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08215 FIRST CREDIT

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  • 0.108
  • 0.0000.00%
Trading May 9 09:20 CST
391.91MMarket Cap-4.50P/E (TTM)

FIRST CREDIT 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
Assets
Current assets
Advance deposits and other receivables
-23.49%1.98M
-37.64%1.94M
-48.08%2.59M
-77.03%3.11M
-3.10%4.99M
510.28%13.56M
27.52%5.15M
-54.65%2.22M
0.41%4.04M
29.57%4.9M
Withholding and tax receivable
----
--11.55K
----
----
----
----
----
----
----
----
Cash and equivalents
-34.99%2.43M
-71.66%1.49M
-81.15%3.74M
-63.89%5.26M
-15.34%19.84M
-3.29%14.57M
62.96%23.43M
-10.73%15.07M
-15.83%14.38M
-63.93%16.88M
Financial assets at fair value-current assets
-99.99%226
----
-87.37%1.53M
-86.14%3.44M
-36.98%12.13M
-1.22%24.84M
140.06%19.25M
133.60%25.15M
-23.46%8.02M
82.41%10.77M
Special items of current assets
-86.57%12.29M
-71.37%58.96M
-54.57%91.57M
46.90%205.92M
78.18%201.57M
0.66%140.17M
-49.90%113.13M
-75.85%139.26M
-65.05%225.81M
-10.61%576.7M
Total current assets
-83.20%16.71M
-71.34%62.41M
-58.31%99.43M
12.73%217.74M
48.19%238.53M
6.30%193.14M
-36.19%160.96M
-70.18%181.7M
-62.78%252.25M
-13.26%609.24M
Non-current assets
Property, plant and equipment
----
----
----
-58.40%1.14M
-40.79%2.1M
-19.05%2.73M
11.65%3.55M
36.48%3.37M
557.38%3.18M
93.18%2.47M
Financial assets at fair value-non-current assets
----
----
----
----
----
--136.53M
--136.9M
----
----
----
Deferred tax assets
0.00%21.76M
-0.08%21.76M
-0.12%21.76M
-2.17%21.78M
0.86%21.79M
-2.48%22.26M
-18.67%21.6M
-25.71%22.83M
-25.84%26.56M
220.77%30.73M
Total non-current assets
-12.58%23.65M
-41.48%22.02M
-37.06%27.05M
-86.72%37.63M
-86.19%42.98M
5.41%283.41M
21.42%311.17M
175.87%268.87M
34.39%256.27M
-65.93%97.47M
Total assets
-68.09%40.36M
-66.94%84.43M
-55.07%126.48M
-46.41%255.37M
-40.37%281.51M
5.77%476.56M
-7.16%472.13M
-36.24%450.57M
-41.45%508.52M
-28.50%706.7M
Liabilities
Current liabilities
Tax payable
----
--1M
----
----
-88.67%2.48K
66.67%40.89K
-87.48%21.93K
-93.91%24.53K
-96.98%175.12K
-79.82%402.53K
Other payables and accrued expenses
-18.63%671.05K
-44.48%646.25K
-33.49%824.68K
10.07%1.16M
0.16%1.24M
-61.24%1.06M
-47.26%1.24M
-14.62%2.73M
40.27%2.35M
36.83%3.2M
Financial lease liabilities-current liabilities
-47.89%74.14K
3,877.86%146.27K
-78.53%142.28K
-99.72%3.68K
-51.72%662.8K
-5.25%1.34M
-31.88%1.37M
-46.66%1.41M
42.22%2.02M
-32.48%2.64M
Special items of current liabilities
-48.73%512.71K
----
--1M
----
----
-61.06%3.89M
-10.00%9M
--10M
--10M
----
Total current liabilities
-36.05%1.26M
53.50%1.79M
3.24%1.97M
-81.55%1.17M
-83.62%1.91M
-55.31%6.33M
-19.98%11.63M
126.89%14.16M
63.50%14.54M
-30.58%6.24M
Net current assets
-84.15%15.45M
-72.01%60.62M
-58.81%97.46M
15.93%216.57M
58.46%236.62M
11.51%186.81M
-37.18%149.32M
-72.22%167.53M
-64.46%237.71M
-13.03%603M
Total assets less current liabilities
-68.60%39.1M
-67.49%82.64M
-55.47%124.52M
-45.94%254.2M
-39.28%279.6M
7.75%470.23M
-6.78%460.5M
-37.70%436.41M
-42.53%493.98M
-28.48%700.46M
Non-current liabilities
