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00433 NORTH MINING

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  • 0.030
  • -0.001-3.23%
Market Closed Apr 25 16:08 CST
375.35MMarket Cap-6.00P/E (TTM)

NORTH MINING Key Stats

All
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
Assets
Current assets
Inventory
103.58%317.95M
-30.88%148.36M
-42.57%156.18M
6.68%214.66M
14.80%271.95M
-30.00%201.22M
-14.29%236.89M
-35.69%287.46M
-35.14%276.38M
-7.19%447.01M
Accounts receivable
-61.08%45.15M
-39.93%45.24M
1,125.19%116M
423.85%75.3M
-45.54%9.47M
-48.49%14.38M
15.88%17.39M
374.27%27.91M
-96.23%15M
-51.08%5.88M
Advance deposits and other receivables
97.15%85.99M
25.53%125.74M
-61.84%43.61M
-44.56%100.16M
-38.34%114.29M
-24.01%180.66M
20.79%185.36M
-45.81%237.75M
-61.86%153.46M
-25.33%438.73M
Cash and equivalents
156.64%15.25M
85.69%18.36M
-47.63%5.94M
-75.33%9.89M
-45.29%11.34M
-2.04%40.08M
31.53%20.73M
39.43%40.91M
-14.55%15.76M
6.71%29.34M
Special items of current assets
----
----
----
----
----
----
----
----
----
-36.40%424.47M
Total current assets
44.32%464.33M
-15.58%337.7M
-20.96%321.73M
-8.32%400.02M
-11.58%407.05M
-26.55%436.33M
-0.05%460.37M
-55.85%594.02M
-63.00%460.61M
-24.33%1.35B
Non-current assets
Property, plant and equipment
-19.82%474.37M
-17.68%536.49M
-15.48%591.62M
-0.87%651.71M
5.60%699.94M
7.51%657.43M
6.53%662.84M
-18.09%611.5M
-20.22%622.21M
-13.23%746.55M
Advance payment
66.61%43.66M
--22.52M
--26.21M
----
----
----
----
----
----
----
Long-term receivables
----
----
----
----
----
----
----
----
----
-0.84%466.06M
Intangible assets
-32.66%526.86M
-6.79%762.94M
-8.24%782.37M
-7.66%818.54M
-7.97%852.59M
-2.53%886.45M
3.02%926.43M
-64.79%909.44M
-65.62%899.23M
-20.88%2.58B
Goodwill
----
----
----
0.00%13.4M
0.00%13.4M
0.00%13.4M
0.00%13.4M
0.00%13.4M
0.00%13.4M
0.00%13.4M
Total non-current assets
-25.28%1.07B
-11.02%1.36B
-10.73%1.44B
-5.16%1.52B
-2.83%1.61B
0.96%1.61B
3.93%1.66B
-58.83%1.59B
-59.29%1.59B
-17.78%3.86B
Total assets
-12.55%1.54B
-11.97%1.69B
-12.79%1.76B
-5.84%1.92B
-4.73%2.02B
-6.52%2.04B
3.04%2.12B
-58.06%2.18B
-60.19%2.05B
-19.58%5.21B
Liabilities
Current liabilities
Accounts payable
-29.22%264.7M
3.88%369.07M
30.57%374M
19.53%355.27M
4.72%286.44M
-2.88%297.24M
35.69%273.54M
75.95%306.06M
42.65%201.6M
-1.96%173.95M
Tax payable
----
----
----
----
----
----
-96.30%7K
--280K
--189K
----
Other payables and accrued expenses
5.64%720.69M
-31.19%752.97M
-33.25%682.24M
9.82%1.09B
14.66%1.02B
38.77%996.46M
52.69%891.36M
80.00%718.08M
77.55%583.78M
35.16%398.94M
Bank loans and overdrafts
-38.89%409.08M
-53.03%608.02M
-49.49%669.42M
-3.69%1.29B
-4.54%1.33B
7.61%1.34B
12.41%1.39B
50.42%1.25B
44.15%1.24B
12.95%830.4M
Provision-current liabilities
----
----
----
----
----
----
--105.43M
----
----
-3.56%53.1M
Financial lease liabilities-current liabilities
8.85%283K
12.08%269K
10.17%260K
3.90%240K
