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00222 MIN XIN HOLD

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  • 1.900
  • 0.0000.00%
Trading May 2 11:31 CST
1.13BMarket Cap12.93P/E (TTM)

MIN XIN HOLD 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
218.76%94.87M
----
-93.70%29.76M
----
-7.36%472.46M
----
8.00%509.97M
----
-20.45%472.19M
----
Profit adjustment
Interest (income) - adjustment
-11.32%-49.48M
----
-25.96%-44.45M
----
-0.88%-35.29M
----
18.07%-34.98M
----
15.93%-42.69M
----
Interest expense - adjustment
6.77%44.17M
----
91.88%41.37M
----
85.33%21.56M
----
-18.80%11.63M
----
-23.16%14.33M
----
Attributable subsidiary (profit) loss
-152.69%-130.8M
----
89.13%-51.76M
----
-3.26%-476.27M
----
-10.29%-461.23M
----
27.80%-418.19M
----
Impairment and provisions:
173.43%1.98M
----
57.18%-2.7M
----
-9.46%-6.29M
----
38.86%-5.75M
----
-21.12%-9.4M
----
-Other impairments and provisions
173.43%1.98M
----
57.18%-2.7M
----
-9.46%-6.29M
----
38.86%-5.75M
----
-50.34%-9.4M
----
Revaluation surplus:
86.19%-2.15M
----
-0.71%-15.56M
----
23.57%-15.45M
----
-22.39%-20.22M
----
-332.38%-16.52M
----
-Fair value of investment properties (increase)
589.14%6.98M
----
-55.65%1.01M
----
143.73%2.28M
----
61.87%-5.22M
----
-292.69%-13.7M
----
-Other fair value changes
44.92%-9.13M
----
6.55%-16.58M
----
-18.28%-17.74M
----
-431.40%-15M
----
---2.82M
----
Asset sale loss (gain):
153.85%33K
----
750.00%13K
----
-109.52%-2K
----
-83.20%21K
----
331.03%125K
----
-Loss (gain) on sale of property, machinery and equipment
153.85%33K
----
750.00%13K
----
-109.52%-2K
----
-83.20%21K
----
331.03%125K
----
Depreciation and amortization:
31.51%2.83M
----
8.80%2.15M
----
-5.63%1.98M
----
9.00%2.1M
----
-13.65%1.92M
----
-Depreciation
31.51%2.83M
----
8.80%2.15M
----
-5.63%1.98M
----
9.00%2.1M
----
-13.65%1.92M
----
Exchange Loss (gain)
407.14%31.83M
----
-77.33%6.28M
----
859.85%27.69M
----
40.66%-3.64M
----
-316.54%-6.14M
----
Special items
---231K
----
----
----
----
----
----
----
----
----
Operating profit before the change of operating capital
80.06%-6.96M
----
-262.74%-34.9M
----
-359.68%-9.62M
----
52.23%-2.09M
----
67.04%-4.38M
----
Change of operating capital
Accounts receivable (increase)decrease
-715.55%-17.73M
----
-119.49%-2.17M
----
214.72%11.15M
----
-415.81%-9.72M
----
-1,324.03%-1.89M
----
Accounts payable increase (decrease)
-92.60%865K
----
661.36%11.68M
----
80.93%-2.08M
----
-388.42%-10.91M
----
-54.28%3.78M
----
Special items for working capital changes
-58.61%17.97M
----
7.07%43.42M
----
24.41%40.55M
----
66.75%32.59M
----
-67.13%19.55M
----
Cash  from business operations
-132.48%-5.85M
-145.04%-10.17M
-54.94%18.03M
-41.13%22.59M
305.48%40M
733.69%38.37M
-42.18%9.87M
97.22%-6.06M
155.09%17.06M
-434.70%-217.88M
Other taxs
28.27%-10.49M
34.45%-3.08M
47.59%-14.62M
77.58%-4.7M
-131.50%-27.9M
