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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
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q1)Mar 31, 2019
(FY)Dec 31, 2018
(Q4)Dec 31, 2018
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-87.10%5.16M
50.17%39.98M
-52.41%26.62M
-78.25%55.94M
182.35%257.21M
801.90%91.09M
154.90%22.07M
-35.50%736.87K
-6.42%10.1M
-40.19M
Net income from continuing operations
-64.99%55.22M
-9.30%157.7M
1.54%173.87M
32.56%171.24M
1.70%129.18M
63.37%127.01M
-86.52%14.65M
222.96%32.67M
-24.87%77.75M
--108.69M
Operating gains losses
83.19%-32.88M
-82.99%-195.56M
-593.37%-106.87M
78.28%-15.41M
56.34%-70.96M
-1,182.82%-162.52M
-692,086.28%-46.7M
----
-42.40%-12.67M
--6.75K
Depreciation and amortization
160.96%6.85M
255.42%2.62M
12,200.00%738K
53.14%6K
-73.21%3.92K
-65.79%14.63K
-77.45%1.94K
-54.57%5.5K
-11.90%42.75K
--8.6K
Asset impairment expenditure
--0
895.61%4.99M
--501K
--0
--2.21M
--0
----
----
--0
----
Unrealized gains and losses of investment securities
-164.52%-26.39M
98.45%40.9M
126.81%20.61M
-2,018.86%-76.87M
-95.14%4.01M
351.59%82.38M
147.92%45.62M
-159.53%-15.81M
62.64%-32.74M
---95.19M
Other non cashItems
65.10%-5.77M
18.29%-16.54M
-52.47%-20.25M
-29.13%-13.28M
-987.12%-10.28M
0.44%1.16M
-117.63%-56.07K
17.90%680.46K
-68.43%1.15M
--318.1K
Change In working capital
-108.68%-2.63M
241.33%30.33M
-495.34%-21.46M
-101.79%-3.61M
525.43%201.59M
195.15%32.23M
115.88%8.43M
-3,152.28%-16.8M
-1,258.50%-33.88M
---53.06M
-Change in receivables
-138.55%-4.11M
136.50%10.67M
-2,387.23%-29.23M
-103.62%-1.18M
236.60%32.5M
-174.37%-23.79M
-188.02%-22.58M
105.17%662.52K
-2,879.38%-8.67M
--25.65M
-Change in prepaid assets
-125.38%-1.35M
-53.64%5.33M
2,931.40%11.49M
-74.60%379K
475.27%1.49M
69.29%-397.65K
290.82%2.17M
35.47%-1.55M
-168.36%-1.29M
---1.14M
-Change in payables and accrued expense
-80.84%2.76M
489.99%14.41M
-31.58%-3.7M
92.53%-2.81M
-181.89%-37.61M
292.08%45.93M
163.54%34M
89.96%10.12M
-9.24%-23.91M
---53.51M
-Change in other current assets
----
----
----
----
1,856.08%205.21M
--10.49M
--70.5K
----
--0
--0
-Change in other current liabilities
----
----
----
----
----
----
----
-86.61%560.66K
----
----
-Change in other working capital
193.33%70K
-150.00%-75K
---30K
----
----
----
----
-525.57%-26.6M
----
----
Dividends received (cash flow from operating activities)
-12.62%8.68M
54.94%9.94M
2.33%6.41M
-44.85%6.27M
-4.15%11.36M
-6.44%11.85M
1,280.24%79.65K
----
338.66%12.67M
---6.75K
Interest received (cash flow from operating activities)
-71.01%2.09M
77.75%7.21M
202,800.00%4.06M
-77.13%2K
-93.90%8.74K
14,509.27%143.27K
6,842.94%49.22K
2,659.27%2.12K
-95.18%980.6488
--708.9457
Tax refund paid
--0
94.82%-1.61M
-149.77%-30.99M
-25.28%-12.41M
-737.75%-9.9M
46.89%-1.18M
99.17%-7.94K
----
60.99%-2.23M
---958.43K
