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02343 PACIFIC BASIN

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  • 1.760
  • +0.010+0.57%
Market Closed Apr 28 16:09 CST
9.04BMarket Cap8.84P/E (TTM)

PACIFIC BASIN 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
21.34%132.38M
-32.58%57.96M
-84.47%109.1M
-81.54%85.98M
-17.00%702.5M
189.87%465.84M
510.46%846.35M
172.43%160.71M
-885.89%-206.19M
-2,611.88%-221.87M
Profit adjustment
Impairment and provisions:
-125.00%-4M
---4M
83.87%16M
----
105.90%8.7M
246.96%2.46M
-173.84%-147.38M
---1.68M
10,791.16%199.6M
----
-Impairment of property, plant and equipment (reversal)
----
----
----
----
----
----
----
----
--194.56M
----
-Other impairments and provisions
-125.00%-4M
---4M
83.87%16M
----
105.90%8.7M
246.96%2.46M
-3,020.13%-147.38M
---1.68M
370.33%5.05M
----
Revaluation surplus:
-185.78%-3.99M
-2,560.97%-7.16M
-15.30%4.65M
97.91%-269K
23.45%5.49M
-167.90%-12.88M
147.23%4.45M
-40.68%-4.81M
-20.67%-9.42M
60.32%-3.42M
-Derivative financial instruments fair value (increase)
-185.78%-3.99M
-2,560.97%-7.16M
-15.30%4.65M
97.91%-269K
23.45%5.49M
-167.90%-12.88M
147.23%4.45M
-40.68%-4.81M
-20.67%-9.42M
60.32%-3.42M
Asset sale loss (gain):
10.93%-9.61M
70.47%-2.63M
32.45%-10.79M
28.17%-8.89M
-4,498.90%-15.97M
-1,056.64%-12.38M
-80.03%363K
-206.05%-1.07M
-49.02%1.82M
479.89%1.01M
-Loss (gain) on sale of property, machinery and equipment
-266.07%-8.35M
0.68%-2.63M
85.79%-2.28M
78.64%-2.64M
-3,682.14%-16.05M
-1,201.37%-12.38M
-21.54%448K
---951K
-83.17%571K
----
-Loss (gain) from selling other assets
85.22%-1.26M
----
-10,731.25%-8.51M
---6.25M
194.12%80K
----
-106.82%-85K
-111.79%-119K
616.67%1.25M
479.89%1.01M
Depreciation and amortization:
-6.66%200.7M
-1.57%105.28M
8.29%215.01M
12.49%106.95M
30.46%198.56M
28.45%95.08M
-4.93%152.2M
-12.44%74.02M
-3.51%160.08M
7.15%84.54M
-Depreciation
1.89%154.37M
3.50%77.16M
6.63%151.51M
3.47%74.55M
18.96%142.08M
22.72%72.05M
-5.86%119.44M
-12.95%58.71M
-1.91%126.87M
10.47%67.45M
Financial expense
15.92%9.81M
35.31%4.93M
-45.17%8.46M
-67.41%3.65M
-51.33%15.43M
-32.05%11.18M
-13.54%31.71M
-9.04%16.46M
-0.78%36.68M
-4.87%18.09M
Exchange Loss (gain)
2,252.59%2.5M
139.60%659K
74.11%-116K
-38.78%-1.66M
-700.00%-448K
-583.47%-1.2M
-104.56%-56K
172.73%248K
272.12%1.23M
-264.73%-341K
Special items
-5.14%5.61M
-14.37%2.9M
-73.91%5.92M
-82.92%3.39M
268.14%22.68M
599.58%19.83M
10.79%6.16M
-98.59%2.84M
-24.60%5.56M
6,571.65%201.42M
Operating profit before the change of operating capital
-4.26%333.4M
-16.49%157.95M
-62.83%348.24M
-66.70%189.14M
4.83%936.94M
130.20%567.94M
372.01%893.79M
210.63%246.72M
-17.92%189.36M
-21.50%79.43M
Change of operating capital
Inventory (increase) decrease
181.20%8.34M
21.43%-3.68M
50.80%-10.27M
91.83%-4.69M
18.14%-20.87M
