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00710 BOE VARITRONIX

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  • 5.440
  • -0.010-0.18%
Market Closed Apr 29 16:08 CST
4.31BMarket Cap11.01P/E (TTM)

BOE VARITRONIX 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
Assets
Current assets
Inventory
-8.67%1.78B
8.76%1.8B
24.18%1.95B
30.16%1.66B
88.32%1.57B
102.74%1.27B
65.40%832.62M
21.91%628.18M
-5.59%503.39M
-9.31%515.27M
Related party payments receivable
----
--1.97M
--12.22M
----
----
----
----
----
----
----
Advance deposits and other receivables
30.15%3.33B
8.67%2.82B
18.43%2.56B
34.23%2.59B
23.70%2.16B
36.49%1.93B
50.62%1.74B
56.11%1.42B
31.10%1.16B
9.12%906.77M
Withholding and tax receivable
-4.16%9.92M
166.48%5.68M
151.19%10.35M
-34.00%2.13M
-13.04%4.12M
-73.62%3.23M
-33.71%4.74M
25.21%12.25M
-8.63%7.15M
-11.82%9.79M
Cash and equivalents
-22.87%2.7B
30.49%3.07B
24.19%3.5B
4.13%2.36B
24.34%2.82B
41.33%2.26B
39.30%2.27B
7.16%1.6B
5.80%1.63B
19.00%1.49B
Fixed time deposit-current assets
--843.82M
10,954.78%421.74M
----
--3.82M
--61.72M
----
----
----
-0.35%7.75M
-79.96%7.83M
Secured deposit
163.63%147.33M
--41.64M
--55.88M
----
----
----
----
----
----
----
Total current assets
13.56%9.2B
29.63%8.57B
22.49%8.1B
20.78%6.61B
36.21%6.61B
49.72%5.48B
46.75%4.85B
24.52%3.66B
11.21%3.31B
8.45%2.94B
Non-current assets
Property, plant and equipment
17.10%2.06B
20.89%2.06B
18.07%1.76B
121.48%1.7B
155.44%1.49B
61.12%768.36M
24.92%583.43M
2.01%476.89M
-7.37%467.05M
-8.65%467.49M
Advance payment
-61.66%38.82M
61.14%70.86M
3.05%101.26M
-43.79%43.98M
540.91%98.27M
353.07%78.23M
-52.29%15.33M
-37.08%17.27M
9.54%32.14M
-48.84%27.44M
Associated company interest
----
----
----
--10.89M
--7.92M
----
----
-82.51%1.63M
-15.71%8.81M
178.11%9.34M
Secured deposits-non-current assets
--41.1M
----
----
----
----
----
----
----
----
----
Intangible assets
17.43%29.43M
11.87%27.39M
13.02%25.06M
-38.51%24.49M
-42.34%22.17M
24.58%39.82M
742.43%38.46M
550.09%31.97M
-13.36%4.57M
-11.96%4.92M
Goodwill
----
----
----
----
----
--11.49M
--11.49M
----
----
----
Deferred tax assets
575.31%59.72M
205.09%38.87M
-21.65%8.84M
1,847.86%12.74M
1,625.69%11.29M
-92.83%654K
-93.64%654K
-11.29%9.12M
0.00%10.28M
4.95%10.28M
Total non-current assets
17.19%2.27B
21.77%2.24B
15.79%1.94B
95.54%1.84B
142.40%1.67B
62.25%939.1M
31.97%689.98M
11.42%578.78M
-6.56%522.83M
-11.07%519.46M
Total assets
14.26%11.46B
27.92%10.81B
21.14%10.03B
31.73%8.45B
49.43%8.28B
51.43%6.41B
44.74%5.54B
22.56%4.24B
8.40%3.83B
4.99%3.46B
Liabilities
Current liabilities
Accounts payable
31.45%6.23B
69.36%5.38B
39.78%4.74B
11.74%3.18B
58.71%3.39B
113.34%2.84B
108.78%2.14B
96.01%1.33B
36.64%1.02B
42.22%680.35M
Tax payable
67.12%23.27M
-80.73%8.82M
-78.68%13.93M
152.67%45.76M
273.79%65.32M
403.34%18.11M
31,107.14%17.48M
657.47%3.6M
-89.31%56K
-78.78%475K
Dividend payable
----
-17.30%149.66M
----
65.59%180.96M