Cash from discontinued investing activities
Operating cash flow
-87.10%5.16M
50.17%39.98M
-52.41%26.62M
-78.25%55.94M
182.35%257.21M
801.90%91.09M
154.90%22.07M
-35.50%736.87K
-6.42%10.1M
---40.19M
Investing cash flow
Cash flow from continuing investing activities
83.02%-45.34M
-261.01%-266.97M
-60.73%-73.95M
90.04%-46.01M
-21.64%-461.97M
-20,927,427.12%-379.78M
-12,857,227,841.58%-124.29M
-1.75K
89.78%-1.81K
0.9667
Net PPE purchase and sale
88.89%-8K
-3,500.00%-72K
---2K
--0
-711.46%-14.28K
3.00%-1.76K
-1,323.61%-11.8282
---1.75K
89.78%-1.81K
--0.9667
Net business purchase and sale
507.86%3.32M
84.18%-814K
---5.15M
--0
--0
----
----
----
----
----
Net investment purchase and sale
-493.43%-7.23M
-1,441.77%-1.22M
93.82%-79K
---1.28M
--0
--0
----
----
----
----
Net other investing changes
84.36%-41.42M
-285.41%-264.86M
-53.64%-68.72M
90.32%-44.73M
-21.64%-461.95M
---379.78M
---124.29M
----
----
----
Cash from discontinued investing activities
Investing cash flow
83.02%-45.34M
-261.01%-266.97M
-60.73%-73.95M
90.04%-46.01M
-21.64%-461.97M
-20,927,427.12%-379.78M
-12,857,227,841.58%-124.29M
---1.75K
89.78%-1.81K
--0.9667
Financing cash flow
Cash flow from continuing financing activities
-108.28%-17.34M
77.96%209.35M
13,575.26%117.64M
-100.53%-873K
-55.67%164.39M
7,613.02%370.8M
182.19%115.18M
23.11%-447.53K
42.69%-4.94M
40.82M
Net issuance payments of debt
-33.98%16.24M
182.30%24.6M
-249.48%-29.9M
281.46%20M
-176.28%-11.02M
482.19%14.45M
-64.81%14.48M
----
23.40%-3.78M
--41.13M
Net common stock issuance
--0
273.79%93.6M
--25.04M
--0
--0
--355.3M
--102.17M
----
--0
--0
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
----
----
----
----
----
--12.09M
--81.27K
----
--0
--0
Interest paid (cash flow from financing activities)
-124.47%-13.6M
-654.67%-6.06M
-33.83%-803K
66.21%-600K
50.08%-1.78M
-207.97%-3.56M
-369.28%-1.5M
23.11%-447.53K
68.58%-1.16M
---318.81K
Net other financing activities
-120.55%-19.98M
-21.16%97.2M
708.18%123.3M
-111.44%-20.27M
2,468.60%177.19M
---7.48M
---50.27K
----
----
----
Cash from discontinued financing activities
Financing cash flow
-108.28%-17.34M
77.96%209.35M
13,575.26%117.64M
-100.53%-873K
-55.67%164.39M
7,613.02%370.8M
182.19%115.18M
23.11%-447.53K
42.69%-4.94M
--40.82M
Net cash flow
Beginning cash position
-13.06%120.23M
104.90%138.3M
15.25%67.49M
-40.77%58.56M
507.00%98.86M
47.63%16.29M
447.68%85.33M
46.80%16.16M
24.01%11.03M
--15.58M
Current changes in cash
-226.05%-57.52M
-125.09%-17.64M
676.12%70.31M
122.44%9.06M
-149.16%-40.37M
1,490.46%82.12M
1,987.87%12.96M
-48.68%287.6K
138.62%5.16M
--620.75K
Effect of exchange rate changes
137.20%157K
-185.43%-422K
492.06%494K
-297.78%-126K
--63.71K
--0
----
----
--0
----
End cash Position
-47.71%62.87M
-13.06%120.23M
104.90%138.3M
15.26%67.49M
-40.49%58.56M
507.59%98.4M
507.59%98.4M
42.17%16.45M
46.43%16.2M
--16.2M
Free cash from
