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HKB AMTD IDEA OV

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  • 3.600
  • 0.0000.00%
10min DelayNot Open Jul 16 14:26 CST
1.73BMarket Cap21.95P/E (TTM)

AMTD IDEA OV Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
Assets
Current assets
Cash, Cash Equivalents And Short Term Investments
-26.93%87.86M
-26.93%87.86M
-51.33%78.57M
-13.06%120.23M
-13.06%120.23M
803.19%161.46M
104.90%138.3M
--138.3M
-65.73%17.88M
1.31%67.49M
-Cash and cash equivalents
-47.71%62.87M
-47.71%62.87M
-51.33%78.57M
-13.06%120.23M
-13.06%120.23M
803.19%161.46M
104.90%138.3M
--138.3M
-65.73%17.88M
15.26%67.49M
-Short-term investments
--24.99M
--24.99M
----
--0
--0
----
--0
--0
----
--0
Receivables
32.37%1.43B
32.37%1.43B
59.23%1.14B
148.49%1.08B
148.49%1.08B
2.31%716.13M
51.56%433.94M
--433.94M
-23.00%699.94M
-66.14%286.31M
-Accounts receivable
27.22%7.03M
27.22%7.03M
-51.39%12.82M
-77.04%5.53M
-77.04%5.53M
-65.37%26.37M
116.89%24.07M
--24.07M
73.47%76.15M
11.22%11.1M
-Taxes receivable
--0
--0
--0
484.67%2.33M
484.67%2.33M
--0
--398K
--398K
----
--0
-Due from related parties current
34.22%1.42B
34.22%1.42B
113.10%1.11B
268.07%1.06B
268.07%1.06B
-10.35%520.41M
4.38%287.18M
--287.18M
-32.59%580.5M
-67.07%275.13M
-Other receivables
-85.28%2.05M
-85.28%2.05M
-89.09%18.47M
-88.65%13.94M
-88.65%13.94M
291.16%169.35M
141,043.68%122.8M
--122.8M
990.01%43.3M
-38.17%87K
-Recievables adjustments allowances
0.00%-501K
0.00%-501K
----
0.00%-501K
0.00%-501K
----
---501K
---501K
----
--0
Prepaid assets
22.41%3.67M
22.41%3.67M
----
55.42%3M
55.42%3M
----
-29.19%1.93M
--1.93M
----
-11.20%2.72M
Restricted cash
-47.27%609K
-47.27%609K
--0
-29.96%1.16M
-29.96%1.16M
--168K
-90.55%1.65M
--1.65M
----
-31.43%17.45M
Other current assets
----
----
-9.79%553K
----
----
-95.07%613K
----
----
-46.83%12.42M
----
Total current assets
26.34%1.52B
26.34%1.52B
10.08%1.22B
58.06%1.2B
58.06%1.2B
21.14%1.11B
52.67%760.88M
--760.88M
-17.75%914.45M
-53.55%498.39M
Non current assets
Net PPE
316.03%291.45M
316.03%291.45M
12.03%271.92M
583,683.33%70.05M
583,683.33%70.05M
50,250.53%242.72M
33.33%12K
--12K
4,159.19%482.06K
-37.34%9K
-Gross PP&E
320.96%299.69M
320.96%299.69M
----
355,855.00%71.19M
355,855.00%71.19M
----
-96.28%20K
--20K
--482.06K
-0.59%538K
-Accumulated depreciation
-624.71%-8.24M
-624.71%-8.24M
----
-14,112.50%-1.14M
-14,112.50%-1.14M
----
98.49%-8K
---8K
----
-0.41%-529K
Investments and advances
46.32%139.63M
46.32%139.63M
-61.78%93.16M
-51.15%95.43M
-51.15%95.43M
31.71%243.73M
-45.34%195.34M
--195.34M
-5.71%185.05M
110.62%357.35M
-Long term equity investment
--0
--0
--0
--15.82M
--15.82M
5,010.39%99.59M
--0
--0
--1.95M
--0
Non current note receivables
----
----
----
----
----
----
----
----
-69.02%36.32M
----
Goodwill and other intangible assets
0.81%119.38M