3.96%236K
10.00%231K
-27.94%227K
-95.50%210K
-92.62%315K
19.69%4.67M
Special items of current liabilities
----
----
----
0.00%404.19M
4.16%404.19M
10.37%404.19M
12.56%388.05M
13.41%366.21M
14.42%344.73M
-8.93%322.9M
Total current liabilities
6.03%1.95B
-43.61%1.87B
-43.51%1.84B
4.49%3.31B
5.51%3.26B
17.90%3.17B
29.27%3.09B
48.34%2.69B
39.03%2.39B
9.88%1.81B
Net current assets
2.08%-1.49B
47.46%-1.53B
46.73%-1.52B
-6.53%-2.91B
-8.50%-2.85B
-30.50%-2.73B
-36.26%-2.63B
-348.43%-2.09B
-306.37%-1.93B
-463.63%-467.13M
Total assets less current liabilities
-398.80%-414.87M
87.40%-175M
93.32%-83.17M
-23.19%-1.39B
-27.76%-1.24B
-123.75%-1.13B
-189.52%-973.88M
-114.84%-503.99M
-109.78%-336.37M
-29.64%3.4B
Non-current liabilities
Long-term bank loan
-35.89%17.65M
43.59%34.15M
63.01%27.53M
-15.35%23.78M
53.38%16.89M
-86.52%28.1M
-94.67%11.01M
-59.48%208.39M
-60.61%206.65M
-25.77%514.26M
Financial lease liabilities-non-current liabilities
-7.39%6.63M
-8.89%6.53M
-5.63%7.16M
-10.66%7.16M
-10.74%7.59M
-5.25%8.02M
0.53%8.5M
687.80%8.46M
675.16%8.46M
-96.04%1.07M
Deferred tax liability
-39.94%131.72M
-6.17%213.85M
-7.62%219.3M
-7.66%227.91M
-7.97%237.38M
-2.53%246.81M
3.03%257.95M
11.84%253.21M
6.58%250.37M
-7.48%226.41M
Special items of non-current liabilities
----
----
----
----
----
----
57.10%17.51M
-33.52%10.76M
-32.23%11.15M
-75.44%16.19M
Total non-current liabilities
-38.58%156M
-1.67%254.53M
-3.01%253.99M
-8.51%258.85M
-11.22%261.86M
-41.16%282.93M
-38.11%294.97M
-36.56%480.83M
-38.67%476.62M
-26.45%757.93M
Total liabilities
0.62%2.11B
-40.57%2.12B
-40.50%2.1B
3.42%3.57B
4.05%3.52B
8.94%3.45B
18.07%3.39B
23.31%3.17B
14.85%2.87B
-4.09%2.57B
Total assets less total liabilities
-69.31%-570.87M
73.94%-429.52M
77.61%-337.17M
-16.83%-1.65B
-18.70%-1.51B
-43.23%-1.41B
-56.07%-1.27B
-137.32%-984.82M
-130.52%-813M
-30.51%2.64B
Total equity and non-current liabilities
-398.80%-414.87M
87.40%-175M
93.32%-83.17M
-23.19%-1.39B
-27.76%-1.24B
-123.75%-1.13B
-189.52%-973.88M
-114.84%-503.99M
-109.78%-336.37M
-29.64%3.4B
Equity
Share capital
0.00%250.23M
-33.08%250.23M
-33.08%250.23M
0.00%373.93M
0.00%373.93M
0.00%373.93M
0.00%373.93M
8.72%373.93M
8.72%373.93M
0.00%343.93M
Reserve
28.69%-206.95M
80.36%-354.18M
82.93%-290.21M
-10.51%-1.8B
-12.26%-1.7B
-25.47%-1.63B
-28.99%-1.51B
-192.10%-1.3B
-183.27%-1.17B
-31.90%1.41B
Shareholders' Equity
208.29%43.29M
92.73%-103.95M
96.99%-39.97M
-13.64%-1.43B
-16.28%-1.33B
-35.75%-1.26B
-42.53%-1.14B
-152.77%-926.67M
-145.63%-800.35M
-27.36%1.76B
Non-controlling interest
-106.65%-614.16M
-48.96%-325.57M
-65.49%-297.19M
-43.20%-218.56M
-40.17%-179.58M
-162.48%-152.63M
-912.93%-128.12M
-106.59%-58.15M
-101.39%-12.65M
-36.02%882.48M
Total equity
-69.31%-570.87M
73.94%-429.52M
77.61%-337.17M
-16.83%-1.65B
-18.70%-1.51B
-43.23%-1.41B
-56.07%-1.27B
-137.32%-984.82M
-130.52%-813M
-30.51%2.64B
Total equity and total liabilities
-12.55%1.54B
