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00285 BYD ELECTRONIC

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  • 34.750
  • +0.750+2.21%
Market Closed Apr 25 16:08 CST
78.30BMarket Cap17.00P/E (TTM)

BYD ELECTRONIC Key Stats

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YOY yoy
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(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
1.27%4.74B
-2.04%1.64B
141.47%4.68B
142.39%1.67B
-21.37%1.94B
-60.55%688.94M
-60.37%2.47B
-38.31%1.75B
266.75%6.22B
357.44%2.83B
Profit adjustment
Interest (income) - adjustment
-28.04%-308M
-153.68%-159.8M
-367.00%-240.54M
-308.51%-62.99M
35.29%-51.51M
56.62%-15.42M
-57.72%-79.6M
-44.75%-35.54M
5.99%-50.47M
21.01%-24.56M
Impairment and provisions:
255.19%495.34M
264.13%196.71M
79.55%139.46M
43.35%54.02M
-75.17%77.67M
121.02%37.69M
18,824.74%312.83M
-74.96%17.05M
-95.95%1.65M
64.60%68.1M
-Impairmen of inventory (reversal)
294.35%451.45M
311.58%192.4M
53.71%114.48M
21.71%46.75M
-76.77%74.48M
55.00%38.41M
9,479.06%320.61M
787.46%24.78M
-86.55%3.35M
-92.86%2.79M
-Impairment of trade receivables (reversal)
72.05%43.48M
-41.83%4.27M
656.39%25.27M
1,264.29%7.34M
141.00%3.34M
91.83%-630K
-1,134.01%-8.15M
-111.73%-7.71M
-94.59%788K
2,785.38%65.7M
-Other impairments and provisions
239.93%410K
171.67%43K
-97.97%-293K
34.07%-60K
-140.77%-148K
-355.00%-91K
114.63%363K
94.87%-20K
-276.28%-2.48M
-2,194.12%-390K
Revaluation surplus:
-10.47%-54.45M
-208.01%-54.16M
-361.51%-49.29M
-534.57%-17.58M
--18.85M
-496.99%-2.77M
----
123.34%698K
-10,700.00%-7.24M
6.79%-2.99M
-Derivative financial instruments fair value (increase)
59.78%-5.22M
-28.88%-22.66M
-171.31%-12.99M
---17.58M
--18.21M
----
----
123.34%698K
-161.76%-948K
6.79%-2.99M
-Other fair value changes
-35.60%-49.22M
---31.5M
-5,807.55%-36.3M
----
--636K
---2.77M
----
----
-292.51%-6.29M
----
Asset sale loss (gain):
30.39%191.74M
-3.96%16.85M
360.06%147.05M
283.37%17.54M
46.06%31.96M
-41.22%4.58M
-73.80%21.88M
-83.21%7.79M
384.58%83.54M
523.95%46.37M
-Loss (gain) on sale of property, machinery and equipment
30.39%191.74M
-3.96%16.85M
360.06%147.05M
283.37%17.54M
46.06%31.96M
-41.22%4.58M
-73.80%21.88M
-83.21%7.79M
384.58%83.54M
523.95%46.37M
Depreciation and amortization:
102.51%6.4B
95.67%3.08B
8.32%3.16B
10.35%1.57B
14.07%2.92B
11.47%1.43B
25.21%2.56B
31.34%1.28B
-10.27%2.04B
-12.40%974.36M
-Amortization of intangible assets
27,644.77%932.78M
25,809.11%466.62M
-3.28%3.36M
6.13%1.8M
-9.71%3.48M
-17.18%1.7M
-18.67%3.85M
-15.08%2.05M
-36.04%4.73M
-43.91%2.41M
Financial expense
176.15%520.85M
425.95%309.34M
222.24%188.61M
138.08%58.82M
35.09%58.53M
-15.84%24.7M
-39.26%43.33M
6.24%29.35M
128.50%71.33M
102.77%27.63M
Special items
-29.76%-84.29M
-42.30%-36.86M
-106.64%-64.96M
-248.44%-25.9M
50.46%-31.44M
83.22%-7.43M
21.74%-63.45M
-829.61%-44.31M
-745.82%-81.07M
11.25%-4.77M
Operating profit before the change of operating capital
49.48%11.9B
52.64%4.99B
60.52%7.96B
51.52%3.27B
-5.66%4.96B
-28.13%2.16B
-36.51%5.26B
-23.34%3B
107.12%8.28B
