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01991 TA YANG GROUP

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  • 0.081
  • +0.004+5.19%
Not Open May 7 16:08 CST
106.39MMarket Cap-1.69P/E (TTM)

TA YANG GROUP 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
38.15%-52.33M
----
12.61%-84.6M
----
-4.33%-96.81M
----
2.31%-92.79M
----
-14.31%-94.99M
----
Profit adjustment
Interest (income) - adjustment
-29.47%-8.02M
----
-13.70%-6.19M
----
-4,515.25%-5.45M
----
0.84%-118K
----
98.49%-119K
----
Dividend (income)- adjustment
66.49%-65K
----
2.02%-194K
----
-47.76%-198K
----
-139.29%-134K
----
76.07%-56K
----
Attributable subsidiary (profit) loss
----
----
----
----
401.40%1.07M
----
120.62%214K
----
-94.54%97K
----
Impairment and provisions:
435.91%23.3M
----
-79.11%4.35M
----
-11.54%20.81M
----
-36.41%23.53M
----
845.65%36.99M
----
-Impairmen of inventory (reversal)
----
----
----
----
--2K
----
----
----
-102.36%-20K
----
-Impairment of trade receivables (reversal)
----
----
----
----
----
----
-54.72%4.56M
----
228.66%10.07M
----
-Impairment of goodwill
----
----
----
----
----
----
----
----
--8.01M
----
-Other impairments and provisions
435.91%23.3M
----
-79.11%4.35M
----
9.70%20.81M
----
0.15%18.97M
----
--18.94M
----
Revaluation surplus:
--5M
----
----
----
---8.78M
----
----
----
97.73%-327K
----
-Fair value of investment properties (increase)
--5M
----
----
----
---8.8M
----
----
----
97.88%-315K
----
-Other fair value changes
----
----
----
----
--24K
----
----
----
-102.58%-12K
----
Asset sale loss (gain):
63.97%-8.93M
----
-338.29%-24.79M
----
85.41%-5.66M
----
-2,174.21%-38.77M
----
105.20%1.87M
----
-Loss (gain) from sale of subsidiary company
27.64%6.14M
----
-25.84%4.81M
----
--6.49M
----
----
----
----
----
-Loss (gain) on sale of property, machinery and equipment
47.41%-15.57M
----
-143.75%-29.61M
----
-65.70%-12.15M
----
-492.82%-7.33M
----
117.20%1.87M
----
-Loss (gain) from selling other assets
--495K
----
----
----
----
----
-1,048,000.00%-31.44M
----
100.02%3K
----
Depreciation and amortization:
-2.88%28.78M
----
-6.10%29.64M
----
-3.00%31.56M
----
24.78%32.54M
----
-31.78%26.08M
----
-Other depreciation and amortization
1.52%-130K
----
6.38%-132K
----
2.76%-141K
----
40.08%-145K
----
-106.83%-242K
----
Financial expense
-7.42%28.28M
----
9.15%30.55M
----
22.67%27.99M
----
7.94%22.82M
----
-25.37%21.14M
----
Special items
-195.09%-7.09M
----
-636.61%-2.4M
----
108.44%448K
----
-214.34%-5.31M
----
39.13%-1.69M
----
Adjustment items
1.52%-130K
----
6.38%-132K
----
2.76%-141K
----
40.08%-145K
----
-7.08%-242K
----
Operating profit before the change of operating capital
116.35%8.8M
----
-53.03%-53.79M
----
39.58%-35.15M
----
-417.20%-58.17M
----
84.46%-11.25M
----
Change of operating capital
Inventory (increase) decrease
-89.21%2.41M
----
368.62%22.33M
----
116.68%4.76M
----
-884.09%-28.57M
----
-121.00%-2.9M
----
Accounts receivable (increase)decrease
-101.43%-1.22M
----
14.53%85.52M
----
315.54%74.67M
----
-6.96%-34.64M
----
-47.27%-32.39M
----
Accounts payable increase (decrease)
54.43%-24.09M
----
-4.69%-52.86M
----
-182.84%-50.49M
----
-5.33%60.95M
----
127.16%64.38M
----
Special items for working capital changes
----
----
----
----
----
----
266.22%1.61M
----
---968K
----
Cash  from business operations