----
197.13%109.28M
----
-80.76%36.78M
----
2,499.92%191.15M
Bank loans and overdrafts
-13.16%205.32M
-75.53%174.49M
-62.84%236.44M
1,423.81%713.14M
--636.29M
--46.8M
----
----
----
----
Financial lease liabilities-current liabilities
81.31%14.79M
47.59%11.88M
10.38%8.16M
-20.94%8.05M
-35.79%7.39M
36.22%10.19M
21.25%11.51M
27.83%7.48M
40.88%9.5M
-15.94%5.85M
Deferred income-current liabilities
7.40%28.07M
37.64%24.42M
490.42%26.14M
218.15%17.74M
35.80%4.43M
49.80%5.58M
-30.22%3.26M
-21.80%3.72M
-16.03%4.67M
-2.54%4.76M
Total current liabilities
29.40%6.5B
38.81%5.75B
22.41%5.02B
36.57%4.14B
89.25%4.1B
119.11%3.03B
109.02%2.17B
56.94%1.39B
36.21%1.04B
76.59%882.58M
Net current assets
-12.32%2.7B
14.21%2.82B
22.61%3.07B
1.15%2.47B
-6.62%2.51B
7.41%2.44B
18.30%2.69B
10.60%2.27B
2.61%2.27B
-6.97%2.05B
Total assets less current liabilities
-0.91%4.97B
17.44%5.06B
19.88%5.01B
27.38%4.3B
23.85%4.18B
18.55%3.38B
20.86%3.38B
10.76%2.85B
0.76%2.79B
-7.83%2.57B
Non-current liabilities
Long-term bank loan
-55.55%170.46M
498.56%432.2M
1,140.61%383.5M
--72.21M
--30.91M
----
----
----
----
----
Financial lease liabilities-non-current liabilities
44.63%20.11M
45.39%17.27M
215.92%13.91M
92.00%11.88M
-60.13%4.4M
-31.12%6.19M
11.15%11.04M
513.81%8.98M
216.07%9.93M
-76.35%1.46M
Deferred tax liability
-29.41%2.45M
30.93%2.85M
-65.24%3.47M
-82.76%2.18M
-24.22%9.98M
52.41%12.64M
58.75%13.17M
1.44%8.29M
1.36%8.29M
-0.20%8.18M
Deferred income-non-current liabilities
-14.30%171.82M
41.56%186.19M
960.21%200.5M
2,625.47%131.53M
258.23%18.91M
-14.05%4.83M
-26.93%5.28M
-16.28%5.62M
-18.88%7.23M
-23.51%6.71M
Total non-current liabilities
-39.33%364.85M
193.17%638.51M
836.68%601.37M
820.82%217.79M
117.74%64.2M
3.33%23.65M
15.85%29.49M
40.03%22.89M
25.80%25.45M
-29.38%16.35M
Total liabilities
22.05%6.86B
46.51%6.39B
34.96%5.62B
42.63%4.36B
89.64%4.17B
117.23%3.06B
106.79%2.2B
56.63%1.41B
35.94%1.06B
71.90%898.93M
Total assets less total liabilities
4.33%4.6B
8.07%4.42B
7.14%4.41B
21.79%4.09B
23.02%4.12B
18.67%3.36B
20.90%3.35B
10.58%2.83B
0.57%2.77B
-7.65%2.56B
Total equity and non-current liabilities
-0.91%4.97B
17.44%5.06B
19.88%5.01B
27.38%4.3B
23.85%4.18B
18.55%3.38B
20.86%3.38B
10.76%2.85B
0.76%2.79B
-7.83%2.57B
Equity
Share capital
0.00%197.89M
0.00%197.89M
0.02%197.89M
7.47%197.89M
7.51%197.85M
0.13%184.14M
0.13%184.04M
0.06%183.9M
0.00%183.79M
0.00%183.79M
Reserve
4.37%4.34B
8.37%4.16B
7.47%4.16B
33.41%3.84B
35.76%3.87B
11.52%2.88B
12.76%2.85B
8.70%2.58B
-1.62%2.53B
-8.19%2.37B
Shareholders' Equity
4.17%4.54B
7.96%4.36B
7.11%4.35B
31.85%4.04B
34.04%4.06B
10.76%3.06B
11.90%3.03B
8.08%2.76B
-1.51%2.71B
-7.65%2.56B
Non-controlling interest
16.20%65.21M
17.36%59.39M
9.87%56.12M
-82.81%50.61M
-83.69%51.08M
361.18%294.35M
447.38%313.2M
--63.82M
--57.22M
----
Total equity
4.33%4.6B
8.07%4.42B
7.14%4.41B
21.79%4.09B
23.02%4.12B
18.67%3.36B
20.90%3.35B
10.58%2.83B
0.57%2.77B
-7.65%2.56B