-11.97%1.69B
-12.79%1.76B
-5.84%1.92B
-4.73%2.02B
-6.52%2.04B
3.04%2.12B
-58.06%2.18B
-60.19%2.05B
-19.58%5.21B
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Auditor
--
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
(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
Assets
Current assets
Inventory 103.58%317.95M-30.88%148.36M-42.57%156.18M6.68%214.66M14.80%271.95M-30.00%201.22M-14.29%236.89M-35.69%287.46M-35.14%276.38M-7.19%447.01M
Accounts receivable -61.08%45.15M-39.93%45.24M1,125.19%116M423.85%75.3M-45.54%9.47M-48.49%14.38M15.88%17.39M374.27%27.91M-96.23%15M-51.08%5.88M
Advance deposits and other receivables 97.15%85.99M25.53%125.74M-61.84%43.61M-44.56%100.16M-38.34%114.29M-24.01%180.66M20.79%185.36M-45.81%237.75M-61.86%153.46M-25.33%438.73M
Cash and equivalents 156.64%15.25M85.69%18.36M-47.63%5.94M-75.33%9.89M-45.29%11.34M-2.04%40.08M31.53%20.73M39.43%40.91M-14.55%15.76M6.71%29.34M
Special items of current assets -------------------------------------36.40%424.47M
Total current assets 44.32%464.33M-15.58%337.7M-20.96%321.73M-8.32%400.02M-11.58%407.05M-26.55%436.33M-0.05%460.37M-55.85%594.02M-63.00%460.61M-24.33%1.35B
Non-current assets
Property, plant and equipment -19.82%474.37M-17.68%536.49M-15.48%591.62M-0.87%651.71M5.60%699.94M7.51%657.43M6.53%662.84M-18.09%611.5M-20.22%622.21M-13.23%746.55M
Advance payment 66.61%43.66M--22.52M--26.21M----------------------------
Long-term receivables -------------------------------------0.84%466.06M
Intangible assets -32.66%526.86M-6.79%762.94M-8.24%782.37M-7.66%818.54M-7.97%852.59M-2.53%886.45M3.02%926.43M-64.79%909.44M-65.62%899.23M-20.88%2.58B
Goodwill ------------0.00%13.4M0.00%13.4M0.00%13.4M0.00%13.4M0.00%13.4M0.00%13.4M0.00%13.4M
Total non-current assets -25.28%1.07B-11.02%1.36B-10.73%1.44B-5.16%1.52B-2.83%1.61B0.96%1.61B3.93%1.66B-58.83%1.59B-59.29%1.59B-17.78%3.86B
Total assets -12.55%1.54B-11.97%1.69B-12.79%1.76B-5.84%1.92B-4.73%2.02B-6.52%2.04B3.04%2.12B-58.06%2.18B-60.19%2.05B-19.58%5.21B
Liabilities
Current liabilities
Accounts payable -29.22%264.7M3.88%369.07M30.57%374M19.53%355.27M4.72%286.44M-2.88%297.24M35.69%273.54M75.95%306.06M42.65%201.6M-1.96%173.95M
Tax payable -------------------------96.30%7K--280K--189K----
Other payables and accrued expenses 5.64%720.69M-31.19%752.97M-33.25%682.24M9.82%1.09B14.66%1.02B38.77%996.46M52.69%891.36M80.00%718.08M77.55%583.78M35.16%398.94M
Bank loans and overdrafts -38.89%409.08M-53.03%608.02M-49.49%669.42M-3.69%1.29B-4.54%1.33B7.61%1.34B12.41%1.39B50.42%1.25B44.15%1.24B12.95%830.4M
Provision-current liabilities --------------------------105.43M---------3.56%53.1M
Financial lease liabilities-current liabilities 8.85%283K12.08%269K10.17%260K3.90%240K3.96%236K10.00%231K-27.94%227K-95.50%210K-92.62%315K19.69%4.67M
Special items of current liabilities ------------0.00%404.19M4.16%404.19M10.37%404.19M12.56%388.05M13.41%366.21M14.42%344.73M-8.93%322.9M