-1,268.85%-14.11M
----
119.47%1.21M
----
89.46%-6.2M
----
-448.65%-58.83M
----
132.32%16.87M
----
Other taxs
-26.52%-2.91M
----
-1,399.44%-2.3M
----
101.06%177K
----
-814.93%-16.67M
----
--2.33M
----
Special items of business
----
-430.11%-35.8M
----
116.04%10.84M
----
-1,151.14%-67.6M
----
62.79%-5.4M
----
61.69%-14.52M
Net cash from operations
-1,457.00%-17.02M
-430.11%-35.8M
81.85%-1.09M
116.04%10.84M
92.02%-6.02M
-1,151.14%-67.6M
-493.12%-75.49M
62.79%-5.4M
132.52%19.2M
61.69%-14.52M
Cash flow from investment activities
Interest received - investment
-27.54%50K
----
-12.66%69K
----
-33.05%79K
----
-0.84%118K
----
-87.82%119K
----
Dividend received - investment
-66.49%65K
----
-2.02%194K
----
47.76%198K
----
139.29%134K
----
-76.07%56K
----
Loan receivable (increase) decrease
-9.09%-19.51M
----
61.21%-17.88M
----
---46.1M
----
----
----
----
----
Decrease in deposits (increase)
----
----
----
----
----
----
----
----
200.00%1.11M
----
Sale of fixed assets
-47.37%35.51M
----
58.24%67.47M
----
11.72%42.64M
----
154.68%38.16M
----
-37.32%14.98M
----
Purchase of fixed assets
-140.71%-12.36M
----
4.05%-5.14M
----
48.68%-5.35M
----
51.83%-10.43M
----
25.68%-21.66M
----
Sale of subsidiaries
---1.67M
----
----
----
---80K
----
----
----
----
----
Acquisition of subsidiaries
101.80%230K
----
---12.75M
----
----
----
---2.38M
----
----
----
Recovery of cash from investments
----
----
----
----
----
----
107,420.39%110.75M
----
-99.88%103K
----
Cash on investment
-2,145.66%-11.12M
----
---495K
----
----
----
---5.89M
----
----
----
Other items in the investment business
----
-45.09%18.66M
----
359.41%33.98M
----
-53.69%7.4M
----
642.83%15.97M
----
-110.44%-2.94M
Net cash from investment operations
-127.98%-8.81M
-45.09%18.66M
465.05%31.47M
359.41%33.98M
-106.61%-8.62M
-53.69%7.4M
2,569.45%130.46M
642.83%15.97M
-118.48%-5.28M
-110.44%-2.94M
Net cash before financing
-185.02%-25.82M
-138.24%-17.14M
307.46%30.37M
174.45%44.82M
-126.63%-14.64M
-669.73%-60.2M
294.91%54.97M
160.51%10.57M
145.70%13.92M
-79.70%-17.46M
Cash flow from financing activities
New borrowing
79.88%67.16M
----
65.15%37.34M
----
-90.61%22.61M
----
173.80%240.66M
----
164.78%87.9M
----
Refund
45.44%-41.21M
----
-819.12%-75.52M
----
97.13%-8.22M
----
-101.80%-286.05M
----
-107.60%-141.75M
----
Issuing shares
----
----
--40M
----
----
----
--60.23M
----
----
----
Interest paid - financing
54.27%-8.34M
----
35.89%-18.24M
----
-33.28%-28.45M
----
-7.55%-21.34M
----
33.80%-19.85M
----
Other items of the financing business
2,031.13%6.78M
132.54%7.84M
-46.64%318K
-403.20%-24.09M
1,510.81%596K
-42.64%7.95M
-97.81%37K
175.39%13.85M
-46.29%1.69M
-265.14%-18.37M
Net cash from financing operations
111.54%3.41M
132.54%7.84M
0.86%-29.53M
-403.20%-24.09M
-50.64%-29.79M
-42.64%7.95M
75.66%-19.77M
175.39%13.85M
-31.19%-81.23M
-265.14%-18.37M
Effect of rate
98.84%6.32M
-96.74%217K
-64.13%3.18M
-72.13%6.65M
219.79%8.86M
547.09%23.85M
-276.88%-7.39M
-313.96%-5.33M
174.59%4.18M
-62.81%2.49M
Net Cash
-2,758.96%-22.42M
-144.87%-9.3M
101.90%843K
139.67%20.73M
-226.23%-44.43M
-314.00%-52.26M
152.29%35.2M
168.14%24.42M
27.13%-67.31M
-142.96%-35.84M
Begining period cash
16.74%28.02M
16.74%28.02M
-59.71%24.01M
-59.71%24.01M
87.51%59.58M
87.51%59.58M
-66.52%31.77M
-66.91%31.77M
-50.80%94.91M
-2.49%96.02M
Cash at the end