123.21%3.91B
Change of operating capital
Inventory (increase) decrease
-99.91%1.38M
-149.59%-2.26B
124.48%1.6B
26.62%-905.19M
-63.98%-6.55B
58.32%-1.23B
-167.54%-4B
-1,469.46%-2.96B
-127.02%-1.49B
122.50%216.09M
Accounts receivable (increase)decrease
-108.09%-9.51B
4.80%-291.57M
-26.89%-4.57B
33.08%-306.25M
-260.01%-3.6B
-110.03%-457.64M
146.27%2.25B
259.28%4.56B
-104.61%-4.87B
-8,171.88%-2.86B
Accounts payable increase (decrease)
1.00%4.76B
-839.88%-2.47B
-56.11%4.72B
-87.35%333.4M
231.57%10.75B
512.69%2.64B
43.53%3.24B
-127.04%-638.86M
556.75%2.26B
249.64%2.36B
prepayments (increase)decrease
-226.36%-286.67M
547.69%538.69M
-24.07%226.86M
-137.44%-120.33M
170.19%298.77M
247.70%321.38M
43.21%-425.67M
-58.38%-217.6M
-1,129.47%-749.54M
35.34%-137.39M
Special items for working capital changes
-54.83%150.62M
-94.31%12.34M
32.19%333.49M
701.30%216.83M
282.11%252.29M
-196.44%-36.06M
-37.76%66.02M
761.17%37.39M
2,748.49%106.07M
199.59%4.34M
Cash  from business operations
-31.69%7.02B
-79.02%521.54M
68.34%10.27B
-26.60%2.49B
-4.58%6.1B
-10.47%3.39B
80.86%6.39B
8.20%3.78B
778.52%3.54B
461.79%3.5B
Other taxs
-127.46%-610.29M
-150.70%-498.35M
-40.24%-268.31M
-55.03%-198.78M
-37.99%-191.32M
-14.14%-128.22M
63.22%-138.64M
-701.47%-112.33M
-386.56%-376.94M
86.04%-14.02M
Interest received - operating
28.04%308M
153.68%159.8M
367.00%240.54M
308.51%62.99M
-35.29%51.51M
-56.62%15.42M
57.72%79.6M
44.75%35.54M
-5.99%50.47M
-21.01%24.56M
Net cash from operations
-34.46%6.71B
-92.22%182.99M
71.83%10.24B
-28.22%2.35B
-5.90%5.96B
-11.66%3.27B
97.42%6.33B
5.68%3.71B
747.49%3.21B
438.61%3.51B
Cash flow from investment activities
Loan receivable (increase) decrease
----
----
----
----
----
----
--400M
----
----
----
Decrease in deposits (increase)
----
----
----
----
----
413.55%2.5M
----
-97.55%487K
197.60%19.83M
199.48%19.9M
Sale of fixed assets
-23.53%199.85M
-17.94%49.47M
89.59%261.34M
31.98%60.28M
276.21%137.85M
285.66%45.67M
295.56%36.64M
135.40%11.84M
-59.96%9.26M
-73.46%5.03M
Purchase of fixed assets
26.04%-2.85B
25.70%-1.6B
7.74%-3.85B
3.35%-2.15B
-6.26%-4.17B
-11.20%-2.23B
-40.11%-3.93B
-77.09%-2B
-2.16%-2.8B
-4.39%-1.13B
Purchase of intangible assets
89.84%-6.87M
93.20%-4.59M
7.54%-67.57M
-10,644.20%-67.58M
37.28%-73.08M
87.54%-629K
-10.29%-116.51M
95.09%-5.05M
4.26%-105.64M
-3,789.54%-102.96M
Acquisition of subsidiaries
----
----
---14.08B
----
----
----
----
----
----
----
Recovery of cash from investments
----
----
----
----
--13.78M
--17.19M
----
----
----
----
Cash on investment
----
----
----
----
-15.53%-180M
----
-55.80%-155.8M
---80.8M
---100M
----
Net cash from investment operations
85.03%-2.66B
28.03%-1.55B
-314.76%-17.74B
0.12%-2.16B
-13.59%-4.28B
-4.15%-2.16B
-26.30%-3.76B
-71.74%-2.08B
-4.50%-2.98B
-3.68%-1.21B
Net cash before financing
154.17%4.06B
-821.93%-1.37B
-544.62%-7.49B
-82.90%190.04M
-34.45%1.69B
-31.81%1.11B
1,025.25%2.57B
-29.08%1.63B
109.24%228.44M
204.35%2.3B
Cash flow from financing activities
New borrowing
1.51%20.8B
280.00%9.5B
641.20%20.49B
227.01%2.5B
215.20%2.76B