Total current liabilities 6.03%1.95B-43.61%1.87B-43.51%1.84B4.49%3.31B5.51%3.26B17.90%3.17B29.27%3.09B48.34%2.69B39.03%2.39B9.88%1.81B
Net current assets 2.08%-1.49B47.46%-1.53B46.73%-1.52B-6.53%-2.91B-8.50%-2.85B-30.50%-2.73B-36.26%-2.63B-348.43%-2.09B-306.37%-1.93B-463.63%-467.13M
Total assets less current liabilities -398.80%-414.87M87.40%-175M93.32%-83.17M-23.19%-1.39B-27.76%-1.24B-123.75%-1.13B-189.52%-973.88M-114.84%-503.99M-109.78%-336.37M-29.64%3.4B
Non-current liabilities
Long-term bank loan -35.89%17.65M43.59%34.15M63.01%27.53M-15.35%23.78M53.38%16.89M-86.52%28.1M-94.67%11.01M-59.48%208.39M-60.61%206.65M-25.77%514.26M
Financial lease liabilities-non-current liabilities -7.39%6.63M-8.89%6.53M-5.63%7.16M-10.66%7.16M-10.74%7.59M-5.25%8.02M0.53%8.5M687.80%8.46M675.16%8.46M-96.04%1.07M
Deferred tax liability -39.94%131.72M-6.17%213.85M-7.62%219.3M-7.66%227.91M-7.97%237.38M-2.53%246.81M3.03%257.95M11.84%253.21M6.58%250.37M-7.48%226.41M
Special items of non-current liabilities ------------------------57.10%17.51M-33.52%10.76M-32.23%11.15M-75.44%16.19M
Total non-current liabilities -38.58%156M-1.67%254.53M-3.01%253.99M-8.51%258.85M-11.22%261.86M-41.16%282.93M-38.11%294.97M-36.56%480.83M-38.67%476.62M-26.45%757.93M
Total liabilities 0.62%2.11B-40.57%2.12B-40.50%2.1B3.42%3.57B4.05%3.52B8.94%3.45B18.07%3.39B23.31%3.17B14.85%2.87B-4.09%2.57B
Total assets less total liabilities -69.31%-570.87M73.94%-429.52M77.61%-337.17M-16.83%-1.65B-18.70%-1.51B-43.23%-1.41B-56.07%-1.27B-137.32%-984.82M-130.52%-813M-30.51%2.64B
Total equity and non-current liabilities -398.80%-414.87M87.40%-175M93.32%-83.17M-23.19%-1.39B-27.76%-1.24B-123.75%-1.13B-189.52%-973.88M-114.84%-503.99M-109.78%-336.37M-29.64%3.4B
Equity
Share capital 0.00%250.23M-33.08%250.23M-33.08%250.23M0.00%373.93M0.00%373.93M0.00%373.93M0.00%373.93M8.72%373.93M8.72%373.93M0.00%343.93M
Reserve 28.69%-206.95M80.36%-354.18M82.93%-290.21M-10.51%-1.8B-12.26%-1.7B-25.47%-1.63B-28.99%-1.51B-192.10%-1.3B-183.27%-1.17B-31.90%1.41B
Shareholders' Equity 208.29%43.29M92.73%-103.95M96.99%-39.97M-13.64%-1.43B-16.28%-1.33B-35.75%-1.26B-42.53%-1.14B-152.77%-926.67M-145.63%-800.35M-27.36%1.76B
Non-controlling interest -106.65%-614.16M-48.96%-325.57M-65.49%-297.19M-43.20%-218.56M-40.17%-179.58M-162.48%-152.63M-912.93%-128.12M-106.59%-58.15M-101.39%-12.65M-36.02%882.48M
Total equity -69.31%-570.87M73.94%-429.52M77.61%-337.17M-16.83%-1.65B-18.70%-1.51B-43.23%-1.41B-56.07%-1.27B-137.32%-984.82M-130.52%-813M-30.51%2.64B
Total equity and total liabilities -12.55%1.54B-11.97%1.69B-12.79%1.76B-5.84%1.92B-4.73%2.02B-6.52%2.04B3.04%2.12B-58.06%2.18B-60.19%2.05B-19.58%5.21B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Auditor ----Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--

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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