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06098 CG SERVICES

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  • 6.740
  • -0.020-0.30%
Not Open May 9 16:08 CST
22.53BMarket Cap11.54P/E (TTM)

CG SERVICES Key Stats

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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
150.70%2.71B
----
-69.03%1.08B
----
-38.56%3.49B
----
52.70%5.67B
----
78.94%3.71B
----
Profit adjustment
Interest (income) - adjustment
-26.12%-48.16M
----
---38.18M
----
----
----
----
----
----
----
Dividend (income)- adjustment
54.47%-76.02M
----
-38.81%-166.94M
----
---120.27M
----
----
----
----
----
Investment loss (gain)
-77.30%11.56M
----
247.92%50.92M
----
16.89%-34.43M
----
-2.13%-41.42M
----
---40.56M
----
Impairment and provisions:
-32.93%990M
----
-16.63%1.48B
----
--1.77B
----
----
----
----
----
-Impairment of goodwill
-32.93%990M
----
-16.63%1.48B
----
--1.77B
----
----
----
----
----
Revaluation surplus:
-14,683.59%-513.58M
----
-101.38%-3.47M
----
188.39%252.38M
----
-53.41%-285.54M
----
-61.67%-186.13M
----
-Other fair value changes
-14,683.59%-513.58M
----
-101.38%-3.47M
----
188.39%252.38M
----
-53.41%-285.54M
----
-61.67%-186.13M
----
Asset sale loss (gain):
235.85%60.27M
----
-287.25%-44.36M
----
66.21%-11.46M
----
-5,712.58%-33.9M
----
556.52%604K
----
-Loss (gain) from sale of subsidiary company
155.72%38.59M
----
-181.52%-69.26M
----
12,504.60%84.96M
----
--674K
----
----
----
-Loss (gain) on sale of property, machinery and equipment
3.19%25.69M
----
133.64%24.89M
----
-114.06%-74.01M
----
-5,824.17%-34.57M
----
2,113.33%604K
----
-Loss (gain) from selling other assets
---4.01M
----
----
----
---22.4M
----
----
----
----
----
Depreciation and amortization:
3.30%1.99B
----
3.01%1.93B
----
69.10%1.87B
----
228.83%1.11B
----
125.67%336.09M
----
-Amortization of intangible assets
7.62%1.23B
----
-1.69%1.14B
----
112.52%1.16B
----
367.01%546.09M
----
163.43%116.93M
----
Financial expense
----
----
----
----
-26.28%72.13M
----
323.96%97.85M
----
---43.69M
----
Special items
117.42%49.47M
----
-631.41%-283.98M
----
-74.81%53.44M
----
-9.25%212.13M
----
1,528.69%233.75M
----
Operating profit before the change of operating capital
29.39%5.17B
----
-45.55%3.99B
----
9.06%7.34B
----
67.55%6.73B
----
98.31%4.01B
----
Change of operating capital
Inventory (increase) decrease
89.06%-26.88M
----
-315.44%-245.69M
----
-12.41%-59.14M
----
7.92%-52.61M
----
-1,039.98%-57.14M
----
Accounts receivable (increase)decrease
-673.01%-1.7B
----
105.32%296.81M
----
-120.00%-5.58B
----
-58.00%-2.53B
----
-71.00%-1.6B
----
Accounts payable increase (decrease)
95.54%1.46B
----
-70.91%746.34M
----
368.55%2.57B
----
-43.06%547.5M
----
-49.22%961.53M
----
Special items for working capital changes
-98.70%18.84M
----
55.59%1.45B
----
1,276.92%932.39M
----
-91.62%67.72M
----
39.80%807.7M
----
Cash  from business operations
-21.20%4.92B
-71.72%882.59M
20.10%6.24B
-7.52%3.12B
9.33%5.2B
173.07%3.37B
15.33%4.75B
41.87%1.24B
16.05%4.12B
-11.41%871.04M