133.14%764.51M
-62.79%877.05M
-84.80%327.92M
--2.36B
--2.16B
Refund
-233.04%-26.19B
-587.33%-10.31B
-941.38%-7.86B
-98.63%-1.5B
73.67%-755.16M
64.50%-755.16M
-721.79%-2.87B
-509.39%-2.13B
---349.06M
---349.06M
Interest paid - financing
-426.79%-433.18M
-96.00%-72M
-922.49%-82.23M
-4,720.73%-36.73M
45.85%-8.04M
94.39%-762K
58.00%-14.85M
-31.42%-13.57M
-7,281.21%-35.36M
---10.33M
Dividends paid - financing
-226.06%-1.21B
----
-60.19%-371.78M
----
57.26%-232.08M
----
-239.44%-543.02M
----
63.59%-159.98M
----
Pledged bank deposit (increase) decrease
-23.06%8.95M
---4.17M
-96.51%11.63M
----
194.30%333.11M
--351.24M
---353.26M
----
----
----
Net cash from financing operations
-164.13%-7.58B
-235.41%-1.07B
571.34%11.82B
228.58%788.18M
155.06%1.76B
112.27%239.87M
-303.69%-3.2B
-215.66%-1.96B
352.04%1.57B
1,959.62%1.69B
Effect of rate
204.05%38.16M
456.08%31.97M
-34.54%-36.68M
33.81%-8.98M
-104.72%-27.26M
-62.00%-13.56M
-180.77%-13.32M
-1,140.12%-8.37M
176.70%16.49M
275.76%805K
Net Cash
-181.37%-3.52B
-349.35%-2.44B
25.66%4.33B
-27.61%978.22M
648.90%3.45B
515.26%1.35B
-134.91%-627.83M
-108.16%-325.41M
158.09%1.8B
273.93%3.99B
Begining period cash
68.77%10.54B
68.77%10.54B
121.04%6.24B
121.04%6.24B
-18.50%2.82B
-18.50%2.82B
109.96%3.47B
109.96%3.47B
-65.18%1.65B
-65.18%1.65B
Cash at the end
-33.08%7.05B
12.72%8.13B
68.77%10.54B
73.28%7.21B
121.04%6.24B
32.90%4.16B
-18.50%2.82B
-44.47%3.13B
109.96%3.47B
130.43%5.64B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
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
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
(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 1.27%4.74B-2.04%1.64B141.47%4.68B142.39%1.67B-21.37%1.94B-60.55%688.94M-60.37%2.47B-38.31%1.75B266.75%6.22B357.44%2.83B
Profit adjustment
Interest (income) - adjustment -28.04%-308M-153.68%-159.8M-367.00%-240.54M-308.51%-62.99M35.29%-51.51M56.62%-15.42M-57.72%-79.6M-44.75%-35.54M5.99%-50.47M21.01%-24.56M
Impairment and provisions: 255.19%495.34M264.13%196.71M79.55%139.46M43.35%54.02M-75.17%77.67M121.02%37.69M18,824.74%312.83M-74.96%17.05M-95.95%1.65M64.60%68.1M
-Impairmen of inventory (reversal) 294.35%451.45M311.58%192.4M53.71%114.48M21.71%46.75M-76.77%74.48M55.00%38.41M9,479.06%320.61M787.46%24.78M-86.55%3.35M-92.86%2.79M
-Impairment of trade receivables (reversal) 72.05%43.48M-41.83%4.27M656.39%25.27M1,264.29%7.34M141.00%3.34M91.83%-630K-1,134.01%-8.15M-111.73%-7.71M-94.59%788K2,785.38%65.7M
-Other impairments and provisions 239.93%410K171.67%43K-97.97%-293K34.07%-60K-140.77%-148K-355.00%-91K114.63%363K94.87%-20K-276.28%-2.48M-2,194.12%-390K
Revaluation surplus: -10.47%-54.45M-208.01%-54.16M-361.51%-49.29M-534.57%-17.58M--18.85M-496.99%-2.77M----123.34%698K-10,700.00%-7.24M6.79%-2.99M
-Derivative financial instruments fair value (increase) 59.78%-5.22M-28.88%-22.66M-171.31%-12.99M---17.58M--18.21M--------123.34%698K-161.76%-948K6.79%-2.99M
-Other fair value changes -35.60%-49.22M---31.5M-5,807.55%-36.3M------636K---2.77M---------292.51%-6.29M----