Long-term accounts payable
----
----
----
----
----
----
----
----
----
--492.61K
Financial lease liabilities-non-current liabilities
----
----
--74.14K
----
----
-99.73%3.68K
-67.44%662.8K
--1.34M
--2.04M
----
Total non-current liabilities
----
----
--74.14K
----
----
-99.73%3.68K
-67.44%662.8K
172.00%1.34M
--2.04M
675.89%492.61K
Total liabilities
-38.37%1.26M
53.50%1.79M
7.13%2.04M
-81.56%1.17M
-84.50%1.91M
-59.15%6.33M
-25.81%12.3M
130.19%15.5M
86.39%16.57M
-25.62%6.73M
Total assets less total liabilities
-68.58%39.1M
-67.49%82.64M
-55.49%124.44M
-45.94%254.2M
-39.19%279.6M
8.08%470.22M
-6.53%459.83M
-37.84%435.07M
-42.77%491.94M
-28.53%699.97M
Total equity and non-current liabilities
----
----
--124.52M
----
----
7.75%470.23M
-6.78%460.5M
-37.70%436.41M
--493.98M
-28.48%700.46M
Equity
Share capital
0.00%72.58M
0.00%72.58M
0.00%72.58M
0.00%72.58M
0.00%72.58M
0.00%72.58M
0.00%72.58M
0.00%72.58M
0.00%72.58M
0.00%72.58M
Reserve
-164.55%-33.48M
-94.46%10.06M
-74.95%51.87M
-54.33%181.62M
-46.54%207.03M
9.70%397.65M
-7.66%387.26M
-42.22%362.49M
-46.71%419.37M
-30.81%627.39M
Shareholders' Equity
-68.58%39.1M
-67.49%82.64M
-55.49%124.44M
-45.94%254.2M
-39.19%279.6M
8.08%470.22M
-6.53%459.83M
-37.84%435.07M
-42.77%491.94M
-28.53%699.97M
Total equity
-68.58%39.1M
-67.49%82.64M
-55.49%124.44M
-45.94%254.2M
-39.19%279.6M
8.08%470.22M
-6.53%459.83M
-37.84%435.07M
-42.77%491.94M
-28.53%699.97M
Total equity and total liabilities
-68.09%40.36M
-66.94%84.43M
-55.07%126.48M
-46.41%255.37M
-40.37%281.51M
5.77%476.56M
-7.16%472.13M
-36.24%450.57M
-41.45%508.52M
-28.50%706.7M
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
--
Unqualified Opinion
--
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
--
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
Assets
Current assets
Advance deposits and other receivables -23.49%1.98M-37.64%1.94M-48.08%2.59M-77.03%3.11M-3.10%4.99M510.28%13.56M27.52%5.15M-54.65%2.22M0.41%4.04M29.57%4.9M
Withholding and tax receivable ------11.55K--------------------------------
Cash and equivalents -34.99%2.43M-71.66%1.49M-81.15%3.74M-63.89%5.26M-15.34%19.84M-3.29%14.57M62.96%23.43M-10.73%15.07M-15.83%14.38M-63.93%16.88M
Financial assets at fair value-current assets -99.99%226-----87.37%1.53M-86.14%3.44M-36.98%12.13M-1.22%24.84M140.06%19.25M133.60%25.15M-23.46%8.02M82.41%10.77M
Special items of current assets -86.57%12.29M-71.37%58.96M-54.57%91.57M46.90%205.92M78.18%201.57M0.66%140.17M-49.90%113.13M-75.85%139.26M-65.05%225.81M-10.61%576.7M
Total current assets -83.20%16.71M-71.34%62.41M-58.31%99.43M12.73%217.74M48.19%238.53M6.30%193.14M-36.19%160.96M-70.18%181.7M-62.78%252.25M-13.26%609.24M
Non-current assets
Property, plant and equipment -------------58.40%1.14M-40.79%2.1M-19.05%2.73M11.65%3.55M36.48%3.37M557.38%3.18M93.18%2.47M
Financial assets at fair value-non-current assets ----------------------136.53M--136.9M------------
Deferred tax assets 0.00%21.76M-0.08%21.76M-0.12%21.76M-2.17%21.78M0.86%21.79M-2.48%22.26M-18.67%21.6M-25.71%22.83M-25.84%26.56M220.77%30.73M