Other taxs
35.74%-1.05B
34.08%-612.27M
13.26%-1.63B
9.65%-928.88M
-39.30%-1.88B
-40.32%-1.03B
-164.72%-1.35B
-222.65%-732.68M
-72.32%-508.98M
-89.60%-227.08M
Net cash from operations
-16.07%3.87B
-87.67%270.31M
38.95%4.61B
-6.58%2.19B
-2.53%3.32B
366.42%2.35B
-5.71%3.41B
-21.88%503.06M
10.94%3.61B
-25.42%643.96M
Cash flow from investment activities
Interest received - investment
-20.13%217.26M
-2.66%111.16M
90.61%272M
88.83%114.21M
15.81%142.7M
13.59%60.48M
-22.24%123.21M
-25.73%53.25M
68.11%158.45M
94.35%71.69M
Dividend received - investment
-51.82%84.39M
-60.72%56.44M
24.85%175.17M
122.99%143.67M
2,130.88%140.3M
1,150.08%64.43M
211.80%6.29M
--5.15M
-40.17%2.02M
----
Loan receivable (increase) decrease
----
----
158.73%300M
----
78.07%-510.85M
30.31%-510.85M
---2.33B
---732.98M
----
----
Decrease in deposits (increase)
---2.28B
----
----
----
----
----
----
----
----
----
Sale of fixed assets
140.49%244.1M
-83.03%3.57M
-54.85%101.5M
-87.19%21.05M
42.19%224.81M
353.73%164.25M
417.69%158.11M
2,342.71%36.2M
989.19%30.54M
-21.25%1.48M
Purchase of fixed assets
11.57%-610.29M
37.88%-206.81M
-0.87%-690.11M
10.28%-332.93M
-88.29%-684.13M
-495.88%-371.06M
-17.27%-363.34M
-20.34%-62.27M
-284.01%-309.83M
-72.19%-51.75M
Selling intangible assets
857.14%5.23M
----
-94.15%546K
----
-34.69%9.33M
--872K
--14.29M
----
----
----
Purchase of intangible assets
45.51%-136.54M
80.65%-26.88M
-18.50%-250.58M
-64.85%-138.94M
10.98%-211.46M
-364.79%-84.29M
-566.94%-237.55M
-159.58%-18.13M
-36.68%-35.62M
-28.92%-6.99M
Sale of subsidiaries
269.13%48.63M
-2,014.92%-31.2M
-602.89%-28.75M
---1.48M
--5.72M
----
----
----
99.87%-15K
----
Acquisition of subsidiaries
--19.34M
--8.88M
----
----
96.17%-638.26M
89.66%-505.68M
-450.02%-16.67B
-3,049.66%-4.89B
-940.52%-3.03B
13.79%-155.27M
Recovery of cash from investments
171.54%7.16B
-40.31%641.96M
-73.73%2.64B
-68.26%1.08B
117.74%10.03B
68.30%3.39B
136.33%4.61B
--2.01B
-12.07%1.95B
----
Cash on investment
-20.57%-3.06B
6.33%-952.95M
65.99%-2.54B
69.49%-1.02B
22.29%-7.47B
-5.32%-3.33B
-199.67%-9.61B
-226.91%-3.17B
5.96%-3.21B
3.64%-968.43M
Other items in the investment business
100.14%465K
----
-14.87%-329.59M
92.45%-10.77M
63.54%-286.92M
66.55%-142.52M
-317.98%-786.9M
-170.26%-426.12M
-50.74%-188.26M
---157.67M
Net cash from investment operations
576.35%1.69B
-169.22%-395.81M
-146.87%-354.1M
88.42%-147.02M
103.01%755.46M
82.34%-1.27B
-441.72%-25.09B
-467.31%-7.19B
-184.58%-4.63B
-7.20%-1.27B
Net cash before financing
30.49%5.56B
-106.14%-125.5M
4.51%4.26B
89.91%2.04B
118.80%4.08B
116.11%1.08B
-2,029.51%-21.68B
-972.99%-6.68B
-162.49%-1.02B
-95.72%-622.97M
Cash flow from financing activities
New borrowing
-59.16%337.57M
-61.31%195.43M
-49.36%826.47M
-47.02%505.11M
195.53%1.63B
431.51%953.35M
282.07%552.28M
--179.37M
--144.55M
----
Refund
27.91%-1.09B
38.67%-558.66M
-201.41%-1.51B
-330.80%-910.92M
-289.88%-501.14M
-64.50%-211.45M
---128.54M
---128.54M
----
----
Issuing shares
----
----
----
----
-99.99%1.88M
-99.99%1.88M
98.58%20.02B
271.44%13.31B