0.81%119.38M
28.04%118.71M
13.33%118.42M
13.33%118.42M
-8.66%92.71M
5,269.58%104.49M
--104.49M
5,094.23%101.5M
-0.56%1.95M
-Goodwill
----
----
----
--0
--0
--0
--7.53M
--7.53M
--7.48M
--0
-Other intangible assets
0.81%119.38M
0.81%119.38M
----
22.13%118.42M
22.13%118.42M
-1.39%92.71M
4,882.89%96.97M
--96.97M
4,711.55%94.02M
-0.56%1.95M
Total non current assets
93.89%550.46M
93.89%550.46M
-16.47%483.8M
-5.31%283.91M
-5.31%283.91M
79.11%579.16M
-16.55%299.84M
--299.84M
2.50%323.35M
26.09%359.31M
Total assets
39.24%2.07B
39.24%2.07B
0.96%1.7B
40.15%1.49B
40.15%1.49B
36.29%1.69B
23.67%1.06B
--1.06B
-13.28%1.24B
-36.83%857.69M
Liabilities
Current liabilities
Current debt and capital lease obligation
-3.20%64.06M
-3.20%64.06M
-54.34%30.16M
228.87%66.18M
228.87%66.18M
216.17%66.05M
-59.66%20.12M
--20.12M
-30.23%20.89M
66.47%49.88M
-Current debt
-3.43%63.54M
-3.43%63.54M
-54.34%30.16M
226.97%65.79M
226.97%65.79M
221.63%66.05M
-59.66%20.12M
--20.12M
-31.42%20.54M
66.47%49.88M
-Current capital lease obligation
35.86%519K
35.86%519K
----
--382K
--382K
----
--0
--0
--354.15K
--0
Payables
1.22%72.21M
1.22%72.21M
-1.63%104.3M
430.81%71.34M
430.81%71.34M
39.53%106.02M
-64.01%13.44M
--13.44M
40.17%75.98M
-11.00%37.34M
-accounts payable
-72.35%2.39M
-72.35%2.39M
-86.83%1.26M
-12.37%8.63M
-12.37%8.63M
-20.76%9.54M
--9.85M
--9.85M
-61.92%12.04M
--0
-Total tax payable
-14.11%2.54M
-14.11%2.54M
-44.02%4.6M
2.53%2.96M
2.53%2.96M
-49.59%8.22M
-83.49%2.88M
--2.88M
26.65%16.3M
9.79%17.46M
-Due to related parties current
12.93%63.02M
12.93%63.02M
41.56%76.8M
--55.8M
--55.8M
--54.26M
--0
--0
----
--0
-Other payable
7.95%4.26M
7.95%4.26M
-36.37%21.64M
456.20%3.95M
456.20%3.95M
-28.62%34M
-96.43%710K
--710K
390.30%47.64M
--19.88M
Current accrued expenses
-56.40%6.2M
-56.40%6.2M
----
-3.35%14.22M
-3.35%14.22M
----
25.25%14.71M
--14.71M
----
12.36%11.75M
Current provisions
----
----
----
-5.22%3.87M
-5.22%3.87M
-2.29%3.96M
--4.08M
--4.08M
--4.05M
----
Current deferred liabilities
-54.38%667K
-54.38%667K
----
-33.24%1.46M
-33.24%1.46M
----
2,603.70%2.19M
--2.19M
----
-98.67%81K
Other current liabilities
----
----
----
----
----
--691K
----
----
----
----
Current liabilities
-8.87%143.13M
-8.87%143.13M
-23.92%134.46M
187.95%157.06M
187.95%157.06M
75.10%176.72M
-44.93%54.54M
--54.54M
19.93%100.93M
11.96%99.05M
Non current liabilities
Long term debt and capital lease obligation
622.46%219.43M
622.46%219.43M
673.56%235.15M
6,531.66%30.37M
6,531.66%30.37M
--30.4M
-96.81%458K
--458K
----
7.80%14.36M
-Long term debt
622.46%219.43M
622.46%219.43M
673.56%235.15M
6,531.66%30.37M
6,531.66%30.37M
--30.4M
-96.81%458K
--458K
----
7.80%14.36M
Derivative product liabilities
----
----
----
--0
--0
----
--0
--0
--0
5.56%1.76M
Long term provisions
--1.66M
--1.66M
--1.49M
----
----
----
----
----
----
----
Non current deferred liabilities
