HK Stock MarketDetailed Quotes

01125 LAI FUNG HOLD

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  • 1.100
  • 0.0000.00%
Market Closed Apr 3 16:08 CST
364.14MMarket Cap-1.42P/E (TTM)

LAI FUNG HOLD Key Stats

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YOY yoy
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(Q6)Jan 31, 2025
(FY)Jul 31, 2024
(Q6)Jan 31, 2024
(FY)Jul 31, 2023
(Q6)Jan 31, 2023
(FY)Jul 31, 2022
(Q6)Jan 31, 2022
(FY)Jul 31, 2021
(Q6)Jan 31, 2021
(FY)Jul 31, 2020
Assets
Current assets
Inventory
-25.40%2.4M
-35.80%2.51M
-31.80%3.21M
-25.00%3.91M
-22.08%4.71M
-16.73%5.21M
-15.05%6.05M
-1.39%6.25M
6.75%7.12M
26.52%6.34M
Developing and for sale properties
-6.68%3.33B
-17.88%3.28B
-20.02%3.56B
-13.45%3.99B
-12.75%4.46B
-12.31%4.61B
-12.08%5.11B
-1.80%5.26B
92.57%5.81B
97.25%5.35B
Accounts receivable
3.03%495.88M
0.61%484.91M
-7.84%481.29M
-6.09%481.97M
-24.34%522.2M
-16.81%513.25M
2.60%690.17M
3.02%616.96M
13.10%672.7M
7.93%598.88M
Withholding and tax receivable
-50.03%69.24M
-58.90%66.73M
35.80%138.55M
15.75%162.36M
178.88%102.03M
164.16%140.27M
2.18%36.59M
25.97%53.1M
42.73%35.8M
0.29%42.15M
Cash and equivalents
-27.93%860.3M
-38.49%1.01B
-25.37%1.19B
-21.90%1.65B
-36.01%1.6B
-25.13%2.11B
9.09%2.5B
136.16%2.82B
83.42%2.29B
-37.93%1.19B
Secured deposit
-3.64%922.99M
2.43%842.88M
33.75%957.88M
-59.49%822.9M
-66.47%716.19M
8.10%2.03B
4.99%2.14B
41.24%1.88B
67.56%2.03B
13.36%1.33B
Derivative financial instruments-current assets
----
----
----
----
----
--4.55M
----
----
----
----
Special items of current assets
----
----
-6.15%733K
-6.13%735K
-5.22%781K
-70.08%783K
-68.51%824K
-64.87%2.62M
-84.89%2.62M
-89.50%7.45M
Total current assets
-10.45%5.68B
-20.01%5.69B
-14.35%6.34B
-24.49%7.11B
-29.35%7.4B
-11.46%9.42B
-3.47%10.48B
24.64%10.64B
77.23%10.85B
31.59%8.53B
Non-current assets
Property, plant and equipment
-8.77%2.07B
-7.93%2.12B
-15.57%2.27B
-15.82%2.3B
-21.76%2.69B
-19.92%2.74B
-9.02%3.44B
-3.70%3.42B
3.98%3.78B
-2.20%3.55B
Investment property
0.16%19.6B
-0.17%19.69B
-6.62%19.57B
-4.22%19.72B
0.67%20.96B
3.04%20.59B
6.49%20.82B
8.63%19.98B
-7.06%19.55B
-13.10%18.39B
Associated company interest
-12.09%80K
-14.14%85K
-16.51%91K
-14.66%99K
-15.50%109K
157.78%116K
-35.50%129K
-91.56%45K
-82.83%200K
-90.82%533K
Interests in Joint Venture
-93.77%1.14M
-16.44%15.44M
-3.11%18.29M
-1.14%18.48M
1.01%18.88M
13.71%18.69M
15.37%18.69M
1,390.30%16.44M
1,239.01%16.2M
-16.25%1.1M
Derivative financial instruments-non-current assets
----
----
----
----
----
----
----
----
----
-66.86%6.82M
Special items of non-current assets
1.94%491.97M
2.36%489.24M
-2.94%482.59M
-3.17%477.97M
-8.20%497.18M
-6.27%493.64M
68.14%541.61M
--526.69M
--322.12M
----
Total non-current assets
-0.87%22.62B
-0.99%22.78B
-7.54%22.82B