-57.45%11.92M
-63.14%18.94M
16.74%28.02M
64.84%51.38M
-59.71%24.01M
-38.71%31.17M
87.51%59.58M
-18.85%50.86M
-66.52%31.77M
-30.69%62.67M
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
--
--
--
Auditor
--
--
Pioneer Accountants Ltd
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
(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 38.15%-52.33M----12.61%-84.6M-----4.33%-96.81M----2.31%-92.79M-----14.31%-94.99M----
Profit adjustment
Interest (income) - adjustment -29.47%-8.02M-----13.70%-6.19M-----4,515.25%-5.45M----0.84%-118K----98.49%-119K----
Dividend (income)- adjustment 66.49%-65K----2.02%-194K-----47.76%-198K-----139.29%-134K----76.07%-56K----
Attributable subsidiary (profit) loss ----------------401.40%1.07M----120.62%214K-----94.54%97K----
Impairment and provisions: 435.91%23.3M-----79.11%4.35M-----11.54%20.81M-----36.41%23.53M----845.65%36.99M----
-Impairmen of inventory (reversal) ------------------2K-------------102.36%-20K----
-Impairment of trade receivables (reversal) -------------------------54.72%4.56M----228.66%10.07M----
-Impairment of goodwill ----------------------------------8.01M----
-Other impairments and provisions 435.91%23.3M-----79.11%4.35M----9.70%20.81M----0.15%18.97M------18.94M----
Revaluation surplus: --5M---------------8.78M------------97.73%-327K----
-Fair value of investment properties (increase) --5M---------------8.8M------------97.88%-315K----
-Other fair value changes ------------------24K-------------102.58%-12K----
Asset sale loss (gain): 63.97%-8.93M-----338.29%-24.79M----85.41%-5.66M-----2,174.21%-38.77M----105.20%1.87M----
-Loss (gain) from sale of subsidiary company 27.64%6.14M-----25.84%4.81M------6.49M--------------------
-Loss (gain) on sale of property, machinery and equipment 47.41%-15.57M-----143.75%-29.61M-----65.70%-12.15M-----492.82%-7.33M----117.20%1.87M----
-Loss (gain) from selling other assets --495K---------------------1,048,000.00%-31.44M----100.02%3K----
Depreciation and amortization: -2.88%28.78M-----6.10%29.64M-----3.00%31.56M----24.78%32.54M-----31.78%26.08M----
-Other depreciation and amortization 1.52%-130K----6.38%-132K----2.76%-141K----40.08%-145K-----106.83%-242K----
Financial expense -7.42%28.28M----9.15%30.55M----22.67%27.99M----7.94%22.82M-----25.37%21.14M----
Special items -195.09%-7.09M-----636.61%-2.4M----108.44%448K-----214.34%-5.31M----39.13%-1.69M----
Adjustment items 1.52%-130K----6.38%-132K----2.76%-141K----40.08%-145K-----7.08%-242K----
Operating profit before the change of operating capital 116.35%8.8M-----53.03%-53.79M----39.58%-35.15M-----417.20%-58.17M----84.46%-11.25M----
Change of operating capital
Inventory (increase) decrease -89.21%2.41M----368.62%22.33M----116.68%4.76M-----884.09%-28.57M-----121.00%-2.9M----
Accounts receivable (increase)decrease -101.43%-1.22M----14.53%85.52M----315.54%74.67M-----6.96%-34.64M-----47.27%-32.39M----
Accounts payable increase (decrease) 54.43%-24.09M-----4.69%-52.86M-----182.84%-50.49M-----5.33%60.95M----127.16%64.38M----
Special items for working capital changes ------------------------266.22%1.61M-------968K----
Cash  from business operations -1,268.85%-14.11M----119.47%1.21M----89.46%-6.2M-----448.65%-58.83M----132.32%16.87M----
Other taxs -26.52%-2.91M-----1,399.44%-2.3M----101.06%177K-----814.93%-16.67M------2.33M----