Total equity and total liabilities
14.26%11.46B
27.92%10.81B
21.14%10.03B
31.73%8.45B
49.43%8.28B
51.43%6.41B
44.74%5.54B
22.56%4.24B
8.40%3.83B
4.99%3.46B
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
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
(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 -8.67%1.78B8.76%1.8B24.18%1.95B30.16%1.66B88.32%1.57B102.74%1.27B65.40%832.62M21.91%628.18M-5.59%503.39M-9.31%515.27M
Related party payments receivable ------1.97M--12.22M----------------------------
Advance deposits and other receivables 30.15%3.33B8.67%2.82B18.43%2.56B34.23%2.59B23.70%2.16B36.49%1.93B50.62%1.74B56.11%1.42B31.10%1.16B9.12%906.77M
Withholding and tax receivable -4.16%9.92M166.48%5.68M151.19%10.35M-34.00%2.13M-13.04%4.12M-73.62%3.23M-33.71%4.74M25.21%12.25M-8.63%7.15M-11.82%9.79M
Cash and equivalents -22.87%2.7B30.49%3.07B24.19%3.5B4.13%2.36B24.34%2.82B41.33%2.26B39.30%2.27B7.16%1.6B5.80%1.63B19.00%1.49B
Fixed time deposit-current assets --843.82M10,954.78%421.74M------3.82M--61.72M-------------0.35%7.75M-79.96%7.83M
Secured deposit 163.63%147.33M--41.64M--55.88M----------------------------
Total current assets 13.56%9.2B29.63%8.57B22.49%8.1B20.78%6.61B36.21%6.61B49.72%5.48B46.75%4.85B24.52%3.66B11.21%3.31B8.45%2.94B
Non-current assets
Property, plant and equipment 17.10%2.06B20.89%2.06B18.07%1.76B121.48%1.7B155.44%1.49B61.12%768.36M24.92%583.43M2.01%476.89M-7.37%467.05M-8.65%467.49M
Advance payment -61.66%38.82M61.14%70.86M3.05%101.26M-43.79%43.98M540.91%98.27M353.07%78.23M-52.29%15.33M-37.08%17.27M9.54%32.14M-48.84%27.44M
Associated company interest --------------10.89M--7.92M---------82.51%1.63M-15.71%8.81M178.11%9.34M
Secured deposits-non-current assets --41.1M------------------------------------
Intangible assets 17.43%29.43M11.87%27.39M13.02%25.06M-38.51%24.49M-42.34%22.17M24.58%39.82M742.43%38.46M550.09%31.97M-13.36%4.57M-11.96%4.92M
Goodwill ----------------------11.49M--11.49M------------
Deferred tax assets 575.31%59.72M205.09%38.87M-21.65%8.84M1,847.86%12.74M1,625.69%11.29M-92.83%654K-93.64%654K-11.29%9.12M0.00%10.28M4.95%10.28M
Total non-current assets 17.19%2.27B21.77%2.24B15.79%1.94B95.54%1.84B142.40%1.67B62.25%939.1M31.97%689.98M11.42%578.78M-6.56%522.83M-11.07%519.46M
Total assets 14.26%11.46B27.92%10.81B21.14%10.03B31.73%8.45B49.43%8.28B51.43%6.41B44.74%5.54B22.56%4.24B8.40%3.83B4.99%3.46B
Liabilities
Current liabilities
Accounts payable 31.45%6.23B69.36%5.38B39.78%4.74B11.74%3.18B58.71%3.39B113.34%2.84B108.78%2.14B96.01%1.33B36.64%1.02B42.22%680.35M
Tax payable 67.12%23.27M-80.73%8.82M-78.68%13.93M152.67%45.76M273.79%65.32M403.34%18.11M31,107.14%17.48M657.47%3.6M-89.31%56K-78.78%475K
Dividend payable -----17.30%149.66M----65.59%180.96M----197.13%109.28M-----80.76%36.78M----2,499.92%191.15M
Bank loans and overdrafts -13.16%205.32M-75.53%174.49M-62.84%236.44M1,423.81%713.14M--636.29M--46.8M----------------