1.34%5.66M
1.34%5.66M
112.46%5.63M
68.82%5.58M
68.82%5.58M
-72.92%2.65M
--3.31M
--3.31M
--9.78M
--0
Total non current liabilities
530.65%226.76M
530.65%226.76M
633.10%242.26M
855.01%35.96M
855.01%35.96M
237.98%33.05M
-76.65%3.77M
--3.77M
-37.34%9.78M
7.56%16.13M
Total liabilities
91.64%369.89M
91.64%369.89M
79.59%376.72M
231.02%193.02M
231.02%193.02M
89.49%209.77M
-49.37%58.31M
--58.31M
10.98%110.7M
11.32%115.18M
Shareholders'equity
Share capital
0.00%48K
0.00%48K
2.13%48K
26.32%48K
26.32%48K
24.65%47K
52.00%38K
--38K
51.92%37.71K
0.57%25K
-common stock
0.00%48K
0.00%48K
2.13%48K
26.32%48K
26.32%48K
24.65%47K
52.00%38K
--38K
51.92%37.71K
0.57%25K
Retained earnings
5.43%906.58M
5.43%906.58M
11.23%900.37M
20.62%859.85M
20.62%859.85M
22.35%809.45M
24.82%712.86M
--712.86M
31.57%661.6M
32.68%571.13M
Gains losses not affecting retained earnings
27.90%1.19B
27.90%1.19B
-6.47%929.93M
-6.55%927.02M
-6.55%927.02M
15.12%994.28M
70.30%991.96M
--991.96M
47.29%863.66M
-0.81%582.47M
Other equity interest
0.00%234.25M
0.00%234.25M
0.01%234.24M
2.52%234.24M
2.52%234.24M
3.80%234.22M
-0.02%228.48M
--228.48M
-4.51%225.64M
-3.44%228.53M
Other equity interest
0.00%234.25M
0.00%234.25M
0.01%234.24M
2.52%234.24M
2.52%234.24M
3.80%234.22M
-0.02%228.48M
--228.48M
-4.51%225.64M
-3.44%228.53M
Total stockholders'equity
23.74%1.59B
23.74%1.59B
-1.00%1.33B
32.54%1.29B
32.54%1.29B
20.62%1.34B
31.16%970.67M
--970.67M
-15.98%1.11B
-41.00%740.09M
Noncontrolling interests
1,427.61%108.12M
1,427.61%108.12M
-102.57%-3.44M
-77.70%7.08M
-77.70%7.08M
899.42%133.85M
1,210.49%31.74M
--31.74M
575.12%13.39M
--2.42M
Total equity
31.42%1.7B
31.42%1.7B
-10.20%1.33B
29.05%1.29B
29.05%1.29B
31.06%1.48B
35.00%1B
--1B
-15.10%1.13B
-40.80%742.52M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021
Assets
Current assets
Cash, Cash Equivalents And Short Term Investments -26.93%87.86M-26.93%87.86M-51.33%78.57M-13.06%120.23M-13.06%120.23M803.19%161.46M104.90%138.3M--138.3M-65.73%17.88M1.31%67.49M
-Cash and cash equivalents -47.71%62.87M-47.71%62.87M-51.33%78.57M-13.06%120.23M-13.06%120.23M803.19%161.46M104.90%138.3M--138.3M-65.73%17.88M15.26%67.49M
-Short-term investments --24.99M--24.99M------0--0------0--0------0
Receivables 32.37%1.43B32.37%1.43B59.23%1.14B148.49%1.08B148.49%1.08B2.31%716.13M51.56%433.94M--433.94M-23.00%699.94M-66.14%286.31M
-Accounts receivable 27.22%7.03M27.22%7.03M-51.39%12.82M-77.04%5.53M-77.04%5.53M-65.37%26.37M116.89%24.07M--24.07M73.47%76.15M11.22%11.1M
-Taxes receivable --0--0--0484.67%2.33M484.67%2.33M--0--398K--398K------0
-Due from related parties current 34.22%1.42B34.22%1.42B113.10%1.11B268.07%1.06B268.07%1.06B-10.35%520.41M4.38%287.18M--287.18M-32.59%580.5M-67.07%275.13M
-Other receivables -85.28%2.05M-85.28%2.05M-89.09%18.47M-88.65%13.94M-88.65%13.94M291.16%169.35M141,043.68%122.8M--122.8M990.01%43.3M-38.17%87K
