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02142 HBM HOLDINGS-B

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  • 8.990
  • +0.550+6.52%
Market Closed May 9 16:08 CST
7.49BMarket Cap345.77P/E (TTM)

HBM HOLDINGS-B 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
-83.52%3.74M
-40.61%1.72M
116.55%22.68M
103.98%2.9M
0.59%-137.02M
-18.27%-72.85M
53.54%-137.83M
-27.17%-61.6M
-338.89%-296.64M
-28.89%-48.44M
Profit adjustment
Interest (income) - adjustment
-20.61%-6.78M
-15.36%-3.14M
-96.23%-5.62M
-141.10%-2.72M
-26.31%-2.87M
-33.14%-1.13M
-174.70%-2.27M
-184.56%-848K
-24.77%-826K
-21.14%-298K
Impairment and provisions:
-8.15%462K
----
--503K
----
----
----
----
----
-166.67%-100K
----
-Impairment of trade receivables (reversal)
--462K
----
----
----
----
----
----
----
-166.67%-100K
----
-Other impairments and provisions
----
----
--503K
----
----
----
----
----
----
----
Revaluation surplus:
-491.90%-1.98M
----
148.70%506K
----
-461.62%-1.04M
-11,325.00%-914K
---185K
---8K
----
----
-Other fair value changes
-491.90%-1.98M
----
148.70%506K
----
-461.62%-1.04M
-11,325.00%-914K
---185K
---8K
----
----
Asset sale loss (gain):
23.53%-13K
----
-100.14%-17K
81.90%-21K
--12.35M
---116K
----
----
----
----
-Loss (gain) on sale of property, machinery and equipment
----
----
-99.98%3K
----
--12.54M
----
----
----
----
----
-Loss (gain) from selling other assets
35.00%-13K
----
89.07%-20K
81.90%-21K
---183K
---116K
----
----
----
----
Depreciation and amortization:
-37.70%2.89M
-27.87%1.77M
-42.36%4.63M
-49.77%2.45M
18.01%8.04M
62.43%4.89M
20.96%6.81M
2.24%3.01M
23.55%5.63M
56.07%2.94M
-Amortization of intangible assets
-81.67%101K
-81.40%56K
-10.84%551K
-1.95%301K
141.41%618K
186.92%307K
-51.88%256K
-61.09%107K
13.92%532K
25.57%275K
Financial expense
-9.48%3.51M
-33.57%1.56M
94.87%3.87M
308.89%2.35M
1,028.98%1.99M
1,371.79%574K
-37.14%176K
-83.40%39K
31.46%280K
245.59%235K
Exchange Loss (gain)
-221.76%-1.04M
-110.14%-191K
-84.19%850K
-48.20%1.88M
878.00%5.38M
1,104.14%3.64M
64.56%-691K
-171.12%-362K
-1,350.00%-1.95M
1,554.29%509K
Special items
-69.80%1.19M
-76.86%662K
-31.62%3.94M
-58.44%2.86M
-29.38%5.76M
41.50%6.88M
-96.74%8.16M
-85.33%4.87M
1,771.91%250.59M
599.92%33.16M
Operating profit before the change of operating capital
-93.72%1.97M
-75.44%2.38M
129.18%31.34M
116.44%9.71M
14.64%-107.41M
-7.52%-59.03M
-192.54%-125.83M
-361.91%-54.9M
13.61%-43.01M
61.86%-11.89M
Change of operating capital
Inventory (increase) decrease
-327.39%-2.37M
-1,500.00%-616K
200.00%1.04M
--44K
---1.04M
----
----
----
----
----
Accounts receivable (increase)decrease
194.91%42.9M
96,062.26%50.86M
-537.37%-45.2M
23.19%-53K
-786.45%-7.09M
94.21%-69K
88.16%1.03M
-194.60%-1.19M
138.36%549K
9,584.62%1.26M
Accounts payable increase (decrease)
-242.36%-11.83M
-32.84%-11.04M
61.44%-3.45M
-187.18%-8.31M
-167.51%-8.96M
211.42%9.53M
20.27%13.27M
-55.49%-8.56M
129.86%11.03M
-190.93%-5.5M
prepayments (increase)decrease
101.68%47K
-39.88%692K
-124.46%-2.81M
-85.78%1.15M
182.82%11.47M
242.88%8.09M
-1,462.53%-13.84M
-3,193.60%-5.67M
72.37%-886K
-115.54%-172K
Special items for working capital changes
9,580.00%474K
119.21%127K
-100.04%-5K
-121.07%-661K
5,686.32%13.07M
-260.24%-299K
92.37%-234K
96.85%-83K
-189.32%-3.07M
-813.24%-2.64M
Cash  from business operations