Financial lease liabilities-current liabilities 81.31%14.79M47.59%11.88M10.38%8.16M-20.94%8.05M-35.79%7.39M36.22%10.19M21.25%11.51M27.83%7.48M40.88%9.5M-15.94%5.85M
Deferred income-current liabilities 7.40%28.07M37.64%24.42M490.42%26.14M218.15%17.74M35.80%4.43M49.80%5.58M-30.22%3.26M-21.80%3.72M-16.03%4.67M-2.54%4.76M
Total current liabilities 29.40%6.5B38.81%5.75B22.41%5.02B36.57%4.14B89.25%4.1B119.11%3.03B109.02%2.17B56.94%1.39B36.21%1.04B76.59%882.58M
Net current assets -12.32%2.7B14.21%2.82B22.61%3.07B1.15%2.47B-6.62%2.51B7.41%2.44B18.30%2.69B10.60%2.27B2.61%2.27B-6.97%2.05B
Total assets less current liabilities -0.91%4.97B17.44%5.06B19.88%5.01B27.38%4.3B23.85%4.18B18.55%3.38B20.86%3.38B10.76%2.85B0.76%2.79B-7.83%2.57B
Non-current liabilities
Long-term bank loan -55.55%170.46M498.56%432.2M1,140.61%383.5M--72.21M--30.91M--------------------
Financial lease liabilities-non-current liabilities 44.63%20.11M45.39%17.27M215.92%13.91M92.00%11.88M-60.13%4.4M-31.12%6.19M11.15%11.04M513.81%8.98M216.07%9.93M-76.35%1.46M
Deferred tax liability -29.41%2.45M30.93%2.85M-65.24%3.47M-82.76%2.18M-24.22%9.98M52.41%12.64M58.75%13.17M1.44%8.29M1.36%8.29M-0.20%8.18M
Deferred income-non-current liabilities -14.30%171.82M41.56%186.19M960.21%200.5M2,625.47%131.53M258.23%18.91M-14.05%4.83M-26.93%5.28M-16.28%5.62M-18.88%7.23M-23.51%6.71M
Total non-current liabilities -39.33%364.85M193.17%638.51M836.68%601.37M820.82%217.79M117.74%64.2M3.33%23.65M15.85%29.49M40.03%22.89M25.80%25.45M-29.38%16.35M
Total liabilities 22.05%6.86B46.51%6.39B34.96%5.62B42.63%4.36B89.64%4.17B117.23%3.06B106.79%2.2B56.63%1.41B35.94%1.06B71.90%898.93M
Total assets less total liabilities 4.33%4.6B8.07%4.42B7.14%4.41B21.79%4.09B23.02%4.12B18.67%3.36B20.90%3.35B10.58%2.83B0.57%2.77B-7.65%2.56B
Total equity and non-current liabilities -0.91%4.97B17.44%5.06B19.88%5.01B27.38%4.3B23.85%4.18B18.55%3.38B20.86%3.38B10.76%2.85B0.76%2.79B-7.83%2.57B
Equity
Share capital 0.00%197.89M0.00%197.89M0.02%197.89M7.47%197.89M7.51%197.85M0.13%184.14M0.13%184.04M0.06%183.9M0.00%183.79M0.00%183.79M
Reserve 4.37%4.34B8.37%4.16B7.47%4.16B33.41%3.84B35.76%3.87B11.52%2.88B12.76%2.85B8.70%2.58B-1.62%2.53B-8.19%2.37B
Shareholders' Equity 4.17%4.54B7.96%4.36B7.11%4.35B31.85%4.04B34.04%4.06B10.76%3.06B11.90%3.03B8.08%2.76B-1.51%2.71B-7.65%2.56B
Non-controlling interest 16.20%65.21M17.36%59.39M9.87%56.12M-82.81%50.61M-83.69%51.08M361.18%294.35M447.38%313.2M--63.82M--57.22M----
Total equity 4.33%4.6B8.07%4.42B7.14%4.41B21.79%4.09B23.02%4.12B18.67%3.36B20.90%3.35B10.58%2.83B0.57%2.77B-7.65%2.56B
Total equity and total liabilities 14.26%11.46B27.92%10.81B21.14%10.03B31.73%8.45B49.43%8.28B51.43%6.41B44.74%5.54B22.56%4.24B8.40%3.83B4.99%3.46B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor KPMG--KPMG--KPMG--KPMG--KPMG--

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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