-Recievables adjustments allowances 0.00%-501K0.00%-501K----0.00%-501K0.00%-501K-------501K---501K------0
Prepaid assets 22.41%3.67M22.41%3.67M----55.42%3M55.42%3M-----29.19%1.93M--1.93M-----11.20%2.72M
Restricted cash -47.27%609K-47.27%609K--0-29.96%1.16M-29.96%1.16M--168K-90.55%1.65M--1.65M-----31.43%17.45M
Other current assets ---------9.79%553K---------95.07%613K---------46.83%12.42M----
Total current assets 26.34%1.52B26.34%1.52B10.08%1.22B58.06%1.2B58.06%1.2B21.14%1.11B52.67%760.88M--760.88M-17.75%914.45M-53.55%498.39M
Non current assets
Net PPE 316.03%291.45M316.03%291.45M12.03%271.92M583,683.33%70.05M583,683.33%70.05M50,250.53%242.72M33.33%12K--12K4,159.19%482.06K-37.34%9K
-Gross PP&E 320.96%299.69M320.96%299.69M----355,855.00%71.19M355,855.00%71.19M-----96.28%20K--20K--482.06K-0.59%538K
-Accumulated depreciation -624.71%-8.24M-624.71%-8.24M-----14,112.50%-1.14M-14,112.50%-1.14M----98.49%-8K---8K-----0.41%-529K
Investments and advances 46.32%139.63M46.32%139.63M-61.78%93.16M-51.15%95.43M-51.15%95.43M31.71%243.73M-45.34%195.34M--195.34M-5.71%185.05M110.62%357.35M
-Long term equity investment --0--0--0--15.82M--15.82M5,010.39%99.59M--0--0--1.95M--0
Non current note receivables ---------------------------------69.02%36.32M----
Goodwill and other intangible assets 0.81%119.38M0.81%119.38M28.04%118.71M13.33%118.42M13.33%118.42M-8.66%92.71M5,269.58%104.49M--104.49M5,094.23%101.5M-0.56%1.95M
-Goodwill --------------0--0--0--7.53M--7.53M--7.48M--0
-Other intangible assets 0.81%119.38M0.81%119.38M----22.13%118.42M22.13%118.42M-1.39%92.71M4,882.89%96.97M--96.97M4,711.55%94.02M-0.56%1.95M
Total non current assets 93.89%550.46M93.89%550.46M-16.47%483.8M-5.31%283.91M-5.31%283.91M79.11%579.16M-16.55%299.84M--299.84M2.50%323.35M26.09%359.31M
Total assets 39.24%2.07B39.24%2.07B0.96%1.7B40.15%1.49B40.15%1.49B36.29%1.69B23.67%1.06B--1.06B-13.28%1.24B-36.83%857.69M
Liabilities
Current liabilities
Current debt and capital lease obligation -3.20%64.06M-3.20%64.06M-54.34%30.16M228.87%66.18M228.87%66.18M216.17%66.05M-59.66%20.12M--20.12M-30.23%20.89M66.47%49.88M
-Current debt -3.43%63.54M-3.43%63.54M-54.34%30.16M226.97%65.79M226.97%65.79M221.63%66.05M-59.66%20.12M--20.12M-31.42%20.54M66.47%49.88M
-Current capital lease obligation 35.86%519K35.86%519K------382K--382K------0--0--354.15K--0
Payables 1.22%72.21M1.22%72.21M-1.63%104.3M430.81%71.34M430.81%71.34M39.53%106.02M-64.01%13.44M--13.44M40.17%75.98M-11.00%37.34M
-accounts payable -72.35%2.39M-72.35%2.39M-86.83%1.26M-12.37%8.63M-12.37%8.63M-20.76%9.54M--9.85M--9.85M-61.92%12.04M--0
-Total tax payable -14.11%2.54M-14.11%2.54M-44.02%4.6M2.53%2.96M2.53%2.96M-49.59%8.22M-83.49%2.88M--2.88M26.65%16.3M9.79%17.46M
-Due to related parties current 12.93%63.02M12.93%63.02M41.56%76.8M--55.8M--55.8M--54.26M--0--0------0
