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00001 CKH HOLDINGS

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  • 43.250
  • +0.300+0.70%
Market Closed Apr 25 16:08 CST
165.65BMarket Cap9.69P/E (TTM)

CKH HOLDINGS 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
-21.04%23.85B
-5.48%13.56B
-30.81%30.21B
-36.55%14.34B
7.87%43.66B
5.56%22.6B
8.22%40.47B
-43.12%21.41B
-21.73%37.4B
-20.99%37.65B
Profit adjustment
Interest expense - adjustment
9.53%13.39B
16.58%6.63B
35.08%12.23B
29.46%5.69B
-14.67%9.05B
-18.38%4.39B
-2.23%10.61B
--5.38B
-24.15%10.85B
----
Dividend (income)- adjustment
1.06%11.51B
-5.78%5.71B
-10.91%11.39B
-1.94%6.06B
15.14%12.78B
17.88%6.18B
8.41%11.1B
--5.24B
12.58%10.24B
----
Attributable subsidiary (profit) loss
-3.30%-16.66B
-9.50%-8.54B
16.19%-16.13B
27.66%-7.8B
-58.90%-19.24B
-143.85%-10.78B
-189.22%-12.11B
---4.42B
252.05%13.58B
----
Impairment and provisions:
--1.86B
----
----
----
-22.19%12.04B
-93.54%1B
--15.47B
--15.47B
----
----
-Impairment of goodwill
----
----
----
----
-22.19%12.04B
----
--15.47B
--15.47B
----
----
-Other impairments and provisions
--1.86B
----
----
----
----
--1B
----
----
----
----
Asset sale loss (gain):
78.89%-331M
73.69%-453M
94.31%-1.57B
76.14%-1.72B
-5.83%-27.53B
71.86%-7.22B
7.40%-26.02B
---25.64B
-294.43%-28.1B
----
-Loss (gain) from sale of subsidiary company
-480.43%-350M
-1,048.65%-351M
100.34%92M
100.51%37M
-4.40%-27.22B
71.59%-7.26B
7.81%-26.07B
---25.54B
-287.71%-28.28B
----
-Loss (gain) on sale of property, machinery and equipment
-42.60%97M
-134.29%-24M
-13.78%169M
75.00%70M
284.31%196M
139.60%40M
-71.82%51M
---101M
6.47%181M
----
-Loss (gain) from selling other assets
95.74%-78M
95.74%-78M
-255.15%-1.83B
---1.83B
---515M
----
----
----
----
----
Depreciation and amortization:
0.94%40.46B
0.77%19.83B
0.74%40.08B
-4.83%19.68B
-12.08%39.79B
-9.26%20.67B
8.64%45.26B
--22.78B
9.26%41.66B
----
-Depreciation
0.94%40.46B
0.77%19.83B
0.74%40.08B
-4.83%19.68B
-12.08%39.79B
-9.26%20.67B
8.64%45.26B
--22.78B
9.26%41.66B
----
Exchange Loss (gain)
----
----
----
----
----
----
--3.51B
--3.51B
----
----
Special items
231.82%1.05B
144.98%309M
-123.70%-795M
-940.91%-687M
241.88%3.35B
97.97%-66M
-263.49%-2.36B
---3.25B
-28.91%1.45B
----
Operating profit before the change of operating capital
-0.38%75.13B
4.17%37.04B
2.06%75.42B
-3.34%35.55B
-14.01%73.9B
-9.17%36.78B
-1.31%85.93B
7.57%40.5B
-8.63%87.07B
-20.99%37.65B
Change of operating capital
Special items for working capital changes
62.55%-2.98B
----
---7.97B
----
----
----
----
----
----
----
Cash  from business operations
-3.69%57.21B
0.08%28.19B
-3.09%59.4B
-7.96%28.17B
-13.99%61.29B
-6.40%30.61B
-1.91%71.26B
8.56%32.7B
-2.93%72.66B
-18.94%30.12B
Other taxs
-18.34%-4.65B
-29.20%-2.27B
-10.67%-3.93B
0.79%-1.76B
13.20%-3.55B
26.51%-1.77B
-12.79%-4.09B
-12.65%-2.41B
37.70%-3.63B
35.10%-2.14B
Interest paid - operating
-9.80%-13.27B
-16.83%-6.57B
-33.50%-12.08B
-27.72%-5.62B
14.43%-9.05B
18.26%-4.4B
1.96%-10.58B
-0.04%-5.38B
26.21%-10.79B
25.11%-5.38B
Special items of business
85.56%14.94B
803.00%3.61B
0.32%8.05B
-88.90%400M
281.89%8.02B
-9.93%3.6B
-129.54%-4.41B
-35.25%4B
0.44%14.93B
28,172.73%6.18B