487.88%10.08B
113.35%3.58B
Interest paid - financing
28.11%-161.28M
31.47%-76.59M
-39.84%-224.33M
-29.71%-111.76M
-52.51%-160.42M
-351.71%-86.16M
-668.48%-105.19M
-891.37%-19.07M
-481.73%-13.69M
-288.69%-1.92M
Dividends paid - financing
13.09%-1.18B
-42.88%-22.13M
-52.99%-1.36B
-25.77%-15.49M
-27.60%-889.17M
-109.07%-12.31M
-61.27%-696.86M
56.82%-5.89M
-81.99%-432.11M
-34.04%-13.64M
Absorb investment income
243.00%40.63M
282.70%14.13M
-61.37%11.85M
-71.16%3.69M
241.38%30.67M
422.73%12.81M
-82.58%8.98M
-91.42%2.45M
119.52%51.56M
104.52%28.55M
Issuance expenses and redemption of securities expenses
-104.59%-545.44M
----
93.89%-266.6M
----
-634.23%-4.36B
---4.33B
---594.07M
----
----
----
Other items of the financing business
53.92%-12.21M
----
-123.73%-26.5M
-75.82%-5.89M
98.01%-11.84M
---3.35M
-26,629.34%-595.8M
----
97.56%-2.23M
98.50%-1.35M
Net cash from financing operations
-1.01%-2.82B
23.22%-516.62M
36.64%-2.79B
82.05%-672.87M
-124.10%-4.41B
-128.27%-3.75B
87.43%18.3B
269.40%13.26B
598.03%9.76B
125.71%3.59B
Effect of rate
16.86%-37.38M
77.80%-9.57M
34.89%-44.96M
67.11%-43.11M
66.99%-69.06M
-604.34%-131.05M
52.76%-209.17M
-138.92%-18.61M
-2,679.23%-442.78M
66.17%47.8M
Net Cash
86.68%2.74B
-146.80%-642.12M
539.31%1.47B
151.36%1.37B
90.15%-333.79M
-140.65%-2.67B
-138.74%-3.39B
121.60%6.57B
188.76%8.74B
133.22%2.97B
Begining period cash
12.67%12.64B
12.67%12.64B
-3.47%11.22B
-3.47%11.22B
-23.64%11.62B
-23.64%11.62B
120.06%15.22B
120.06%15.22B
78.71%6.91B
78.71%6.91B
Cash at the end
21.37%15.34B
-4.46%11.99B
12.67%12.64B
42.29%12.54B
-3.47%11.22B
-59.50%8.82B
-23.64%11.62B
119.27%21.77B
120.06%15.22B
92.05%9.93B
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
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
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 150.70%2.71B-----69.03%1.08B-----38.56%3.49B----52.70%5.67B----78.94%3.71B----
Profit adjustment
Interest (income) - adjustment -26.12%-48.16M-------38.18M----------------------------
Dividend (income)- adjustment 54.47%-76.02M-----38.81%-166.94M-------120.27M--------------------
Investment loss (gain) -77.30%11.56M----247.92%50.92M----16.89%-34.43M-----2.13%-41.42M-------40.56M----
Impairment and provisions: -32.93%990M-----16.63%1.48B------1.77B--------------------
-Impairment of goodwill -32.93%990M-----16.63%1.48B------1.77B--------------------
Revaluation surplus: -14,683.59%-513.58M-----101.38%-3.47M----188.39%252.38M-----53.41%-285.54M-----61.67%-186.13M----
-Other fair value changes -14,683.59%-513.58M-----101.38%-3.47M----188.39%252.38M-----53.41%-285.54M-----61.67%-186.13M----
Asset sale loss (gain): 235.85%60.27M-----287.25%-44.36M----66.21%-11.46M-----5,712.58%-33.9M----556.52%604K----
-Loss (gain) from sale of subsidiary company 155.72%38.59M-----181.52%-69.26M----12,504.60%84.96M------674K------------
-Loss (gain) on sale of property, machinery and equipment 3.19%25.69M----133.64%24.89M-----114.06%-74.01M-----5,824.17%-34.57M----2,113.33%604K----