-156.05%-57.38M
-307.51%-25.5M
-237.99%-22.41M
351.09%12.29M
608.42%16.24M
Accounts receivable (increase)decrease
-188.75%-15.35M
-4,601.25%-18.01M
23.81%17.29M
101.13%400K
114.86%13.97M
13.13%-35.31M
-2,195.30%-93.97M
-345.66%-40.65M
217.78%4.49M
327.64%16.55M
Accounts payable increase (decrease)
-1,333.53%-17.23M
-1,349.00%-3.14M
-116.67%-1.2M
-99.32%251K
-90.65%7.21M
-2.31%36.81M
386.60%77.15M
366.75%37.68M
452.39%15.85M
-704.23%-14.13M
Cash  from business operations
-12.68%309.16M
-28.08%133.13M
-62.22%354.06M
-63.85%185.1M
10.07%937.25M
131.35%512.06M
283.57%851.47M
125.67%221.34M
2.06%221.99M
5.41%98.08M
Other taxs
125.98%172K
230.67%426K
65.75%-662K
38.61%-326K
-84.80%-1.93M
-137.05%-531K
55.90%-1.05M
81.13%-224K
-387.06%-2.37M
---1.19M
Net cash from operations
-12.47%309.34M
-27.72%133.55M
-62.22%353.4M
-63.88%184.78M
9.98%935.32M
131.34%511.53M
287.24%850.42M
128.20%221.12M
1.19%219.61M
4.48%96.9M
Cash flow from investment activities
Interest received - investment
-3.48%13.69M
-10.38%7.24M
63.92%14.19M
368.52%8.08M
1,098.75%8.66M
451.12%1.73M
-75.76%722K
-85.59%313K
-47.88%2.98M
-34.64%2.17M
Restricted cash (increase) decrease
--54K
--54K
----
----
----
----
----
----
----
----
Decrease in deposits (increase)
-119.29%-16.39M
-111.91%-10.13M
30.65%84.99M
13.26%84.99M
145.96%65.05M
5,102.40%75.04M
-1,565.13%-141.54M
70.18%-1.5M
-167.96%-8.5M
-140.24%-5.03M
Sale of fixed assets
-38.71%35.12M
-1.87%8.14M
-4.28%57.31M
-79.68%8.3M
177.51%59.87M
430.48%40.83M
529.74%21.58M
--7.7M
-62.70%3.43M
----
Purchase of fixed assets
49.06%-128.41M
77.21%-47.76M
-197.54%-252.07M
-493.24%-209.55M
62.26%-84.72M
69.17%-35.32M
-120.01%-224.48M
-26.50%-114.56M
44.54%-102.03M
14.27%-90.56M
Recovery of cash from investments
-75.23%8.53M
----
140.38%34.42M
--34.63M
83.45%14.32M
----
16.21%7.81M
131.17%7.84M
7.03%6.72M
-45.97%3.39M
Cash on investment
----
----
----
----
----
----
----
----
---1.4M
----
Other items in the investment business
----
----
----
----
----
----
-71.38%1.92M
-41.85%1.92M
4.55%6.69M
4.84%3.29M
Net cash from investment operations
-42.88%-87.4M
42.29%-42.45M
-196.81%-61.17M
-189.40%-73.55M
118.92%63.18M
183.69%82.27M
-262.60%-334M
-13.33%-98.3M
35.99%-92.11M
-7.89%-86.74M
Net cash before financing
-24.05%221.94M
-18.09%91.11M
-70.73%292.23M
-81.27%111.23M
93.35%998.5M
383.47%593.8M
305.04%516.42M
1,108.98%122.82M
74.35%127.5M
-17.74%10.16M
Cash flow from financing activities
New borrowing
--98.57M
--78.57M
----
----
----
----
-71.53%70M
-78.84%45M
-22.36%245.85M
-13.60%212.69M
Refund
-65.33%-134.46M
-116.84%-82.21M
-0.48%-81.33M
11.93%-37.91M
76.76%-80.94M
70.09%-43.05M
-35.31%-348.29M
-143.95%-143.94M
43.88%-257.4M
71.85%-59M
Interest paid - financing
5.16%-20.33M
-4.04%-10.69M
-6.77%-21.43M
-6.97%-10.27M
30.87%-20.07M