Net cash from operations
5.43%54.23B
8.37%22.97B
-9.30%51.44B
-24.41%21.19B
8.68%56.71B
-3.00%28.03B
-28.68%52.18B
0.44%28.9B
5.63%73.17B
7.98%28.77B
Cash flow from investment activities
Loan receivable (increase) decrease
-56.10%1.24B
-84.38%350M
656.42%2.83B
467.34%2.24B
-64.18%374M
8.22%395M
-35.11%1.04B
2,333.33%365M
151.01%1.61B
-93.70%15M
Sale of fixed assets
-13.10%146M
505.26%115M
-49.85%168M
-91.59%19M
-23.52%335M
-1.74%226M
-22.34%438M
-50.32%230M
276.00%564M
807.84%463M
Purchase of fixed assets
6.02%-20.37B
9.53%-8.82B
9.27%-21.67B
2.65%-9.75B
11.72%-23.89B
5.58%-10.01B
0.18%-27.06B
-13.88%-10.6B
15.80%-27.1B
25.73%-9.31B
Purchase of intangible assets
45.33%-1.99B
51.09%-811M
-84.60%-3.63B
-114.77%-1.66B
84.37%-1.97B
90.48%-772M
-409.60%-12.59B
-752.79%-8.11B
39.80%-2.47B
45.06%-951M
Sale of subsidiaries
-84.47%512M
-84.42%512M
-85.23%3.3B
581.11%3.29B
-43.28%22.32B
-101.74%-683M
72.71%39.35B
2,509.30%39.27B
2,531.06%22.79B
-31.62%1.51B
Acquisition of subsidiaries
-653.32%-6.58B
-827.59%-1.61B
74.77%-874M
94.75%-174M
-83.18%-3.46B
-543.69%-3.32B
-127.01%-1.89B
31.97%-515M
8.96%-833M
-50.20%-757M
Recovery of cash from investments
61.24%7.44B
3,898.88%3.56B
85.04%4.61B
-49.43%89M
657.75%2.49B
-44.65%176M
-55.72%329M
12.37%318M
17.38%743M
67.46%283M
Cash on investment
-108.16%-306M
6.73%-97M
73.94%-147M
73.40%-104M
-213.33%-564M
-428.38%-391M
89.76%-180M
95.37%-74M
-2,341.67%-1.76B
-22,714.29%-1.6B
Net cash from investment operations
-29.11%-19.9B
-12.50%-6.8B
-253.88%-15.42B
57.93%-6.05B
-692.00%-4.36B
-168.84%-14.38B
91.49%-550M
301.75%20.88B
82.73%-6.46B
14.60%-10.35B
Net cash before financing
-4.71%34.33B
6.72%16.16B
-31.20%36.02B
10.87%15.14B
1.40%52.36B
-72.56%13.66B
-22.60%51.63B
170.21%49.78B
109.43%66.71B
26.82%18.42B
Cash flow from financing activities
New borrowing
-6.26%55.06B
-15.15%32.32B
49.59%58.74B
18.73%38.09B
-44.66%39.27B
-25.76%32.08B
59.83%70.95B
50.04%43.22B
-79.01%44.39B
32.70%28.8B
Refund
20.12%-60.2B
54.97%-19.82B
-10.72%-75.36B
27.72%-44.01B
18.53%-68.06B
-61.85%-60.89B
-48.23%-83.55B
-71.52%-37.62B
73.35%-56.36B
20.54%-21.93B
Issuing shares
--624M
--27M
----
----
-10.53%85M
-1.16%85M
--95M
--86M
----
----
Issuance of bonds
----
----
----
----
----
----
--4.65B
--2.33B
----
----
Dividends paid - financing
-11.43%-17.55B
-16.23%-12.87B
-1.69%-15.75B
-5.07%-11.07B
6.92%-15.49B
-0.52%-10.54B
3.08%-16.64B
16.54%-10.48B
12.13%-17.16B
9.56%-12.56B
Issuance expenses and redemption of securities expenses
---4.18B
---4.18B
----
----
24.55%-8B
20.59%-7.8B
---10.6B
---9.83B
----
----
Other items of the financing business
----
----
106.75%61M
----
53.76%-904M
----
-164.55%-1.96B
-951.08%-1.96B
-142.89%-739M
61.09%-186M
Net cash from financing operations
13.76%-40.35B
51.46%-11.89B
30.59%-46.78B
55.05%-24.49B
-23.79%-67.41B
-130.81%-54.48B
-13.72%-54.45B
-53.24%-23.6B
-42.00%-47.88B
46.71%-15.4B
Net Cash
44.06%-6.02B
145.76%4.28B
28.48%-10.76B
77.11%-9.35B
-434.00%-15.05B
-255.92%-40.82B
-114.97%-2.82B
766.82%26.18B
1,107.17%18.82B
121.00%3.02B
Begining period cash
-7.79%127.32B
-7.79%127.32B
-9.83%138.09B
-9.83%138.09B
-1.81%153.13B
-1.81%153.13B
13.73%155.95B
13.73%155.95B
