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06088 FIT HON TENG

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  • 1.970
  • 0.0000.00%
Trading Apr 25 14:15 CST
14.37BMarket Cap12.01P/E (TTM)

FIT HON TENG Key Stats

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YOY yoy
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(FY)Dec 31, 2024
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
(Q9)Sep 30, 2022
Assets
Current assets
Inventory
12.79%904.32M
----
2.77%813.98M
----
-17.07%801.8M
----
-29.48%792.04M
----
-1.59%966.79M
----
Accounts receivable
12.69%909.69M
----
32.44%814.23M
----
12.12%807.28M
----
-28.65%614.8M
----
-30.29%720M
----
Advance deposits and other receivables
28.83%191.01M
----
148.72%195M
----
107.69%148.27M
----
--78.4M
----
-46.80%71.39M
----
Cash and equivalents
-15.46%1.11B
----
-25.87%1.03B
----
44.02%1.32B
----
62.02%1.38B
----
18.79%914.05M
----
Short-term deposit
960.99%41.8M
----
450.55%142.6M
----
-94.01%3.94M
----
-75.49%25.9M
----
-32.84%65.83M
----
Financial assets at fair value-current assets
----
----
----
----
457.12%3.13M
----
----
----
-50.00%562K
----
Special items of current assets
----
----
----
----
50.97%15M
----
--15M
----
--9.94M
----
Total current assets
1.53%3.16B
4.43%3.26B
2.47%3B
23.99%3.2B
12.59%3.11B
3.95%3.12B
-1.20%2.93B
-19.16%2.58B
-8.90%2.76B
14.25%3B
Non-current assets
Property, plant and equipment
32.37%1.19B
----
23.35%905.25M
----
19.52%899.79M
----
-2.45%733.87M
----
-8.55%752.84M
----
Investment property
-5.94%6.34M
----
-12.27%6.45M
----
-9.74%6.74M
----
-1.45%7.36M
----
--7.47M
----
Advance payment
473.51%38.34M
----
-24.89%10.73M
----
-35.91%6.69M
----
37.25%14.29M
----
-4.76%10.43M
----
Associated company interest
-79.68%14.87M
----
-30.03%66.85M
----
-40.65%73.19M
----
-43.38%95.55M
----
-28.16%123.32M
----
Financial assets at fair value-non-current assets
25.69%48.65M
----
29.97%49.23M
----
-16.89%38.71M
----
-17.43%37.88M
----
3.81%46.57M
----
Intangible assets
4.02%728.48M
----
16.56%680.82M
----
16.45%700.29M
----
-5.09%584.07M
----
-5.14%601.35M
----
Deferred tax assets
4.34%131.83M
----
-0.97%123.68M
----
-3.57%126.35M
----
-12.38%124.89M
----
-1.52%131.03M
----
Total non-current assets
16.59%2.31B
9.60%2.07B
16.02%1.97B
11.35%1.95B
11.14%1.98B
4.01%1.89B
-9.50%1.69B
-9.76%1.76B
-9.61%1.78B
-1.05%1.81B
Total assets
7.39%5.47B
6.38%5.32B
7.44%4.96B
18.87%5.15B
12.02%5.09B
3.97%5.01B
-4.42%4.62B
-15.60%4.33B
-9.18%4.55B
7.96%4.81B
Liabilities
Current liabilities
Accounts payable
16.11%1.27B
----
18.07%936.76M
----
12.73%1.09B
----
-22.76%793.39M
----
-14.69%971.01M
----
Tax payable
-26.15%51.38M
----
-27.90%37.3M
----
-28.88%69.58M
----
-14.75%51.74M
----
4.25%97.83M
----
Bank loans and overdrafts
-34.60%904.23M
----
-35.67%901.84M
----
205.42%1.38B
----
103.21%1.4B
----
-34.39%452.66M
----
Financial lease liabilities-current liabilities
-17.12%9.48M
----
79.86%13.52M
----
48.62%11.44M
----
-18.29%7.52M
----
-13.97%7.7M
----
Total current liabilities
-12.57%2.24B
-18.77%2.1B
-16.66%1.89B
8.37%2.07B
66.53%2.56B
39.29%2.58B
26.51%2.27B
-6.63%1.91B
-20.54%1.54B
-13.01%1.85B
Net current assets
67.42%918.32M
116.40%1.16B
69.00%1.1B
68.81%1.12B
-55.21%548.51M
-53.27%535.3M
-43.93%653.22M
-41.64%666.16M
11.66%1.22B
131.98%1.15B
Total assets less current liabilities