34.61%-9.6M
16.21%-29.04M
19.23%-14.69M
-590.06%-34.66M
8.95%-18.18M
Dividends paid - financing
69.80%-65.8M
78.06%-38.22M
69.58%-217.86M
52.62%-174.23M
-728.23%-716.2M
---367.7M
-570.65%-86.47M
----
40.92%-12.89M
40.92%-12.89M
Issuance expenses and redemption of securities expenses
---40.08M
---13.97M
----
----
---56.17M
----
----
----
----
----
Other items of the financing business
-14.72%-5.53M
---5.53M
72.50%-4.82M
----
-515.84%-17.53M
-1,773.18%-17.53M
-206.13%-2.85M
-0.75%-936K
-100.68%-930K
27.37%-929K
Net cash from financing operations
44.99%-214.4M
60.54%-100.68M
58.94%-389.73M
44.77%-255.17M
-119.18%-949.13M
-249.55%-462.04M
-326.33%-433.03M
-231.38%-132.18M
49.75%-101.57M
461.25%100.61M
Effect of rate
-6,080.00%-3.29M
-1,578.82%-1.26M
133.54%55K
170.83%85K
-396.97%-164K
-11,900.00%-120K
-121.57%-33K
75.00%-1K
578.13%153K
91.84%-4K
Net Cash
107.73%7.54M
93.35%-9.58M
-297.48%-97.49M
-209.24%-143.94M
-40.80%49.37M
1,507.57%131.76M
221.65%83.39M
-108.45%-9.36M
120.10%25.93M
814.61%110.77M
Begining period cash
-27.15%261.4M
-27.15%261.4M
15.89%358.84M
15.89%358.84M
36.84%309.63M
36.84%309.63M
13.03%226.27M
13.03%226.27M
-39.20%200.19M
-39.20%200.19M
Cash at the end
1.62%265.65M
16.55%250.57M
-27.15%261.4M
-51.28%214.99M
15.89%358.84M
103.44%441.28M
36.84%309.63M
-30.24%216.91M
13.03%226.27M
-0.87%310.96M
Cash balance analysis
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
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
PricewaterhouseCoopers
--
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 21.34%132.38M-32.58%57.96M-84.47%109.1M-81.54%85.98M-17.00%702.5M189.87%465.84M510.46%846.35M172.43%160.71M-885.89%-206.19M-2,611.88%-221.87M
Profit adjustment
Impairment and provisions: -125.00%-4M---4M83.87%16M----105.90%8.7M246.96%2.46M-173.84%-147.38M---1.68M10,791.16%199.6M----
-Impairment of property, plant and equipment (reversal) ----------------------------------194.56M----
-Other impairments and provisions -125.00%-4M---4M83.87%16M----105.90%8.7M246.96%2.46M-3,020.13%-147.38M---1.68M370.33%5.05M----
Revaluation surplus: -185.78%-3.99M-2,560.97%-7.16M-15.30%4.65M97.91%-269K23.45%5.49M-167.90%-12.88M147.23%4.45M-40.68%-4.81M-20.67%-9.42M60.32%-3.42M
-Derivative financial instruments fair value (increase) -185.78%-3.99M-2,560.97%-7.16M-15.30%4.65M97.91%-269K23.45%5.49M-167.90%-12.88M147.23%4.45M-40.68%-4.81M-20.67%-9.42M60.32%-3.42M
Asset sale loss (gain): 10.93%-9.61M70.47%-2.63M32.45%-10.79M28.17%-8.89M-4,498.90%-15.97M-1,056.64%-12.38M-80.03%363K-206.05%-1.07M-49.02%1.82M479.89%1.01M
-Loss (gain) on sale of property, machinery and equipment -266.07%-8.35M0.68%-2.63M85.79%-2.28M78.64%-2.64M-3,682.14%-16.05M-1,201.37%-12.38M-21.54%448K---951K-83.17%571K----