-1.34%137.13B
-1.34%137.13B
Cash at the end
-4.73%121.3B
2.22%131.6B
-7.79%127.32B
14.62%128.74B
-9.83%138.09B
-38.33%112.32B
-1.81%153.13B
29.96%182.13B
13.73%155.95B
12.46%140.15B
Cash balance analysis
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
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 -21.04%23.85B-5.48%13.56B-30.81%30.21B-36.55%14.34B7.87%43.66B5.56%22.6B8.22%40.47B-43.12%21.41B-21.73%37.4B-20.99%37.65B
Profit adjustment
Interest expense - adjustment 9.53%13.39B16.58%6.63B35.08%12.23B29.46%5.69B-14.67%9.05B-18.38%4.39B-2.23%10.61B--5.38B-24.15%10.85B----
Dividend (income)- adjustment 1.06%11.51B-5.78%5.71B-10.91%11.39B-1.94%6.06B15.14%12.78B17.88%6.18B8.41%11.1B--5.24B12.58%10.24B----
Attributable subsidiary (profit) loss -3.30%-16.66B-9.50%-8.54B16.19%-16.13B27.66%-7.8B-58.90%-19.24B-143.85%-10.78B-189.22%-12.11B---4.42B252.05%13.58B----
Impairment and provisions: --1.86B-------------22.19%12.04B-93.54%1B--15.47B--15.47B--------
-Impairment of goodwill -----------------22.19%12.04B------15.47B--15.47B--------
-Other impairments and provisions --1.86B------------------1B----------------
Asset sale loss (gain): 78.89%-331M73.69%-453M94.31%-1.57B76.14%-1.72B-5.83%-27.53B71.86%-7.22B7.40%-26.02B---25.64B-294.43%-28.1B----
-Loss (gain) from sale of subsidiary company -480.43%-350M-1,048.65%-351M100.34%92M100.51%37M-4.40%-27.22B71.59%-7.26B7.81%-26.07B---25.54B-287.71%-28.28B----
-Loss (gain) on sale of property, machinery and equipment -42.60%97M-134.29%-24M-13.78%169M75.00%70M284.31%196M139.60%40M-71.82%51M---101M6.47%181M----
-Loss (gain) from selling other assets 95.74%-78M95.74%-78M-255.15%-1.83B---1.83B---515M--------------------
Depreciation and amortization: 0.94%40.46B0.77%19.83B0.74%40.08B-4.83%19.68B-12.08%39.79B-9.26%20.67B8.64%45.26B--22.78B9.26%41.66B----
-Depreciation 0.94%40.46B0.77%19.83B0.74%40.08B-4.83%19.68B-12.08%39.79B-9.26%20.67B8.64%45.26B--22.78B9.26%41.66B----
Exchange Loss (gain) --------------------------3.51B--3.51B--------
Special items 231.82%1.05B144.98%309M-123.70%-795M-940.91%-687M241.88%3.35B97.97%-66M-263.49%-2.36B---3.25B-28.91%1.45B----
Operating profit before the change of operating capital -0.38%75.13B4.17%37.04B2.06%75.42B-3.34%35.55B-14.01%73.9B-9.17%36.78B-1.31%85.93B7.57%40.5B-8.63%87.07B-20.99%37.65B
Change of operating capital
Special items for working capital changes 62.55%-2.98B-------7.97B----------------------------
Cash  from business operations -3.69%57.21B0.08%28.19B-3.09%59.4B-7.96%28.17B-13.99%61.29B-6.40%30.61B-1.91%71.26B8.56%32.7B-2.93%72.66B-18.94%30.12B
Other taxs -18.34%-4.65B-29.20%-2.27B-10.67%-3.93B0.79%-1.76B13.20%-3.55B26.51%-1.77B-12.79%-4.09B-12.65%-2.41B37.70%-3.63B35.10%-2.14B
Interest paid - operating -9.80%-13.27B-16.83%-6.57B-33.50%-12.08B-27.72%-5.62B14.43%-9.05B18.26%-4.4B1.96%-10.58B-0.04%-5.38B26.21%-10.79B25.11%-5.38B
Special items of business 85.56%14.94B803.00%3.61B0.32%8.05B-88.90%400M281.89%8.02B-9.93%3.6B-129.54%-4.41B-35.25%4B0.44%14.93B28,172.73%6.18B
Net cash from operations 5.43%54.23B8.37%22.97B-9.30%51.44B-24.41%21.19B8.68%56.71B-3.00%28.03B-28.68%52.18B0.44%28.9B5.63%73.17B7.98%28.77B