27.61%3.23B
33.21%3.23B
30.76%3.07B
27.16%3.08B
-15.88%2.53B
-18.17%2.42B
-22.71%2.35B
-21.55%2.42B
-2.01%3.01B
27.18%2.96B
Non-current liabilities
Long-term bank loan
--633.52M
----
--598.93M
----
----
----
----
----
-0.16%574.73M
----
Long-term accounts payable
60.39%17.3M
----
101.46%11.01M
----
34.38%10.78M
----
--5.46M
----
-15.57%8.02M
----
Financial lease liabilities-non-current liabilities
28.72%53.17M
----
0.00%38.61M
----
-4.93%41.31M
----
7.06%38.61M
----
-6.38%43.45M
----
Deferred tax liability
2.54%41.82M
----
13.85%35.51M
----
17.60%40.78M
----
-19.22%31.19M
----
-18.13%34.68M
----
Total non-current liabilities
703.04%745.8M
605.35%678.74M
808.89%684.06M
980.33%688.95M
-85.95%92.87M
-85.06%96.23M
-88.65%75.26M
-90.47%63.77M
-1.93%660.88M
785.89%644.24M
Total liabilities
12.45%2.99B
3.64%2.78B
9.81%2.58B
39.76%2.76B
20.73%2.66B
7.23%2.68B
-4.54%2.35B
-27.28%1.97B
-15.73%2.2B
13.34%2.5B
Total assets less total liabilities
1.88%2.48B
9.53%2.55B
4.99%2.39B
1.38%2.39B
3.85%2.44B
0.45%2.33B
-4.29%2.27B
-2.48%2.36B
-2.03%2.35B
2.70%2.32B
Total equity and non-current liabilities
27.61%3.23B
----
30.76%3.07B
----
-15.88%2.53B
----
-22.71%2.35B
----
-2.01%3.01B
----
Equity
Share capital
0.00%142.38M
----
0.00%142.38M
----
0.16%142.38M
----
0.47%142.38M
----
2.03%142.16M
----
Reserve
1.59%2.42B
----
5.07%2.33B
----
3.89%2.38B
----
-4.42%2.22B
----
-2.25%2.29B
----
Shareholders' Equity
1.58%2.47B
----
4.96%2.38B
----
3.82%2.43B
----
-4.32%2.27B
----
-2.06%2.35B
----
Non-controlling interest
286.17%9.86M
----
44.08%2.63M
----
60.36%2.55M
----
36.42%1.82M
----
57.16%1.59M
----
Total equity
1.88%2.48B
----
4.99%2.39B
----
3.85%2.44B
----
-4.29%2.27B
----
-2.03%2.35B
----
Total equity and total liabilities
7.39%5.47B
----
7.44%4.96B
----
12.02%5.09B
----
-4.42%4.62B
----
-9.18%4.55B
----
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
Auditor
--
--
--
--
PricewaterhouseCoopers
--
--
--
PricewaterhouseCoopers
--
(FY)Dec 31, 2024(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022(Q9)Sep 30, 2022
Assets
Current assets
Inventory 12.79%904.32M----2.77%813.98M-----17.07%801.8M-----29.48%792.04M-----1.59%966.79M----
Accounts receivable 12.69%909.69M----32.44%814.23M----12.12%807.28M-----28.65%614.8M-----30.29%720M----
Advance deposits and other receivables 28.83%191.01M----148.72%195M----107.69%148.27M------78.4M-----46.80%71.39M----
Cash and equivalents -15.46%1.11B-----25.87%1.03B----44.02%1.32B----62.02%1.38B----18.79%914.05M----
Short-term deposit 960.99%41.8M----450.55%142.6M-----94.01%3.94M-----75.49%25.9M-----32.84%65.83M----
Financial assets at fair value-current assets ----------------457.12%3.13M-------------50.00%562K----
Special items of current assets ----------------50.97%15M------15M------9.94M----
Total current assets 1.53%3.16B4.43%3.26B2.47%3B23.99%3.2B12.59%3.11B3.95%3.12B-1.20%2.93B-19.16%2.58B-8.90%2.76B14.25%3B
Non-current assets
Property, plant and equipment 32.37%1.19B----23.35%905.25M----19.52%899.79M-----2.45%733.87M-----8.55%752.84M----
Investment property -5.94%6.34M-----12.27%6.45M-----9.74%6.74M-----1.45%7.36M------7.47M----
Advance payment 473.51%38.34M-----24.89%10.73M-----35.91%6.69M----37.25%14.29M-----4.76%10.43M----
Associated company interest -79.68%14.87M-----30.03%66.85M-----40.65%73.19M-----43.38%95.55M-----28.16%123.32M----