Special items of business -----430.11%-35.8M----116.04%10.84M-----1,151.14%-67.6M----62.79%-5.4M----61.69%-14.52M
Net cash from operations -1,457.00%-17.02M-430.11%-35.8M81.85%-1.09M116.04%10.84M92.02%-6.02M-1,151.14%-67.6M-493.12%-75.49M62.79%-5.4M132.52%19.2M61.69%-14.52M
Cash flow from investment activities
Interest received - investment -27.54%50K-----12.66%69K-----33.05%79K-----0.84%118K-----87.82%119K----
Dividend received - investment -66.49%65K-----2.02%194K----47.76%198K----139.29%134K-----76.07%56K----
Loan receivable (increase) decrease -9.09%-19.51M----61.21%-17.88M-------46.1M--------------------
Decrease in deposits (increase) --------------------------------200.00%1.11M----
Sale of fixed assets -47.37%35.51M----58.24%67.47M----11.72%42.64M----154.68%38.16M-----37.32%14.98M----
Purchase of fixed assets -140.71%-12.36M----4.05%-5.14M----48.68%-5.35M----51.83%-10.43M----25.68%-21.66M----
Sale of subsidiaries ---1.67M---------------80K--------------------
Acquisition of subsidiaries 101.80%230K-------12.75M---------------2.38M------------
Recovery of cash from investments ------------------------107,420.39%110.75M-----99.88%103K----
Cash on investment -2,145.66%-11.12M-------495K---------------5.89M------------
Other items in the investment business -----45.09%18.66M----359.41%33.98M-----53.69%7.4M----642.83%15.97M-----110.44%-2.94M
Net cash from investment operations -127.98%-8.81M-45.09%18.66M465.05%31.47M359.41%33.98M-106.61%-8.62M-53.69%7.4M2,569.45%130.46M642.83%15.97M-118.48%-5.28M-110.44%-2.94M
Net cash before financing -185.02%-25.82M-138.24%-17.14M307.46%30.37M174.45%44.82M-126.63%-14.64M-669.73%-60.2M294.91%54.97M160.51%10.57M145.70%13.92M-79.70%-17.46M
Cash flow from financing activities
New borrowing 79.88%67.16M----65.15%37.34M-----90.61%22.61M----173.80%240.66M----164.78%87.9M----
Refund 45.44%-41.21M-----819.12%-75.52M----97.13%-8.22M-----101.80%-286.05M-----107.60%-141.75M----
Issuing shares ----------40M--------------60.23M------------
Interest paid - financing 54.27%-8.34M----35.89%-18.24M-----33.28%-28.45M-----7.55%-21.34M----33.80%-19.85M----
Other items of the financing business 2,031.13%6.78M132.54%7.84M-46.64%318K-403.20%-24.09M1,510.81%596K-42.64%7.95M-97.81%37K175.39%13.85M-46.29%1.69M-265.14%-18.37M
Net cash from financing operations 111.54%3.41M132.54%7.84M0.86%-29.53M-403.20%-24.09M-50.64%-29.79M-42.64%7.95M75.66%-19.77M175.39%13.85M-31.19%-81.23M-265.14%-18.37M
Effect of rate 98.84%6.32M-96.74%217K-64.13%3.18M-72.13%6.65M219.79%8.86M547.09%23.85M-276.88%-7.39M-313.96%-5.33M174.59%4.18M-62.81%2.49M
Net Cash -2,758.96%-22.42M-144.87%-9.3M101.90%843K139.67%20.73M-226.23%-44.43M-314.00%-52.26M152.29%35.2M168.14%24.42M27.13%-67.31M-142.96%-35.84M
Begining period cash 16.74%28.02M16.74%28.02M-59.71%24.01M-59.71%24.01M87.51%59.58M87.51%59.58M-66.52%31.77M-66.91%31.77M-50.80%94.91M-2.49%96.02M
Cash at the end -57.45%11.92M-63.14%18.94M16.74%28.02M64.84%51.38M-59.71%24.01M-38.71%31.17M87.51%59.58M-18.85%50.86M-66.52%31.77M-30.69%62.67M
Cash balance analysis
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions ------------Unqualified Opinion------
Auditor ----Pioneer Accountants Ltd--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--

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.