-Loss (gain) from selling other assets ---4.01M---------------22.4M--------------------
Depreciation and amortization: 3.30%1.99B----3.01%1.93B----69.10%1.87B----228.83%1.11B----125.67%336.09M----
-Amortization of intangible assets 7.62%1.23B-----1.69%1.14B----112.52%1.16B----367.01%546.09M----163.43%116.93M----
Financial expense -----------------26.28%72.13M----323.96%97.85M-------43.69M----
Special items 117.42%49.47M-----631.41%-283.98M-----74.81%53.44M-----9.25%212.13M----1,528.69%233.75M----
Operating profit before the change of operating capital 29.39%5.17B-----45.55%3.99B----9.06%7.34B----67.55%6.73B----98.31%4.01B----
Change of operating capital
Inventory (increase) decrease 89.06%-26.88M-----315.44%-245.69M-----12.41%-59.14M----7.92%-52.61M-----1,039.98%-57.14M----
Accounts receivable (increase)decrease -673.01%-1.7B----105.32%296.81M-----120.00%-5.58B-----58.00%-2.53B-----71.00%-1.6B----
Accounts payable increase (decrease) 95.54%1.46B-----70.91%746.34M----368.55%2.57B-----43.06%547.5M-----49.22%961.53M----
Special items for working capital changes -98.70%18.84M----55.59%1.45B----1,276.92%932.39M-----91.62%67.72M----39.80%807.7M----
Cash  from business operations -21.20%4.92B-71.72%882.59M20.10%6.24B-7.52%3.12B9.33%5.2B173.07%3.37B15.33%4.75B41.87%1.24B16.05%4.12B-11.41%871.04M
Other taxs 35.74%-1.05B34.08%-612.27M13.26%-1.63B9.65%-928.88M-39.30%-1.88B-40.32%-1.03B-164.72%-1.35B-222.65%-732.68M-72.32%-508.98M-89.60%-227.08M
Net cash from operations -16.07%3.87B-87.67%270.31M38.95%4.61B-6.58%2.19B-2.53%3.32B366.42%2.35B-5.71%3.41B-21.88%503.06M10.94%3.61B-25.42%643.96M
Cash flow from investment activities
Interest received - investment -20.13%217.26M-2.66%111.16M90.61%272M88.83%114.21M15.81%142.7M13.59%60.48M-22.24%123.21M-25.73%53.25M68.11%158.45M94.35%71.69M
Dividend received - investment -51.82%84.39M-60.72%56.44M24.85%175.17M122.99%143.67M2,130.88%140.3M1,150.08%64.43M211.80%6.29M--5.15M-40.17%2.02M----
Loan receivable (increase) decrease --------158.73%300M----78.07%-510.85M30.31%-510.85M---2.33B---732.98M--------
Decrease in deposits (increase) ---2.28B------------------------------------
Sale of fixed assets 140.49%244.1M-83.03%3.57M-54.85%101.5M-87.19%21.05M42.19%224.81M353.73%164.25M417.69%158.11M2,342.71%36.2M989.19%30.54M-21.25%1.48M
Purchase of fixed assets 11.57%-610.29M37.88%-206.81M-0.87%-690.11M10.28%-332.93M-88.29%-684.13M-495.88%-371.06M-17.27%-363.34M-20.34%-62.27M-284.01%-309.83M-72.19%-51.75M
Selling intangible assets 857.14%5.23M-----94.15%546K-----34.69%9.33M--872K--14.29M------------
Purchase of intangible assets 45.51%-136.54M80.65%-26.88M-18.50%-250.58M-64.85%-138.94M10.98%-211.46M-364.79%-84.29M-566.94%-237.55M-159.58%-18.13M-36.68%-35.62M-28.92%-6.99M
Sale of subsidiaries 269.13%48.63M-2,014.92%-31.2M-602.89%-28.75M---1.48M--5.72M------------99.87%-15K----
Acquisition of subsidiaries --19.34M--8.88M--------96.17%-638.26M89.66%-505.68M-450.02%-16.67B-3,049.66%-4.89B-940.52%-3.03B13.79%-155.27M
