.56M-1,663.57%-529.07M---295.3M---30M------------
Sale of fixed assets -21.89%389K-71.25%115K155.38%498K185.71%400K333.33%195K-25.93%140K-87.18%45K6,200.00%189K-75.12%351K-90.00%3K
Purchase of fixed assets -380.35%-1.1M-457.40%-942K66.91%-229K67.12%-169K92.83%-692K84.60%-514K-51.48%-9.65M-218.11%-3.34M-122.19%-6.37M-141.15%-1.05M
Purchase of intangible assets 35.27%-134K-----13.74%-207K---44K86.16%-182K-----732.28%-1.32M-----75.56%-158K---4K
Acquisition of subsidiaries --------26.52%-1.65M---1.63M---2.24M-------------------19M
Recovery of cash from investments -59.85%109.3M-74.50%28.25M-80.23%272.25M-88.04%110.82M-21.26%1.38B-16.81%926.87M-21.32%1.75B-13.96%1.11B-8.98%2.22B50.56%1.29B
Cash on investment 86.53%-30.03M82.45%-24.22M71.15%-223M76.00%-138M51.59%-773M43.11%-575M31.20%-1.6B27.51%-1.01B24.30%-2.32B19.77%-1.39B
Other items in the investment business ---------------------30.36%13.86M----28.38%19.9M----207.19%15.5M
Net cash from investment operations 1,328.68%348.84M2,601.82%165.02M-67.47%24.42M-110.05%-6.6M-32.89%75.06M-45.34%65.64M206.94%111.84M215.39%120.09M83.29%-104.58M88.08%-104.08M
Net cash before financing 31.00%-188.14M-33.39%-209.91M-169.15%-272.68M-2,564.17%-157.36M-201.46%-101.31M-95.41%6.39M244.03%99.85M231.13%139.01M81.98%-69.33M84.26%-106.01M
Cash flow from financing activities
New borrowing 68.67%1.53B87.36%724.19M609.20%906.51M--386.52M--127.82M----------16M--------
Refund -157.14%-1.37B---540.48M---531.85M----------------------------
Interest paid - financing -167.38%-15.22M-304.58%-619K-1,451.23%-5.69M19.90%-153K-3.97%-367K-9.14%-191K---353K-236.54%-175K-------52K
Issuance expenses and redemption of securities expenses ---------------------------920K---920K--------
Pledged bank deposit (increase) decrease 152.43%33.03M90.43%-27.49M---63M---287.28M------------------------
Net cash from financing operations -40.92%176.72M60.31%153.26M151.44%299.13M2,052.70%95.6M1,413.82%118.97M-141.92%-4.9M-36.06%-9.06M419.59%11.68M-102.19%-6.66M-100.67%-3.65M
Effect of rate -64.76%3.71M-87.61%214K30.35%10.54M-66.95%1.73M2,609.94%8.08M50.87%5.23M96.62%-322K490.12%3.46M-148.64%-9.53M-93.02%587K
Net Cash -143.19%-11.42M8.29%-56.64M49.80%26.45M-4,244.83%-61.76M-80.55%17.66M-99.01%1.49M219.49%90.79M237.41%150.69M5.47%-75.98M15.66%-109.66M
Begining period cash 14.71%288.46M14.71%288.46M11.40%251.48M11.40%251.48M66.88%225.74M66.88%225.74M-38.73%135.27M-38.73%135.27M-21.59%220.78M-21.59%220.78M
Cash at the end -2.67%280.75M21.20%232.03M14.71%288.46M-17.64%191.45M11.40%251.48M-19.68%232.46M66.88%225.74M159.10%289.42M-38.73%135.27M-30.16%111.7M
Cash balance analysis
Cash and bank balance ----21.20%232.03M------191.45M------------159.10%289.42M-----30.16%111.7M
Cash and cash equivalent balance ----21.20%232.03M------191.45M------------159.10%289.42M-----30.16%111.7M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --------Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Tianjian International Certified Public Accountants Co., Ltd.--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.