Total non-current assets -12.58%23.65M-41.48%22.02M-37.06%27.05M-86.72%37.63M-86.19%42.98M5.41%283.41M21.42%311.17M175.87%268.87M34.39%256.27M-65.93%97.47M
Total assets -68.09%40.36M-66.94%84.43M-55.07%126.48M-46.41%255.37M-40.37%281.51M5.77%476.56M-7.16%472.13M-36.24%450.57M-41.45%508.52M-28.50%706.7M
Liabilities
Current liabilities
Tax payable ------1M---------88.67%2.48K66.67%40.89K-87.48%21.93K-93.91%24.53K-96.98%175.12K-79.82%402.53K
Other payables and accrued expenses -18.63%671.05K-44.48%646.25K-33.49%824.68K10.07%1.16M0.16%1.24M-61.24%1.06M-47.26%1.24M-14.62%2.73M40.27%2.35M36.83%3.2M
Financial lease liabilities-current liabilities -47.89%74.14K3,877.86%146.27K-78.53%142.28K-99.72%3.68K-51.72%662.8K-5.25%1.34M-31.88%1.37M-46.66%1.41M42.22%2.02M-32.48%2.64M
Special items of current liabilities -48.73%512.71K------1M---------61.06%3.89M-10.00%9M--10M--10M----
Total current liabilities -36.05%1.26M53.50%1.79M3.24%1.97M-81.55%1.17M-83.62%1.91M-55.31%6.33M-19.98%11.63M126.89%14.16M63.50%14.54M-30.58%6.24M
Net current assets -84.15%15.45M-72.01%60.62M-58.81%97.46M15.93%216.57M58.46%236.62M11.51%186.81M-37.18%149.32M-72.22%167.53M-64.46%237.71M-13.03%603M
Total assets less current liabilities -68.60%39.1M-67.49%82.64M-55.47%124.52M-45.94%254.2M-39.28%279.6M7.75%470.23M-6.78%460.5M-37.70%436.41M-42.53%493.98M-28.48%700.46M
Non-current liabilities
Long-term accounts payable --------------------------------------492.61K
Financial lease liabilities-non-current liabilities ----------74.14K---------99.73%3.68K-67.44%662.8K--1.34M--2.04M----
Total non-current liabilities ----------74.14K---------99.73%3.68K-67.44%662.8K172.00%1.34M--2.04M675.89%492.61K
Total liabilities -38.37%1.26M53.50%1.79M7.13%2.04M-81.56%1.17M-84.50%1.91M-59.15%6.33M-25.81%12.3M130.19%15.5M86.39%16.57M-25.62%6.73M
Total assets less total liabilities -68.58%39.1M-67.49%82.64M-55.49%124.44M-45.94%254.2M-39.19%279.6M8.08%470.22M-6.53%459.83M-37.84%435.07M-42.77%491.94M-28.53%699.97M
Total equity and non-current liabilities ----------124.52M--------7.75%470.23M-6.78%460.5M-37.70%436.41M--493.98M-28.48%700.46M
Equity
Share capital 0.00%72.58M0.00%72.58M0.00%72.58M0.00%72.58M0.00%72.58M0.00%72.58M0.00%72.58M0.00%72.58M0.00%72.58M0.00%72.58M
Reserve -164.55%-33.48M-94.46%10.06M-74.95%51.87M-54.33%181.62M-46.54%207.03M9.70%397.65M-7.66%387.26M-42.22%362.49M-46.71%419.37M-30.81%627.39M
Shareholders' Equity -68.58%39.1M-67.49%82.64M-55.49%124.44M-45.94%254.2M-39.19%279.6M8.08%470.22M-6.53%459.83M-37.84%435.07M-42.77%491.94M-28.53%699.97M
Total equity -68.58%39.1M-67.49%82.64M-55.49%124.44M-45.94%254.2M-39.19%279.6M8.08%470.22M-6.53%459.83M-37.84%435.07M-42.77%491.94M-28.53%699.97M
Total equity and total liabilities -68.09%40.36M-66.94%84.43M-55.07%126.48M-46.41%255.37M-40.37%281.51M5.77%476.56M-7.16%472.13M-36.24%450.57M-41.45%508.52M-28.50%706.7M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--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--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.

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