Asset sale loss (gain): 30.39%191.74M-3.96%16.85M360.06%147.05M283.37%17.54M46.06%31.96M-41.22%4.58M-73.80%21.88M-83.21%7.79M384.58%83.54M523.95%46.37M
-Loss (gain) on sale of property, machinery and equipment 30.39%191.74M-3.96%16.85M360.06%147.05M283.37%17.54M46.06%31.96M-41.22%4.58M-73.80%21.88M-83.21%7.79M384.58%83.54M523.95%46.37M
Depreciation and amortization: 102.51%6.4B95.67%3.08B8.32%3.16B10.35%1.57B14.07%2.92B11.47%1.43B25.21%2.56B31.34%1.28B-10.27%2.04B-12.40%974.36M
-Amortization of intangible assets 27,644.77%932.78M25,809.11%466.62M-3.28%3.36M6.13%1.8M-9.71%3.48M-17.18%1.7M-18.67%3.85M-15.08%2.05M-36.04%4.73M-43.91%2.41M
Financial expense 176.15%520.85M425.95%309.34M222.24%188.61M138.08%58.82M35.09%58.53M-15.84%24.7M-39.26%43.33M6.24%29.35M128.50%71.33M102.77%27.63M
Special items -29.76%-84.29M-42.30%-36.86M-106.64%-64.96M-248.44%-25.9M50.46%-31.44M83.22%-7.43M21.74%-63.45M-829.61%-44.31M-745.82%-81.07M11.25%-4.77M
Operating profit before the change of operating capital 49.48%11.9B52.64%4.99B60.52%7.96B51.52%3.27B-5.66%4.96B-28.13%2.16B-36.51%5.26B-23.34%3B107.12%8.28B123.21%3.91B
Change of operating capital
Inventory (increase) decrease -99.91%1.38M-149.59%-2.26B124.48%1.6B26.62%-905.19M-63.98%-6.55B58.32%-1.23B-167.54%-4B-1,469.46%-2.96B-127.02%-1.49B122.50%216.09M
Accounts receivable (increase)decrease -108.09%-9.51B4.80%-291.57M-26.89%-4.57B33.08%-306.25M-260.01%-3.6B-110.03%-457.64M146.27%2.25B259.28%4.56B-104.61%-4.87B-8,171.88%-2.86B
Accounts payable increase (decrease) 1.00%4.76B-839.88%-2.47B-56.11%4.72B-87.35%333.4M231.57%10.75B512.69%2.64B43.53%3.24B-127.04%-638.86M556.75%2.26B249.64%2.36B
prepayments (increase)decrease -226.36%-286.67M547.69%538.69M-24.07%226.86M-137.44%-120.33M170.19%298.77M247.70%321.38M43.21%-425.67M-58.38%-217.6M-1,129.47%-749.54M35.34%-137.39M
Special items for working capital changes -54.83%150.62M-94.31%12.34M32.19%333.49M701.30%216.83M282.11%252.29M-196.44%-36.06M-37.76%66.02M761.17%37.39M2,748.49%106.07M199.59%4.34M
Cash  from business operations -31.69%7.02B-79.02%521.54M68.34%10.27B-26.60%2.49B-4.58%6.1B-10.47%3.39B80.86%6.39B8.20%3.78B778.52%3.54B461.79%3.5B
Other taxs -127.46%-610.29M-150.70%-498.35M-40.24%-268.31M-55.03%-198.78M-37.99%-191.32M-14.14%-128.22M63.22%-138.64M-701.47%-112.33M-386.56%-376.94M86.04%-14.02M
Interest received - operating 28.04%308M153.68%159.8M367.00%240.54M308.51%62.99M-35.29%51.51M-56.62%15.42M57.72%79.6M44.75%35.54M-5.99%50.47M-21.01%24.56M
Net cash from operations -34.46%6.71B-92.22%182.99M71.83%10.24B-28.22%2.35B-5.90%5.96B-11.66%3.27B97.42%6.33B5.68%3.71B747.49%3.21B438.61%3.51B
Cash flow from investment activities
Loan receivable (increase) decrease --------------------------400M------------
Decrease in deposits (increase) --------------------413.55%2.5M-----97.55%487K197.60%19.83M199.48%19.9M
Sale of fixed assets -23.53%199.85M-17.94%49.47M89.59%261.34M31.98%60.28M276.21%137.85M285.66%45.67M295.56%36.64M135.40%11.84M-59.96%9.26M-73.46%5.03M