-5.59%23.01B
-2.74%24.68B
-0.55%24.37B
4.78%25.38B
9.27%24.5B
-3.65%24.22B
-9.67%22.43B
Total assets
-2.95%28.3B
-5.48%28.47B
-9.11%29.16B
-10.85%30.12B
-10.51%32.09B
-3.85%33.78B
2.23%35.86B
13.50%35.14B
12.19%35.07B
-1.12%30.96B
Liabilities
Current liabilities
Accounts payable
-28.85%956.01M
-43.77%972.95M
-37.78%1.34B
-12.56%1.73B
7.75%2.16B
-13.56%1.98B
-15.62%2B
-1.95%2.29B
8.31%2.38B
13.22%2.34B
Tax payable
3.61%638.16M
42.53%654.17M
18.81%615.94M
0.84%458.98M
2.07%518.44M
18.48%455.18M
96.76%507.94M
79.03%384.17M
34.23%258.15M
37.87%214.58M
Advance payment
-51.08%147.31M
-77.70%195.06M
2.68%301.15M
34.21%874.88M
-76.03%293.3M
-37.20%651.86M
11.07%1.22B
70.61%1.04B
--1.1B
12.52%608.44M
Bank loans and overdrafts
74.92%1.22B
-47.98%581.03M
-31.13%698.25M
4.82%1.12B
-2.26%1.01B
148.24%1.07B
-64.70%1.04B
-87.79%429.23M
179.99%2.94B
710.80%3.52B
Other loans-current liabilities
----
0.21%34.49M
-16.88%34.5M
-17.24%34.41M
0.56%41.51M
1.02%41.58M
0.52%41.28M
0.27%41.16M
-0.20%41.07M
-0.94%41.05M
Derivative financial instrument-current liabilities
----
----
----
----
----
----
16.99%6.99M
----
--5.97M
--5.85M
Financial lease liabilities-current liabilities
-51.09%1.19M
-42.10%1.63M
-40.80%2.44M
-35.10%2.82M
37.84%4.11M
25.37%4.35M
-3.43%2.98M
-31.11%3.47M
-52.09%3.09M
--5.03M
Special items of current liabilities
--320.02M
----
----
----
----
--2.74B
--2.72B
----
----
----
Total current liabilities
9.62%3.28B
-42.17%2.44B
-25.67%3B
-39.24%4.22B
-46.59%4.03B
65.86%6.94B
12.25%7.55B
-37.76%4.19B
65.75%6.72B
89.43%6.73B
Net current assets
-28.44%2.39B
12.31%3.25B
-0.80%3.34B
16.91%2.89B
15.09%3.37B
-61.64%2.47B
-29.06%2.93B
256.82%6.45B
99.76%4.13B
-38.40%1.81B
Total assets less current liabilities
-4.39%25.02B
0.49%26.03B
-6.73%26.17B
-3.51%25.9B
-0.89%28.05B
-13.28%26.84B
-0.15%28.31B
27.73%30.95B
4.21%28.35B
-12.70%24.23B
Non-current liabilities
Long-term bank loan
-7.93%8.48B
4.13%9.17B
1.03%9.21B
17.39%8.81B
21.42%9.12B
-5.10%7.5B
44.84%7.51B
117.42%7.9B
-8.27%5.19B
-34.55%3.64B
Other loans-non-current liabilities
-20.87%40.2M
-89.63%68.56M
-92.03%50.8M
12.72%661.2M
11.31%637.51M
16.85%586.6M
28.42%572.73M
12.00%502.02M
2.69%445.97M
745.59%448.21M
Financial lease liabilities-non-current liabilities
-94.00%90K
132.37%646K
119.12%1.5M
-89.22%278K
-89.74%685K
-55.54%2.58M
--6.68M
636.85%5.8M
----
--787K
Deferred tax liability
6.34%3.05B
5.07%3.04B
-7.54%2.87B
-9.33%2.89B
-6.44%3.1B
-1.40%3.19B
2.20%3.31B
11.22%3.24B
3.15%3.24B
-6.16%2.91B
Convertible notes and bonds
----
----
----
----
----
----
----
0.45%2.71B
-0.02%2.7B
-0.77%2.7B
Derivative financial instruments-non-current liabilities
----
----
----
----
----
----
----
--8.97M
141.67%8.85M
----
Special items of non-current liabilities
-0.42%1.04B
1.58%1.05B
-5.57%1.04B
-6.20%1.03B