263.51%31.18M
2,160.55%42.41M
80.92%-19.07M
104.49%1.88M
20.42%-99.96M
40.66%-41.77M
-254.95%-125.61M
-271.68%-70.4M
23.39%-35.39M
19.84%-18.94M
Other taxs
-916.00%-508K
---328K
---50K
----
----
----
---2K
---2K
----
----
Net cash from operations
260.42%30.68M
2,143.07%42.08M
80.87%-19.12M
104.49%1.88M
20.42%-99.96M
40.66%-41.77M
-254.96%-125.61M
-271.69%-70.4M
23.42%-35.39M
19.89%-18.94M
Cash flow from investment activities
Interest received - investment
20.61%6.78M
15.36%3.14M
96.23%5.62M
141.10%2.72M
26.31%2.87M
33.14%1.13M
174.70%2.27M
194.44%848K
43.40%826K
17.07%288K
Decrease in deposits (increase)
----
----
-93.33%10M
----
350.00%150M
178.57%110M
36.17%-60M
-833.33%-140M
-1,144.44%-94M
-250.00%-15M
Sale of fixed assets
-99.95%7K
-99.96%5K
372.58%14.94M
--13.78M
--3.16M
----
----
----
----
----
Purchase of fixed assets
92.70%-175K
94.36%-87K
86.62%-2.4M
86.91%-1.54M
-33.19%-17.92M
-1,577.10%-11.79M
-2,768.02%-13.45M
-266.15%-703K
96.38%-469K
97.99%-192K
Purchase of intangible assets
27.71%-60K
84.93%-11K
84.10%-83K
79.20%-73K
30.49%-522K
-90.76%-351K
-460.45%-751K
-636.00%-184K
41.99%-134K
59.02%-25K
Recovery of cash from investments
----
----
----
----
----
----
-61.36%153K
-61.36%153K
-31.84%396K
--396K
Cash on investment
----
----
----
----
----
----
-3,248.37%-5.12M
-347.43%-5.06M
73.67%-153K
-94.49%-1.13M
Net cash from investment operations
-76.66%6.56M
-79.53%3.05M
-79.59%28.09M
-84.97%14.88M
278.91%137.59M
168.29%98.99M
17.78%-76.9M
-825.38%-144.94M
-2,497.45%-93.53M
-31,426.00%-15.66M
Net cash before financing
315.29%37.23M
169.29%45.13M
-76.17%8.97M
-70.71%16.76M
118.58%37.63M
126.57%57.22M
-57.08%-202.51M
-522.32%-215.34M
-158.84%-128.92M
-46.67%-34.6M
Cash flow from financing activities
New borrowing
190.23%33.16M
273.45%5.65M
-85.26%11.43M
-96.61%1.51M
543.61%77.49M
--44.63M
--12.04M
----
----
----
Refund
-8.27%-38.12M
8.31%-5.11M
-2,504.36%-35.21M
-1,557.44%-5.57M
---1.35M
---336K
----
----
16.67%350K
--250K
Issuing shares
----
----
----
----
----
----
----
----
1,014.32%367.73M
--76M
Interest paid - financing
5.40%-3.52M
28.68%-1.57M
-59.05%-3.73M
-180.97%-2.2M
-1,336.81%-2.34M
-1,907.69%-783K
-64.65%-163K
29.09%-39K
30.28%-99K
19.12%-55K
Issuance expenses and redemption of securities expenses
-81.92%-644K
----
---354K
----
----
----
----
----
-12,732.39%-9.11M
---180K
Other items of the financing business
----
----
----
----
90.72%-753K
---753K
---8.12M
----
----
----
Net cash from financing operations
64.87%-10.24M
77.00%-1.6M
-141.29%-29.14M
-116.60%-6.97M
4,341.47%70.58M
7,740.80%41.95M
-99.56%1.59M
-100.72%-549K
1,017.30%357.86M
14,309.38%75.74M
Effect of rate
58.69%-497K
62.44%-811K
57.04%-1.2M
17.34%-2.16M
-746.65%-2.8M
-2,276.67%-2.61M
-6.68%433K
242.86%120K
480.33%464K
-740.00%-84K
Net Cash
233.78%26.99M
344.45%43.53M
-118.65%-20.18M
-90.12%9.79M
153.85%108.2M
145.93%99.16M
-187.76%-200.92M
-624.86%-215.89M
1,387.69%228.94M
270.50%41.13M
Begining period cash
-13.22%140.32M
-13.22%140.32M
187.20%161.71M
187.20%161.71M
-78.07%56.3M
-78.07%56.3M
837.51%256.79M
837.51%256.79M
-39.52%27.39M
-39.52%27.39M
Cash at the end
18.88%166.82M
8.09%183.04M
-13.22%140.32M
10.78%169.34M
187.20%161.71M
272.60%152.86M
-78.07%56.3M
-40.06%41.02M
837.51%256.79M
223.49%68.44M
Cash balance analysis