-87.09%5.15M
49.92%39.91M
-52.42%26.62M
-78.25%55.94M
182.34%257.2M
802.04%91.09M
154.90%22.07M
-35.65%735.13K
-6.28%10.1M
---40.19M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(Q1)Mar 31, 2019(FY)Dec 31, 2018(Q4)Dec 31, 2018
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -87.10%5.16M50.17%39.98M-52.41%26.62M-78.25%55.94M182.35%257.21M801.90%91.09M154.90%22.07M-35.50%736.87K-6.42%10.1M-40.19M
Net income from continuing operations -64.99%55.22M-9.30%157.7M1.54%173.87M32.56%171.24M1.70%129.18M63.37%127.01M-86.52%14.65M222.96%32.67M-24.87%77.75M--108.69M
Operating gains losses 83.19%-32.88M-82.99%-195.56M-593.37%-106.87M78.28%-15.41M56.34%-70.96M-1,182.82%-162.52M-692,086.28%-46.7M-----42.40%-12.67M--6.75K
Depreciation and amortization 160.96%6.85M255.42%2.62M12,200.00%738K53.14%6K-73.21%3.92K-65.79%14.63K-77.45%1.94K-54.57%5.5K-11.90%42.75K--8.6K
Asset impairment expenditure --0895.61%4.99M--501K--0--2.21M--0----------0----
Unrealized gains and losses of investment securities -164.52%-26.39M98.45%40.9M126.81%20.61M-2,018.86%-76.87M-95.14%4.01M351.59%82.38M147.92%45.62M-159.53%-15.81M62.64%-32.74M---95.19M
Other non cashItems 65.10%-5.77M18.29%-16.54M-52.47%-20.25M-29.13%-13.28M-987.12%-10.28M0.44%1.16M-117.63%-56.07K17.90%680.46K-68.43%1.15M--318.1K
Change In working capital -108.68%-2.63M241.33%30.33M-495.34%-21.46M-101.79%-3.61M525.43%201.59M195.15%32.23M115.88%8.43M-3,152.28%-16.8M-1,258.50%-33.88M---53.06M
-Change in receivables -138.55%-4.11M136.50%10.67M-2,387.23%-29.23M-103.62%-1.18M236.60%32.5M-174.37%-23.79M-188.02%-22.58M105.17%662.52K-2,879.38%-8.67M--25.65M
-Change in prepaid assets -125.38%-1.35M-53.64%5.33M2,931.40%11.49M-74.60%379K475.27%1.49M69.29%-397.65K290.82%2.17M35.47%-1.55M-168.36%-1.29M---1.14M
-Change in payables and accrued expense -80.84%2.76M489.99%14.41M-31.58%-3.7M92.53%-2.81M-181.89%-37.61M292.08%45.93M163.54%34M89.96%10.12M-9.24%-23.91M---53.51M
-Change in other current assets ----------------1,856.08%205.21M--10.49M--70.5K------0--0
-Change in other current liabilities -----------------------------86.61%560.66K--------
-Change in other working capital 193.33%70K-150.00%-75K---30K-----------------525.57%-26.6M--------
Dividends received (cash flow from operating activities) -12.62%8.68M54.94%9.94M2.33%6.41M-44.85%6.27M-4.15%11.36M-6.44%11.85M1,280.24%79.65K----338.66%12.67M---6.75K
Interest received (cash flow from operating activities) -71.01%2.09M77.75%7.21M202,800.00%4.06M-77.13%2K-93.90%8.74K14,509.27%143.27K6,842.94%49.22K2,659.27%2.12K-95.18%980.6488--708.9457
Tax refund paid --094.82%-1.61M-149.77%-30.99M-25.28%-12.41M-737.75%-9.9M46.89%-1.18M99.17%-7.94K----60.99%-2.23M---958.43K
Cash from discontinued investing activities
Operating cash flow -87.10%5.16M50.17%39.98M-52.41%26.62M-78.25%55.94M182.35%257.21M801.90%91.09M154.90%22.07M-35.50%736.87K-6.42%10.1M---40.19M