-5.32%1.1B
-3.05%1.1B
2.95%1.16B
845.15%1.13B
698.28%1.13B
-19.68%119.85M
Total non-current liabilities
-4.29%12.61B
-0.49%13.32B
-5.64%13.17B
8.17%13.39B
11.08%13.96B
-20.14%12.38B
-1.17%12.57B
57.96%15.5B
5.24%12.72B
-15.24%9.81B
Total liabilities
-1.71%15.89B
-10.48%15.76B
-10.13%16.17B
-8.87%17.61B
-10.56%17.99B
-1.86%19.32B
3.47%20.12B
19.04%19.69B
20.45%19.44B
9.33%16.54B
Total assets less total liabilities
-4.50%12.41B
1.55%12.7B
-7.81%12.99B
-13.51%12.51B
-10.46%14.09B
-6.40%14.46B
0.68%15.74B
7.16%15.45B
3.38%15.63B
-10.89%14.42B
Total equity and non-current liabilities
-4.39%25.02B
0.49%26.03B
-6.73%26.17B
-3.51%25.9B
-0.89%28.05B
-13.28%26.84B
-0.15%28.31B
27.73%30.95B
4.21%28.35B
-12.70%24.23B
Equity
Share capital
0.00%1.66B
0.00%1.66B
0.00%1.66B
0.00%1.66B
0.00%1.66B
0.00%1.66B
0.00%1.66B
0.00%1.66B
1.08%1.66B
1.11%1.66B
Reserve
-4.66%10.39B
-4.12%10.66B
-13.72%10.9B
-14.12%11.12B
-10.43%12.63B
-5.99%12.95B
1.68%14.1B
8.87%13.78B
4.41%13.87B
-10.87%12.65B
Shareholders' Equity
-4.04%12.04B
-3.59%12.32B
-12.13%12.55B
-12.52%12.78B
-9.33%14.28B
-5.35%14.61B
1.50%15.75B
7.84%15.43B
4.05%15.52B
-9.63%14.31B
Non-controlling interest
-17.48%363.75M
242.93%384.07M
330.36%440.82M
-87.42%-268.71M
-1,070.76%-191.36M
-804.90%-143.37M
-114.80%-16.35M
-81.58%20.34M
-45.74%110.47M
-68.24%110.42M
Total equity
-4.50%12.41B
1.55%12.7B
-7.81%12.99B
-13.51%12.51B
-10.46%14.09B
-6.40%14.46B
0.68%15.74B
7.16%15.45B
3.38%15.63B
-10.89%14.42B
Total equity and total liabilities
-2.95%28.3B
-5.48%28.47B
-9.11%29.16B
-10.85%30.12B
-10.51%32.09B
-3.85%33.78B
2.23%35.86B
13.50%35.14B
12.19%35.07B
-1.12%30.96B
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
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
(Q6)Jan 31, 2025(FY)Jul 31, 2024(Q6)Jan 31, 2024(FY)Jul 31, 2023(Q6)Jan 31, 2023(FY)Jul 31, 2022(Q6)Jan 31, 2022(FY)Jul 31, 2021(Q6)Jan 31, 2021(FY)Jul 31, 2020
Assets
Current assets
Inventory -25.40%2.4M-35.80%2.51M-31.80%3.21M-25.00%3.91M-22.08%4.71M-16.73%5.21M-15.05%6.05M-1.39%6.25M6.75%7.12M26.52%6.34M
Developing and for sale properties -6.68%3.33B-17.88%3.28B-20.02%3.56B-13.45%3.99B-12.75%4.46B-12.31%4.61B-12.08%5.11B-1.80%5.26B92.57%5.81B97.25%5.35B
Accounts receivable 3.03%495.88M0.61%484.91M-7.84%481.29M-6.09%481.97M-24.34%522.2M-16.81%513.25M2.60%690.17M3.02%616.96M13.10%672.7M7.93%598.88M
Withholding and tax receivable -50.03%69.24M-58.90%66.73M35.80%138.55M15.75%162.36M178.88%102.03M164.16%140.27M2.18%36.59M25.97%53.1M42.73%35.8M0.29%42.15M
Cash and equivalents -27.93%860.3M-38.49%1.01B-25.37%1.19B-21.90%1.65B-36.01%1.6B-25.13%2.11B9.09%2.5B136.16%2.82B83.42%2.29B-37.93%1.19B
Secured deposit -3.64%922.99M2.43%842.88M33.75%957.88M-59.49%822.9M-66.47%716.19M8.10%2.03B4.99%2.14B41.24%1.88B67.56%2.03B13.36%1.33B