Cash and bank balance
----
----
----
----
----
----
----
214.20%281.02M
968.53%356.79M
241.94%89.44M
Cash and cash equivalent balance
----
----
----
----
----
----
----
214.20%281.02M
968.53%356.79M
241.94%89.44M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
--
--
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 -83.52%3.74M-40.61%1.72M116.55%22.68M103.98%2.9M0.59%-137.02M-18.27%-72.85M53.54%-137.83M-27.17%-61.6M-338.89%-296.64M-28.89%-48.44M
Profit adjustment
Interest (income) - adjustment -20.61%-6.78M-15.36%-3.14M-96.23%-5.62M-141.10%-2.72M-26.31%-2.87M-33.14%-1.13M-174.70%-2.27M-184.56%-848K-24.77%-826K-21.14%-298K
Impairment and provisions: -8.15%462K------503K---------------------166.67%-100K----
-Impairment of trade receivables (reversal) --462K-----------------------------166.67%-100K----
-Other impairments and provisions ----------503K----------------------------
Revaluation surplus: -491.90%-1.98M----148.70%506K-----461.62%-1.04M-11,325.00%-914K---185K---8K--------
-Other fair value changes -491.90%-1.98M----148.70%506K-----461.62%-1.04M-11,325.00%-914K---185K---8K--------
Asset sale loss (gain): 23.53%-13K-----100.14%-17K81.90%-21K--12.35M---116K----------------
-Loss (gain) on sale of property, machinery and equipment ---------99.98%3K------12.54M--------------------
-Loss (gain) from selling other assets 35.00%-13K----89.07%-20K81.90%-21K---183K---116K----------------
Depreciation and amortization: -37.70%2.89M-27.87%1.77M-42.36%4.63M-49.77%2.45M18.01%8.04M62.43%4.89M20.96%6.81M2.24%3.01M23.55%5.63M56.07%2.94M
-Amortization of intangible assets -81.67%101K-81.40%56K-10.84%551K-1.95%301K141.41%618K186.92%307K-51.88%256K-61.09%107K13.92%532K25.57%275K
Financial expense -9.48%3.51M-33.57%1.56M94.87%3.87M308.89%2.35M1,028.98%1.99M1,371.79%574K-37.14%176K-83.40%39K31.46%280K245.59%235K
Exchange Loss (gain) -221.76%-1.04M-110.14%-191K-84.19%850K-48.20%1.88M878.00%5.38M1,104.14%3.64M64.56%-691K-171.12%-362K-1,350.00%-1.95M1,554.29%509K
Special items -69.80%1.19M-76.86%662K-31.62%3.94M-58.44%2.86M-29.38%5.76M41.50%6.88M-96.74%8.16M-85.33%4.87M1,771.91%250.59M599.92%33.16M
Operating profit before the change of operating capital -93.72%1.97M-75.44%2.38M129.18%31.34M116.44%9.71M14.64%-107.41M-7.52%-59.03M-192.54%-125.83M-361.91%-54.9M13.61%-43.01M61.86%-11.89M
Change of operating capital
Inventory (increase) decrease -327.39%-2.37M-1,500.00%-616K200.00%1.04M--44K---1.04M--------------------
Accounts receivable (increase)decrease 194.91%42.9M96,062.26%50.86M-537.37%-45.2M23.19%-53K-786.45%-7.09M94.21%-69K88.16%1.03M-194.60%-1.19M138.36%549K9,584.62%1.26M
Accounts payable increase (decrease) -242.36%-11.83M-32.84%-11.04M61.44%-3.45M-187.18%-8.31M-167.51%-8.96M211.42%9.53M20.27%13.27M-55.49%-8.56M129.86%11.03M-190.93%-5.5M
prepayments (increase)decrease 101.68%47K-39.88%692K-124.46%-2.81M-85.78%1.15M182.82%11.47M242.88%8.09M-1,462.53%-13.84M-3,193.60%-5.67M72.37%-886K-115.54%-172K
Special items for working capital changes 9,580.00%474K119.21%127K-100.04%-5K-121.07%-661K5,686.32%13.07M-260.24%-299K92.37%-234K96.85%-83K-189.32%-3.07M-813.24%-2.64M
Cash  from business operations 263.51%31.18M2,160.55%42.41M80.92%-19.07M104.49%1.88M20.42%-99.96M40.66%-41.77M-254.95%-125.61M-271.68%-70.4M23.39%-35.39M19.84%-18.94M