-Other payable 7.95%4.26M7.95%4.26M-36.37%21.64M456.20%3.95M456.20%3.95M-28.62%34M-96.43%710K--710K390.30%47.64M--19.88M
Current accrued expenses -56.40%6.2M-56.40%6.2M-----3.35%14.22M-3.35%14.22M----25.25%14.71M--14.71M----12.36%11.75M
Current provisions -------------5.22%3.87M-5.22%3.87M-2.29%3.96M--4.08M--4.08M--4.05M----
Current deferred liabilities -54.38%667K-54.38%667K-----33.24%1.46M-33.24%1.46M----2,603.70%2.19M--2.19M-----98.67%81K
Other current liabilities ----------------------691K----------------
Current liabilities -8.87%143.13M-8.87%143.13M-23.92%134.46M187.95%157.06M187.95%157.06M75.10%176.72M-44.93%54.54M--54.54M19.93%100.93M11.96%99.05M
Non current liabilities
Long term debt and capital lease obligation 622.46%219.43M622.46%219.43M673.56%235.15M6,531.66%30.37M6,531.66%30.37M--30.4M-96.81%458K--458K----7.80%14.36M
-Long term debt 622.46%219.43M622.46%219.43M673.56%235.15M6,531.66%30.37M6,531.66%30.37M--30.4M-96.81%458K--458K----7.80%14.36M
Derivative product liabilities --------------0--0------0--0--05.56%1.76M
Long term provisions --1.66M--1.66M--1.49M----------------------------
Non current deferred liabilities 1.34%5.66M1.34%5.66M112.46%5.63M68.82%5.58M68.82%5.58M-72.92%2.65M--3.31M--3.31M--9.78M--0
Total non current liabilities 530.65%226.76M530.65%226.76M633.10%242.26M855.01%35.96M855.01%35.96M237.98%33.05M-76.65%3.77M--3.77M-37.34%9.78M7.56%16.13M
Total liabilities 91.64%369.89M91.64%369.89M79.59%376.72M231.02%193.02M231.02%193.02M89.49%209.77M-49.37%58.31M--58.31M10.98%110.7M11.32%115.18M
Shareholders'equity
Share capital 0.00%48K0.00%48K2.13%48K26.32%48K26.32%48K24.65%47K52.00%38K--38K51.92%37.71K0.57%25K
-common stock 0.00%48K0.00%48K2.13%48K26.32%48K26.32%48K24.65%47K52.00%38K--38K51.92%37.71K0.57%25K
Retained earnings 5.43%906.58M5.43%906.58M11.23%900.37M20.62%859.85M20.62%859.85M22.35%809.45M24.82%712.86M--712.86M31.57%661.6M32.68%571.13M
Gains losses not affecting retained earnings 27.90%1.19B27.90%1.19B-6.47%929.93M-6.55%927.02M-6.55%927.02M15.12%994.28M70.30%991.96M--991.96M47.29%863.66M-0.81%582.47M
Other equity interest 0.00%234.25M0.00%234.25M0.01%234.24M2.52%234.24M2.52%234.24M3.80%234.22M-0.02%228.48M--228.48M-4.51%225.64M-3.44%228.53M
Other equity interest 0.00%234.25M0.00%234.25M0.01%234.24M2.52%234.24M2.52%234.24M3.80%234.22M-0.02%228.48M--228.48M-4.51%225.64M-3.44%228.53M
Total stockholders'equity 23.74%1.59B23.74%1.59B-1.00%1.33B32.54%1.29B32.54%1.29B20.62%1.34B31.16%970.67M--970.67M-15.98%1.11B-41.00%740.09M
Noncontrolling interests 1,427.61%108.12M1,427.61%108.12M-102.57%-3.44M-77.70%7.08M-77.70%7.08M899.42%133.85M1,210.49%31.74M--31.74M575.12%13.39M--2.42M
Total equity 31.42%1.7B31.42%1.7B-10.20%1.33B29.05%1.29B29.05%1.29B31.06%1.48B35.00%1B--1B-15.10%1.13B-40.80%742.52M
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