Derivative financial instruments-current assets ----------------------4.55M----------------
Special items of current assets ---------6.15%733K-6.13%735K-5.22%781K-70.08%783K-68.51%824K-64.87%2.62M-84.89%2.62M-89.50%7.45M
Total current assets -10.45%5.68B-20.01%5.69B-14.35%6.34B-24.49%7.11B-29.35%7.4B-11.46%9.42B-3.47%10.48B24.64%10.64B77.23%10.85B31.59%8.53B
Non-current assets
Property, plant and equipment -8.77%2.07B-7.93%2.12B-15.57%2.27B-15.82%2.3B-21.76%2.69B-19.92%2.74B-9.02%3.44B-3.70%3.42B3.98%3.78B-2.20%3.55B
Investment property 0.16%19.6B-0.17%19.69B-6.62%19.57B-4.22%19.72B0.67%20.96B3.04%20.59B6.49%20.82B8.63%19.98B-7.06%19.55B-13.10%18.39B
Associated company interest -12.09%80K-14.14%85K-16.51%91K-14.66%99K-15.50%109K157.78%116K-35.50%129K-91.56%45K-82.83%200K-90.82%533K
Interests in Joint Venture -93.77%1.14M-16.44%15.44M-3.11%18.29M-1.14%18.48M1.01%18.88M13.71%18.69M15.37%18.69M1,390.30%16.44M1,239.01%16.2M-16.25%1.1M
Derivative financial instruments-non-current assets -------------------------------------66.86%6.82M
Special items of non-current assets 1.94%491.97M2.36%489.24M-2.94%482.59M-3.17%477.97M-8.20%497.18M-6.27%493.64M68.14%541.61M--526.69M--322.12M----
Total non-current assets -0.87%22.62B-0.99%22.78B-7.54%22.82B-5.59%23.01B-2.74%24.68B-0.55%24.37B4.78%25.38B9.27%24.5B-3.65%24.22B-9.67%22.43B
Total assets -2.95%28.3B-5.48%28.47B-9.11%29.16B-10.85%30.12B-10.51%32.09B-3.85%33.78B2.23%35.86B13.50%35.14B12.19%35.07B-1.12%30.96B
Liabilities
Current liabilities
Accounts payable -28.85%956.01M-43.77%972.95M-37.78%1.34B-12.56%1.73B7.75%2.16B-13.56%1.98B-15.62%2B-1.95%2.29B8.31%2.38B13.22%2.34B
Tax payable 3.61%638.16M42.53%654.17M18.81%615.94M0.84%458.98M2.07%518.44M18.48%455.18M96.76%507.94M79.03%384.17M34.23%258.15M37.87%214.58M
Advance payment -51.08%147.31M-77.70%195.06M2.68%301.15M34.21%874.88M-76.03%293.3M-37.20%651.86M11.07%1.22B70.61%1.04B--1.1B12.52%608.44M
Bank loans and overdrafts 74.92%1.22B-47.98%581.03M-31.13%698.25M4.82%1.12B-2.26%1.01B148.24%1.07B-64.70%1.04B-87.79%429.23M179.99%2.94B710.80%3.52B
Other loans-current liabilities ----0.21%34.49M-16.88%34.5M-17.24%34.41M0.56%41.51M1.02%41.58M0.52%41.28M0.27%41.16M-0.20%41.07M-0.94%41.05M
Derivative financial instrument-current liabilities ------------------------16.99%6.99M------5.97M--5.85M
Financial lease liabilities-current liabilities -51.09%1.19M-42.10%1.63M-40.80%2.44M-35.10%2.82M37.84%4.11M25.37%4.35M-3.43%2.98M-31.11%3.47M-52.09%3.09M--5.03M
Special items of current liabilities --320.02M------------------2.74B--2.72B------------
Total current liabilities 9.62%3.28B-42.17%2.44B-25.67%3B-39.24%4.22B-46.59%4.03B65.86%6.94B12.25%7.55B-37.76%4.19B65.75%6.72B89.43%6.73B
Net current assets -28.44%2.39B12.31%3.25B-0.80%3.34B16.91%2.89B15.09%3.37B-61.64%2.47B-29.06%2.93B256.82%6.45B99.76%4.13B-38.40%1.81B