-Loss (gain) from selling other assets 85.22%-1.26M-----10,731.25%-8.51M---6.25M194.12%80K-----106.82%-85K-111.79%-119K616.67%1.25M479.89%1.01M
Depreciation and amortization: -6.66%200.7M-1.57%105.28M8.29%215.01M12.49%106.95M30.46%198.56M28.45%95.08M-4.93%152.2M-12.44%74.02M-3.51%160.08M7.15%84.54M
-Depreciation 1.89%154.37M3.50%77.16M6.63%151.51M3.47%74.55M18.96%142.08M22.72%72.05M-5.86%119.44M-12.95%58.71M-1.91%126.87M10.47%67.45M
Financial expense 15.92%9.81M35.31%4.93M-45.17%8.46M-67.41%3.65M-51.33%15.43M-32.05%11.18M-13.54%31.71M-9.04%16.46M-0.78%36.68M-4.87%18.09M
Exchange Loss (gain) 2,252.59%2.5M139.60%659K74.11%-116K-38.78%-1.66M-700.00%-448K-583.47%-1.2M-104.56%-56K172.73%248K272.12%1.23M-264.73%-341K
Special items -5.14%5.61M-14.37%2.9M-73.91%5.92M-82.92%3.39M268.14%22.68M599.58%19.83M10.79%6.16M-98.59%2.84M-24.60%5.56M6,571.65%201.42M
Operating profit before the change of operating capital -4.26%333.4M-16.49%157.95M-62.83%348.24M-66.70%189.14M4.83%936.94M130.20%567.94M372.01%893.79M210.63%246.72M-17.92%189.36M-21.50%79.43M
Change of operating capital
Inventory (increase) decrease 181.20%8.34M21.43%-3.68M50.80%-10.27M91.83%-4.69M18.14%-20.87M-156.05%-57.38M-307.51%-25.5M-237.99%-22.41M351.09%12.29M608.42%16.24M
Accounts receivable (increase)decrease -188.75%-15.35M-4,601.25%-18.01M23.81%17.29M101.13%400K114.86%13.97M13.13%-35.31M-2,195.30%-93.97M-345.66%-40.65M217.78%4.49M327.64%16.55M
Accounts payable increase (decrease) -1,333.53%-17.23M-1,349.00%-3.14M-116.67%-1.2M-99.32%251K-90.65%7.21M-2.31%36.81M386.60%77.15M366.75%37.68M452.39%15.85M-704.23%-14.13M
Cash  from business operations -12.68%309.16M-28.08%133.13M-62.22%354.06M-63.85%185.1M10.07%937.25M131.35%512.06M283.57%851.47M125.67%221.34M2.06%221.99M5.41%98.08M
Other taxs 125.98%172K230.67%426K65.75%-662K38.61%-326K-84.80%-1.93M-137.05%-531K55.90%-1.05M81.13%-224K-387.06%-2.37M---1.19M
Net cash from operations -12.47%309.34M-27.72%133.55M-62.22%353.4M-63.88%184.78M9.98%935.32M131.34%511.53M287.24%850.42M128.20%221.12M1.19%219.61M4.48%96.9M
Cash flow from investment activities
Interest received - investment -3.48%13.69M-10.38%7.24M63.92%14.19M368.52%8.08M1,098.75%8.66M451.12%1.73M-75.76%722K-85.59%313K-47.88%2.98M-34.64%2.17M
Restricted cash (increase) decrease --54K--54K--------------------------------
Decrease in deposits (increase) -119.29%-16.39M-111.91%-10.13M30.65%84.99M13.26%84.99M145.96%65.05M5,102.40%75.04M-1,565.13%-141.54M70.18%-1.5M-167.96%-8.5M-140.24%-5.03M
Sale of fixed assets -38.71%35.12M-1.87%8.14M-4.28%57.31M-79.68%8.3M177.51%59.87M430.48%40.83M529.74%21.58M--7.7M-62.70%3.43M----
Purchase of fixed assets 49.06%-128.41M77.21%-47.76M-197.54%-252.07M-493.24%-209.55M62.26%-84.72M69.17%-35.32M-120.01%-224.48M-26.50%-114.56M44.54%-102.03M14.27%-90.56M