Recovery of cash from investments 171.54%7.16B-40.31%641.96M-73.73%2.64B-68.26%1.08B117.74%10.03B68.30%3.39B136.33%4.61B--2.01B-12.07%1.95B----
Cash on investment -20.57%-3.06B6.33%-952.95M65.99%-2.54B69.49%-1.02B22.29%-7.47B-5.32%-3.33B-199.67%-9.61B-226.91%-3.17B5.96%-3.21B3.64%-968.43M
Other items in the investment business 100.14%465K-----14.87%-329.59M92.45%-10.77M63.54%-286.92M66.55%-142.52M-317.98%-786.9M-170.26%-426.12M-50.74%-188.26M---157.67M
Net cash from investment operations 576.35%1.69B-169.22%-395.81M-146.87%-354.1M88.42%-147.02M103.01%755.46M82.34%-1.27B-441.72%-25.09B-467.31%-7.19B-184.58%-4.63B-7.20%-1.27B
Net cash before financing 30.49%5.56B-106.14%-125.5M4.51%4.26B89.91%2.04B118.80%4.08B116.11%1.08B-2,029.51%-21.68B-972.99%-6.68B-162.49%-1.02B-95.72%-622.97M
Cash flow from financing activities
New borrowing -59.16%337.57M-61.31%195.43M-49.36%826.47M-47.02%505.11M195.53%1.63B431.51%953.35M282.07%552.28M--179.37M--144.55M----
Refund 27.91%-1.09B38.67%-558.66M-201.41%-1.51B-330.80%-910.92M-289.88%-501.14M-64.50%-211.45M---128.54M---128.54M--------
Issuing shares -----------------99.99%1.88M-99.99%1.88M98.58%20.02B271.44%13.31B487.88%10.08B113.35%3.58B
Interest paid - financing 28.11%-161.28M31.47%-76.59M-39.84%-224.33M-29.71%-111.76M-52.51%-160.42M-351.71%-86.16M-668.48%-105.19M-891.37%-19.07M-481.73%-13.69M-288.69%-1.92M
Dividends paid - financing 13.09%-1.18B-42.88%-22.13M-52.99%-1.36B-25.77%-15.49M-27.60%-889.17M-109.07%-12.31M-61.27%-696.86M56.82%-5.89M-81.99%-432.11M-34.04%-13.64M
Absorb investment income 243.00%40.63M282.70%14.13M-61.37%11.85M-71.16%3.69M241.38%30.67M422.73%12.81M-82.58%8.98M-91.42%2.45M119.52%51.56M104.52%28.55M
Issuance expenses and redemption of securities expenses -104.59%-545.44M----93.89%-266.6M-----634.23%-4.36B---4.33B---594.07M------------
Other items of the financing business 53.92%-12.21M-----123.73%-26.5M-75.82%-5.89M98.01%-11.84M---3.35M-26,629.34%-595.8M----97.56%-2.23M98.50%-1.35M
Net cash from financing operations -1.01%-2.82B23.22%-516.62M36.64%-2.79B82.05%-672.87M-124.10%-4.41B-128.27%-3.75B87.43%18.3B269.40%13.26B598.03%9.76B125.71%3.59B
Effect of rate 16.86%-37.38M77.80%-9.57M34.89%-44.96M67.11%-43.11M66.99%-69.06M-604.34%-131.05M52.76%-209.17M-138.92%-18.61M-2,679.23%-442.78M66.17%47.8M
Net Cash 86.68%2.74B-146.80%-642.12M539.31%1.47B151.36%1.37B90.15%-333.79M-140.65%-2.67B-138.74%-3.39B121.60%6.57B188.76%8.74B133.22%2.97B
Begining period cash 12.67%12.64B12.67%12.64B-3.47%11.22B-3.47%11.22B-23.64%11.62B-23.64%11.62B120.06%15.22B120.06%15.22B78.71%6.91B78.71%6.91B
Cash at the end 21.37%15.34B-4.46%11.99B12.67%12.64B42.29%12.54B-3.47%11.22B-59.50%8.82B-23.64%11.62B119.27%21.77B120.06%15.22B92.05%9.93B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Deloitte Guan Huang Chen Fang Certified Public Accountants--PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--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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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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