Investing cash flow
Cash flow from continuing investing activities 83.02%-45.34M-261.01%-266.97M-60.73%-73.95M90.04%-46.01M-21.64%-461.97M-20,927,427.12%-379.78M-12,857,227,841.58%-124.29M-1.75K89.78%-1.81K0.9667
Net PPE purchase and sale 88.89%-8K-3,500.00%-72K---2K--0-711.46%-14.28K3.00%-1.76K-1,323.61%-11.8282---1.75K89.78%-1.81K--0.9667
Net business purchase and sale 507.86%3.32M84.18%-814K---5.15M--0--0--------------------
Net investment purchase and sale -493.43%-7.23M-1,441.77%-1.22M93.82%-79K---1.28M--0--0----------------
Net other investing changes 84.36%-41.42M-285.41%-264.86M-53.64%-68.72M90.32%-44.73M-21.64%-461.95M---379.78M---124.29M------------
Cash from discontinued investing activities
Investing cash flow 83.02%-45.34M-261.01%-266.97M-60.73%-73.95M90.04%-46.01M-21.64%-461.97M-20,927,427.12%-379.78M-12,857,227,841.58%-124.29M---1.75K89.78%-1.81K--0.9667
Financing cash flow
Cash flow from continuing financing activities -108.28%-17.34M77.96%209.35M13,575.26%117.64M-100.53%-873K-55.67%164.39M7,613.02%370.8M182.19%115.18M23.11%-447.53K42.69%-4.94M40.82M
Net issuance payments of debt -33.98%16.24M182.30%24.6M-249.48%-29.9M281.46%20M-176.28%-11.02M482.19%14.45M-64.81%14.48M----23.40%-3.78M--41.13M
Net common stock issuance --0273.79%93.6M--25.04M--0--0--355.3M--102.17M------0--0
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Proceeds from stock option exercised by employees ----------------------12.09M--81.27K------0--0
Interest paid (cash flow from financing activities) -124.47%-13.6M-654.67%-6.06M-33.83%-803K66.21%-600K50.08%-1.78M-207.97%-3.56M-369.28%-1.5M23.11%-447.53K68.58%-1.16M---318.81K
Net other financing activities -120.55%-19.98M-21.16%97.2M708.18%123.3M-111.44%-20.27M2,468.60%177.19M---7.48M---50.27K------------
Cash from discontinued financing activities
Financing cash flow -108.28%-17.34M77.96%209.35M13,575.26%117.64M-100.53%-873K-55.67%164.39M7,613.02%370.8M182.19%115.18M23.11%-447.53K42.69%-4.94M--40.82M
Net cash flow
Beginning cash position -13.06%120.23M104.90%138.3M15.25%67.49M-40.77%58.56M507.00%98.86M47.63%16.29M447.68%85.33M46.80%16.16M24.01%11.03M--15.58M
Current changes in cash -226.05%-57.52M-125.09%-17.64M676.12%70.31M122.44%9.06M-149.16%-40.37M1,490.46%82.12M1,987.87%12.96M-48.68%287.6K138.62%5.16M--620.75K
Effect of exchange rate changes 137.20%157K-185.43%-422K492.06%494K-297.78%-126K--63.71K--0----------0----
End cash Position -47.71%62.87M-13.06%120.23M104.90%138.3M15.26%67.49M-40.49%58.56M507.59%98.4M507.59%98.4M42.17%16.45M46.43%16.2M--16.2M
Free cash from -87.09%5.15M49.92%39.91M-52.42%26.62M-78.25%55.94M182.34%257.2M802.04%91.09M154.90%22.07M-35.65%735.13K-6.28%10.1M---40.19M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD

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