Total assets less current liabilities -4.39%25.02B0.49%26.03B-6.73%26.17B-3.51%25.9B-0.89%28.05B-13.28%26.84B-0.15%28.31B27.73%30.95B4.21%28.35B-12.70%24.23B
Non-current liabilities
Long-term bank loan -7.93%8.48B4.13%9.17B1.03%9.21B17.39%8.81B21.42%9.12B-5.10%7.5B44.84%7.51B117.42%7.9B-8.27%5.19B-34.55%3.64B
Other loans-non-current liabilities -20.87%40.2M-89.63%68.56M-92.03%50.8M12.72%661.2M11.31%637.51M16.85%586.6M28.42%572.73M12.00%502.02M2.69%445.97M745.59%448.21M
Financial lease liabilities-non-current liabilities -94.00%90K132.37%646K119.12%1.5M-89.22%278K-89.74%685K-55.54%2.58M--6.68M636.85%5.8M------787K
Deferred tax liability 6.34%3.05B5.07%3.04B-7.54%2.87B-9.33%2.89B-6.44%3.1B-1.40%3.19B2.20%3.31B11.22%3.24B3.15%3.24B-6.16%2.91B
Convertible notes and bonds ----------------------------0.45%2.71B-0.02%2.7B-0.77%2.7B
Derivative financial instruments-non-current liabilities ------------------------------8.97M141.67%8.85M----
Special items of non-current liabilities -0.42%1.04B1.58%1.05B-5.57%1.04B-6.20%1.03B-5.32%1.1B-3.05%1.1B2.95%1.16B845.15%1.13B698.28%1.13B-19.68%119.85M
Total non-current liabilities -4.29%12.61B-0.49%13.32B-5.64%13.17B8.17%13.39B11.08%13.96B-20.14%12.38B-1.17%12.57B57.96%15.5B5.24%12.72B-15.24%9.81B
Total liabilities -1.71%15.89B-10.48%15.76B-10.13%16.17B-8.87%17.61B-10.56%17.99B-1.86%19.32B3.47%20.12B19.04%19.69B20.45%19.44B9.33%16.54B
Total assets less total liabilities -4.50%12.41B1.55%12.7B-7.81%12.99B-13.51%12.51B-10.46%14.09B-6.40%14.46B0.68%15.74B7.16%15.45B3.38%15.63B-10.89%14.42B
Total equity and non-current liabilities -4.39%25.02B0.49%26.03B-6.73%26.17B-3.51%25.9B-0.89%28.05B-13.28%26.84B-0.15%28.31B27.73%30.95B4.21%28.35B-12.70%24.23B
Equity
Share capital 0.00%1.66B0.00%1.66B0.00%1.66B0.00%1.66B0.00%1.66B0.00%1.66B0.00%1.66B0.00%1.66B1.08%1.66B1.11%1.66B
Reserve -4.66%10.39B-4.12%10.66B-13.72%10.9B-14.12%11.12B-10.43%12.63B-5.99%12.95B1.68%14.1B8.87%13.78B4.41%13.87B-10.87%12.65B
Shareholders' Equity -4.04%12.04B-3.59%12.32B-12.13%12.55B-12.52%12.78B-9.33%14.28B-5.35%14.61B1.50%15.75B7.84%15.43B4.05%15.52B-9.63%14.31B
Non-controlling interest -17.48%363.75M242.93%384.07M330.36%440.82M-87.42%-268.71M-1,070.76%-191.36M-804.90%-143.37M-114.80%-16.35M-81.58%20.34M-45.74%110.47M-68.24%110.42M
Total equity -4.50%12.41B1.55%12.7B-7.81%12.99B-13.51%12.51B-10.46%14.09B-6.40%14.46B0.68%15.74B7.16%15.45B3.38%15.63B-10.89%14.42B
Total equity and total liabilities -2.95%28.3B-5.48%28.47B-9.11%29.16B-10.85%30.12B-10.51%32.09B-3.85%33.78B2.23%35.86B13.50%35.14B12.19%35.07B-1.12%30.96B
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
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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