Financial assets at fair value-non-current assets 25.69%48.65M----29.97%49.23M-----16.89%38.71M-----17.43%37.88M----3.81%46.57M----
Intangible assets 4.02%728.48M----16.56%680.82M----16.45%700.29M-----5.09%584.07M-----5.14%601.35M----
Deferred tax assets 4.34%131.83M-----0.97%123.68M-----3.57%126.35M-----12.38%124.89M-----1.52%131.03M----
Total non-current assets 16.59%2.31B9.60%2.07B16.02%1.97B11.35%1.95B11.14%1.98B4.01%1.89B-9.50%1.69B-9.76%1.76B-9.61%1.78B-1.05%1.81B
Total assets 7.39%5.47B6.38%5.32B7.44%4.96B18.87%5.15B12.02%5.09B3.97%5.01B-4.42%4.62B-15.60%4.33B-9.18%4.55B7.96%4.81B
Liabilities
Current liabilities
Accounts payable 16.11%1.27B----18.07%936.76M----12.73%1.09B-----22.76%793.39M-----14.69%971.01M----
Tax payable -26.15%51.38M-----27.90%37.3M-----28.88%69.58M-----14.75%51.74M----4.25%97.83M----
Bank loans and overdrafts -34.60%904.23M-----35.67%901.84M----205.42%1.38B----103.21%1.4B-----34.39%452.66M----
Financial lease liabilities-current liabilities -17.12%9.48M----79.86%13.52M----48.62%11.44M-----18.29%7.52M-----13.97%7.7M----
Total current liabilities -12.57%2.24B-18.77%2.1B-16.66%1.89B8.37%2.07B66.53%2.56B39.29%2.58B26.51%2.27B-6.63%1.91B-20.54%1.54B-13.01%1.85B
Net current assets 67.42%918.32M116.40%1.16B69.00%1.1B68.81%1.12B-55.21%548.51M-53.27%535.3M-43.93%653.22M-41.64%666.16M11.66%1.22B131.98%1.15B
Total assets less current liabilities 27.61%3.23B33.21%3.23B30.76%3.07B27.16%3.08B-15.88%2.53B-18.17%2.42B-22.71%2.35B-21.55%2.42B-2.01%3.01B27.18%2.96B
Non-current liabilities
Long-term bank loan --633.52M------598.93M---------------------0.16%574.73M----
Long-term accounts payable 60.39%17.3M----101.46%11.01M----34.38%10.78M------5.46M-----15.57%8.02M----
Financial lease liabilities-non-current liabilities 28.72%53.17M----0.00%38.61M-----4.93%41.31M----7.06%38.61M-----6.38%43.45M----
Deferred tax liability 2.54%41.82M----13.85%35.51M----17.60%40.78M-----19.22%31.19M-----18.13%34.68M----
Total non-current liabilities 703.04%745.8M605.35%678.74M808.89%684.06M980.33%688.95M-85.95%92.87M-85.06%96.23M-88.65%75.26M-90.47%63.77M-1.93%660.88M785.89%644.24M
Total liabilities 12.45%2.99B3.64%2.78B9.81%2.58B39.76%2.76B20.73%2.66B7.23%2.68B-4.54%2.35B-27.28%1.97B-15.73%2.2B13.34%2.5B
Total assets less total liabilities 1.88%2.48B9.53%2.55B4.99%2.39B1.38%2.39B3.85%2.44B0.45%2.33B-4.29%2.27B-2.48%2.36B-2.03%2.35B2.70%2.32B
Total equity and non-current liabilities 27.61%3.23B----30.76%3.07B-----15.88%2.53B-----22.71%2.35B-----2.01%3.01B----
Equity
Share capital 0.00%142.38M----0.00%142.38M----0.16%142.38M----0.47%142.38M----2.03%142.16M----
Reserve 1.59%2.42B----5.07%2.33B----3.89%2.38B-----4.42%2.22B-----2.25%2.29B----
Shareholders' Equity 1.58%2.47B----4.96%2.38B----3.82%2.43B-----4.32%2.27B-----2.06%2.35B----
Non-controlling interest 286.17%9.86M----44.08%2.63M----60.36%2.55M----36.42%1.82M----57.16%1.59M----
Total equity 1.88%2.48B----4.99%2.39B----3.85%2.44B-----4.29%2.27B-----2.03%2.35B----
Total equity and total liabilities 7.39%5.47B----7.44%4.96B----12.02%5.09B-----4.42%4.62B-----9.18%4.55B----
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --------Unqualified Opinion------Unqualified Opinion--
Auditor --------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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