Cash flow from investment activities
Loan receivable (increase) decrease -56.10%1.24B-84.38%350M656.42%2.83B467.34%2.24B-64.18%374M8.22%395M-35.11%1.04B2,333.33%365M151.01%1.61B-93.70%15M
Sale of fixed assets -13.10%146M505.26%115M-49.85%168M-91.59%19M-23.52%335M-1.74%226M-22.34%438M-50.32%230M276.00%564M807.84%463M
Purchase of fixed assets 6.02%-20.37B9.53%-8.82B9.27%-21.67B2.65%-9.75B11.72%-23.89B5.58%-10.01B0.18%-27.06B-13.88%-10.6B15.80%-27.1B25.73%-9.31B
Purchase of intangible assets 45.33%-1.99B51.09%-811M-84.60%-3.63B-114.77%-1.66B84.37%-1.97B90.48%-772M-409.60%-12.59B-752.79%-8.11B39.80%-2.47B45.06%-951M
Sale of subsidiaries -84.47%512M-84.42%512M-85.23%3.3B581.11%3.29B-43.28%22.32B-101.74%-683M72.71%39.35B2,509.30%39.27B2,531.06%22.79B-31.62%1.51B
Acquisition of subsidiaries -653.32%-6.58B-827.59%-1.61B74.77%-874M94.75%-174M-83.18%-3.46B-543.69%-3.32B-127.01%-1.89B31.97%-515M8.96%-833M-50.20%-757M
Recovery of cash from investments 61.24%7.44B3,898.88%3.56B85.04%4.61B-49.43%89M657.75%2.49B-44.65%176M-55.72%329M12.37%318M17.38%743M67.46%283M
Cash on investment -108.16%-306M6.73%-97M73.94%-147M73.40%-104M-213.33%-564M-428.38%-391M89.76%-180M95.37%-74M-2,341.67%-1.76B-22,714.29%-1.6B
Net cash from investment operations -29.11%-19.9B-12.50%-6.8B-253.88%-15.42B57.93%-6.05B-692.00%-4.36B-168.84%-14.38B91.49%-550M301.75%20.88B82.73%-6.46B14.60%-10.35B
Net cash before financing -4.71%34.33B6.72%16.16B-31.20%36.02B10.87%15.14B1.40%52.36B-72.56%13.66B-22.60%51.63B170.21%49.78B109.43%66.71B26.82%18.42B
Cash flow from financing activities
New borrowing -6.26%55.06B-15.15%32.32B49.59%58.74B18.73%38.09B-44.66%39.27B-25.76%32.08B59.83%70.95B50.04%43.22B-79.01%44.39B32.70%28.8B
Refund 20.12%-60.2B54.97%-19.82B-10.72%-75.36B27.72%-44.01B18.53%-68.06B-61.85%-60.89B-48.23%-83.55B-71.52%-37.62B73.35%-56.36B20.54%-21.93B
Issuing shares --624M--27M---------10.53%85M-1.16%85M--95M--86M--------
Issuance of bonds --------------------------4.65B--2.33B--------
Dividends paid - financing -11.43%-17.55B-16.23%-12.87B-1.69%-15.75B-5.07%-11.07B6.92%-15.49B-0.52%-10.54B3.08%-16.64B16.54%-10.48B12.13%-17.16B9.56%-12.56B
Issuance expenses and redemption of securities expenses ---4.18B---4.18B--------24.55%-8B20.59%-7.8B---10.6B---9.83B--------
Other items of the financing business --------106.75%61M----53.76%-904M-----164.55%-1.96B-951.08%-1.96B-142.89%-739M61.09%-186M
Net cash from financing operations 13.76%-40.35B51.46%-11.89B30.59%-46.78B55.05%-24.49B-23.79%-67.41B-130.81%-54.48B-13.72%-54.45B-53.24%-23.6B-42.00%-47.88B46.71%-15.4B
Net Cash 44.06%-6.02B145.76%4.28B28.48%-10.76B77.11%-9.35B-434.00%-15.05B-255.92%-40.82B-114.97%-2.82B766.82%26.18B1,107.17%18.82B121.00%3.02B
Begining period cash -7.79%127.32B-7.79%127.32B-9.83%138.09B-9.83%138.09B-1.81%153.13B-1.81%153.13B13.73%155.95B13.73%155.95B-1.34%137.13B-1.34%137.13B
Cash at the end -4.73%121.3B2.22%131.6B-7.79%127.32B14.62%128.74B-9.83%138.09B-38.33%112.32B-1.81%153.13B29.96%182.13B13.73%155.95B12.46%140.15B
Cash balance analysis
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
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.

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