Other taxs -916.00%-508K---328K---50K---------------2K---2K--------
Net cash from operations 260.42%30.68M2,143.07%42.08M80.87%-19.12M104.49%1.88M20.42%-99.96M40.66%-41.77M-254.96%-125.61M-271.69%-70.4M23.42%-35.39M19.89%-18.94M
Cash flow from investment activities
Interest received - investment 20.61%6.78M15.36%3.14M96.23%5.62M141.10%2.72M26.31%2.87M33.14%1.13M174.70%2.27M194.44%848K43.40%826K17.07%288K
Decrease in deposits (increase) ---------93.33%10M----350.00%150M178.57%110M36.17%-60M-833.33%-140M-1,144.44%-94M-250.00%-15M
Sale of fixed assets -99.95%7K-99.96%5K372.58%14.94M--13.78M--3.16M--------------------
Purchase of fixed assets 92.70%-175K94.36%-87K86.62%-2.4M86.91%-1.54M-33.19%-17.92M-1,577.10%-11.79M-2,768.02%-13.45M-266.15%-703K96.38%-469K97.99%-192K
Purchase of intangible assets 27.71%-60K84.93%-11K84.10%-83K79.20%-73K30.49%-522K-90.76%-351K-460.45%-751K-636.00%-184K41.99%-134K59.02%-25K
Recovery of cash from investments -------------------------61.36%153K-61.36%153K-31.84%396K--396K
Cash on investment -------------------------3,248.37%-5.12M-347.43%-5.06M73.67%-153K-94.49%-1.13M
Net cash from investment operations -76.66%6.56M-79.53%3.05M-79.59%28.09M-84.97%14.88M278.91%137.59M168.29%98.99M17.78%-76.9M-825.38%-144.94M-2,497.45%-93.53M-31,426.00%-15.66M
Net cash before financing 315.29%37.23M169.29%45.13M-76.17%8.97M-70.71%16.76M118.58%37.63M126.57%57.22M-57.08%-202.51M-522.32%-215.34M-158.84%-128.92M-46.67%-34.6M
Cash flow from financing activities
New borrowing 190.23%33.16M273.45%5.65M-85.26%11.43M-96.61%1.51M543.61%77.49M--44.63M--12.04M------------
Refund -8.27%-38.12M8.31%-5.11M-2,504.36%-35.21M-1,557.44%-5.57M---1.35M---336K--------16.67%350K--250K
Issuing shares --------------------------------1,014.32%367.73M--76M
Interest paid - financing 5.40%-3.52M28.68%-1.57M-59.05%-3.73M-180.97%-2.2M-1,336.81%-2.34M-1,907.69%-783K-64.65%-163K29.09%-39K30.28%-99K19.12%-55K
Issuance expenses and redemption of securities expenses -81.92%-644K-------354K---------------------12,732.39%-9.11M---180K
Other items of the financing business ----------------90.72%-753K---753K---8.12M------------
Net cash from financing operations 64.87%-10.24M77.00%-1.6M-141.29%-29.14M-116.60%-6.97M4,341.47%70.58M7,740.80%41.95M-99.56%1.59M-100.72%-549K1,017.30%357.86M14,309.38%75.74M
Effect of rate 58.69%-497K62.44%-811K57.04%-1.2M17.34%-2.16M-746.65%-2.8M-2,276.67%-2.61M-6.68%433K242.86%120K480.33%464K-740.00%-84K
Net Cash 233.78%26.99M344.45%43.53M-118.65%-20.18M-90.12%9.79M153.85%108.2M145.93%99.16M-187.76%-200.92M-624.86%-215.89M1,387.69%228.94M270.50%41.13M
Begining period cash -13.22%140.32M-13.22%140.32M187.20%161.71M187.20%161.71M-78.07%56.3M-78.07%56.3M837.51%256.79M837.51%256.79M-39.52%27.39M-39.52%27.39M
Cash at the end 18.88%166.82M8.09%183.04M-13.22%140.32M10.78%169.34M187.20%161.71M272.60%152.86M-78.07%56.3M-40.06%41.02M837.51%256.79M223.49%68.44M
Cash balance analysis
Cash and bank balance ----------------------------214.20%281.02M968.53%356.79M241.94%89.44M
Cash and cash equivalent balance ----------------------------214.20%281.02M968.53%356.79M241.94%89.44M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ----Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor ----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.