Recovery of cash from investments -75.23%8.53M----140.38%34.42M--34.63M83.45%14.32M----16.21%7.81M131.17%7.84M7.03%6.72M-45.97%3.39M
Cash on investment -----------------------------------1.4M----
Other items in the investment business -------------------------71.38%1.92M-41.85%1.92M4.55%6.69M4.84%3.29M
Net cash from investment operations -42.88%-87.4M42.29%-42.45M-196.81%-61.17M-189.40%-73.55M118.92%63.18M183.69%82.27M-262.60%-334M-13.33%-98.3M35.99%-92.11M-7.89%-86.74M
Net cash before financing -24.05%221.94M-18.09%91.11M-70.73%292.23M-81.27%111.23M93.35%998.5M383.47%593.8M305.04%516.42M1,108.98%122.82M74.35%127.5M-17.74%10.16M
Cash flow from financing activities
New borrowing --98.57M--78.57M-----------------71.53%70M-78.84%45M-22.36%245.85M-13.60%212.69M
Refund -65.33%-134.46M-116.84%-82.21M-0.48%-81.33M11.93%-37.91M76.76%-80.94M70.09%-43.05M-35.31%-348.29M-143.95%-143.94M43.88%-257.4M71.85%-59M
Interest paid - financing 5.16%-20.33M-4.04%-10.69M-6.77%-21.43M-6.97%-10.27M30.87%-20.07M34.61%-9.6M16.21%-29.04M19.23%-14.69M-590.06%-34.66M8.95%-18.18M
Dividends paid - financing 69.80%-65.8M78.06%-38.22M69.58%-217.86M52.62%-174.23M-728.23%-716.2M---367.7M-570.65%-86.47M----40.92%-12.89M40.92%-12.89M
Issuance expenses and redemption of securities expenses ---40.08M---13.97M-----------56.17M--------------------
Other items of the financing business -14.72%-5.53M---5.53M72.50%-4.82M-----515.84%-17.53M-1,773.18%-17.53M-206.13%-2.85M-0.75%-936K-100.68%-930K27.37%-929K
Net cash from financing operations 44.99%-214.4M60.54%-100.68M58.94%-389.73M44.77%-255.17M-119.18%-949.13M-249.55%-462.04M-326.33%-433.03M-231.38%-132.18M49.75%-101.57M461.25%100.61M
Effect of rate -6,080.00%-3.29M-1,578.82%-1.26M133.54%55K170.83%85K-396.97%-164K-11,900.00%-120K-121.57%-33K75.00%-1K578.13%153K91.84%-4K
Net Cash 107.73%7.54M93.35%-9.58M-297.48%-97.49M-209.24%-143.94M-40.80%49.37M1,507.57%131.76M221.65%83.39M-108.45%-9.36M120.10%25.93M814.61%110.77M
Begining period cash -27.15%261.4M-27.15%261.4M15.89%358.84M15.89%358.84M36.84%309.63M36.84%309.63M13.03%226.27M13.03%226.27M-39.20%200.19M-39.20%200.19M
Cash at the end 1.62%265.65M16.55%250.57M-27.15%261.4M-51.28%214.99M15.89%358.84M103.44%441.28M36.84%309.63M-30.24%216.91M13.03%226.27M-0.87%310.96M
Cash balance analysis
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor PricewaterhouseCoopers--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.

Market Insights

Warren Buffett Portfolio Warren Buffett Portfolio

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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2025 Buffett shareholders' meeting: What's the new buzz in value investing?
🎙️Discussion 1. In the face of market changes, do you prefer to stick with growth stocks or switch to value stocks? 2. Based on the current Show More