Purchase of fixed assets 26.04%-2.85B25.70%-1.6B7.74%-3.85B3.35%-2.15B-6.26%-4.17B-11.20%-2.23B-40.11%-3.93B-77.09%-2B-2.16%-2.8B-4.39%-1.13B
Purchase of intangible assets 89.84%-6.87M93.20%-4.59M7.54%-67.57M-10,644.20%-67.58M37.28%-73.08M87.54%-629K-10.29%-116.51M95.09%-5.05M4.26%-105.64M-3,789.54%-102.96M
Acquisition of subsidiaries -----------14.08B----------------------------
Recovery of cash from investments ------------------13.78M--17.19M----------------
Cash on investment -----------------15.53%-180M-----55.80%-155.8M---80.8M---100M----
Net cash from investment operations 85.03%-2.66B28.03%-1.55B-314.76%-17.74B0.12%-2.16B-13.59%-4.28B-4.15%-2.16B-26.30%-3.76B-71.74%-2.08B-4.50%-2.98B-3.68%-1.21B
Net cash before financing 154.17%4.06B-821.93%-1.37B-544.62%-7.49B-82.90%190.04M-34.45%1.69B-31.81%1.11B1,025.25%2.57B-29.08%1.63B109.24%228.44M204.35%2.3B
Cash flow from financing activities
New borrowing 1.51%20.8B280.00%9.5B641.20%20.49B227.01%2.5B215.20%2.76B133.14%764.51M-62.79%877.05M-84.80%327.92M--2.36B--2.16B
Refund -233.04%-26.19B-587.33%-10.31B-941.38%-7.86B-98.63%-1.5B73.67%-755.16M64.50%-755.16M-721.79%-2.87B-509.39%-2.13B---349.06M---349.06M
Interest paid - financing -426.79%-433.18M-96.00%-72M-922.49%-82.23M-4,720.73%-36.73M45.85%-8.04M94.39%-762K58.00%-14.85M-31.42%-13.57M-7,281.21%-35.36M---10.33M
Dividends paid - financing -226.06%-1.21B-----60.19%-371.78M----57.26%-232.08M-----239.44%-543.02M----63.59%-159.98M----
Pledged bank deposit (increase) decrease -23.06%8.95M---4.17M-96.51%11.63M----194.30%333.11M--351.24M---353.26M------------
Net cash from financing operations -164.13%-7.58B-235.41%-1.07B571.34%11.82B228.58%788.18M155.06%1.76B112.27%239.87M-303.69%-3.2B-215.66%-1.96B352.04%1.57B1,959.62%1.69B
Effect of rate 204.05%38.16M456.08%31.97M-34.54%-36.68M33.81%-8.98M-104.72%-27.26M-62.00%-13.56M-180.77%-13.32M-1,140.12%-8.37M176.70%16.49M275.76%805K
Net Cash -181.37%-3.52B-349.35%-2.44B25.66%4.33B-27.61%978.22M648.90%3.45B515.26%1.35B-134.91%-627.83M-108.16%-325.41M158.09%1.8B273.93%3.99B
Begining period cash 68.77%10.54B68.77%10.54B121.04%6.24B121.04%6.24B-18.50%2.82B-18.50%2.82B109.96%3.47B109.96%3.47B-65.18%1.65B-65.18%1.65B
Cash at the end -33.08%7.05B12.72%8.13B68.77%10.54B73.28%7.21B121.04%6.24B32.90%4.16B-18.50%2.82B-44.47%3.13B109.96%3.47B130.43%5.64B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young--

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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HK Tech and Internet Stocks HK Tech and Internet Stocks

Stocks of companies primarily involved in technology and internet sectors in the HK stock market.Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in HK Tech and Internet Stocks, ranked from highest to lowest based on real-time market data. Stocks of companies primarily involved in technology and internet sectors in the HK stock market.Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in HK Tech and Internet Stocks, ranked from highest to lowest based on real-time market data.

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