-389.36%-20.97M
-8.17%-12.05M
17.03%-4.29M
-22.98%-11.14M
-38.39%-5.17M
Interest received - operating
75.66%35.9M
28.48%15.17M
-59.05%20.44M
-68.00%11.8M
21.76%49.91M
731.49%36.89M
97.00%40.99M
-71.01%4.44M
-24.37%20.81M
18.34%15.3M
Interest paid - operating
-11.12%-44.27M
-45.43%-23.15M
-114.57%-39.84M
-125.93%-15.92M
-77.80%-18.57M
-37.24%-7.05M
28.92%-10.44M
38.95%-5.13M
12.24%-14.69M
-7.53%-8.41M
Net cash from operations
-54.47%-24.71M
-254.29%-21.24M
-136.82%-16M
-70.85%13.77M
53.19%43.45M
527.89%47.24M
135.60%28.36M
94.89%-11.04M
140.91%12.04M
-425.99%-216.15M
Cash flow from investment activities
Dividend received - investment
----
----
-63.61%64.64M
-97.39%4.64M
3,636.54%177.64M
3,636.54%177.64M
--4.75M
--4.75M
----
----
Decrease in deposits (increase)
-209.74%-132.02M
-120.93%-21.29M
184.99%120.29M
80.48%101.69M
-177.92%-141.54M
-82.88%56.34M
9.29%181.65M
68.54%329.19M
128.47%166.21M
163.29%195.32M
Sale of fixed assets
----
----
----
----
--16K
--14K
----
----
----
----
Purchase of fixed assets
-2.87%-1.29M
-689.80%-1.16M
15.28%-1.25M
52.12%-147K
-51.54%-1.48M
53.34%-307K
-47.66%-976K
-826.76%-658K
23.76%-661K
82.43%-71K
Recovery of cash from investments
-32.00%1.56B
-34.89%811.18M
-13.35%2.3B
-5.53%1.25B
19.44%2.65B
58.20%1.32B
205.64%2.22B
9,671.00%833.66M
--726.08M
--8.53M
Cash on investment
50.97%-1.16B
58.60%-498.63M
12.40%-2.37B
2.95%-1.2B
-6.10%-2.71B
-18.67%-1.24B
-158.94%-2.55B
-19,008.88%-1.05B
---985.28M
25.84%-5.47M
Net cash from investment operations
144.06%265.68M
96.40%290.1M
599.01%108.86M
-52.58%147.71M
85.13%-21.82M
157.17%311.48M
-56.64%-146.7M
-38.92%121.12M
84.24%-93.65M
162.62%198.31M
Net cash before financing
159.49%240.97M
66.50%268.86M
329.30%92.86M
-54.98%161.48M
118.28%21.63M
225.87%358.72M
-44.99%-118.33M
717.04%110.08M
86.92%-81.62M
92.87%-17.84M
Cash flow from financing activities
New borrowing
-35.36%1.04B
-42.66%233.37M
118.61%1.61B
13.42%406.97M
17.27%734.72M
25.83%358.82M
265.09%626.5M
67.74%285.16M
-34.00%171.6M
-34.62%170M
Refund
26.74%-1.06B
8.81%-268.71M
-125.30%-1.44B
15.45%-294.67M
-16.56%-640.6M
-58.41%-348.51M
-399.63%-549.59M
-100.00%-220M
45.00%-110M
45.00%-110M
Dividends paid - financing
25.00%-53.75M
----
0.00%-71.67M
----
-20.00%-71.67M
----
0.00%-59.73M
0.00%-59.73M
0.00%-59.73M
---59.73M
Other items of the financing business
33.77%-457K
----
99.72%-690K
----
-202.23%-247.23M
---234.21M
--241.84M
----
----
----
Net cash from financing operations
-182.07%-74.15M
-131.83%-35.71M
140.15%90.35M
150.08%112.18M
-186.95%-225.01M
-4,376.63%-224.01M
15,275.94%258.78M
2,810.00%5.24M
1,022.00%1.68M
-99.70%180K
Effect of rate
-95.02%-7.91M
6.63%-8.55M
85.27%-4.05M
81.72%-9.16M
-464.75%-27.52M
-748.25%-50.1M
-79.80%7.54M
150.56%7.73M
305.15%37.34M
-1,304.57%-15.29M
Net Cash
-8.95%166.82M
-14.80%233.15M
190.09%183.21M
103.15%273.65M
-244.81%-203.38M
16.81%134.71M
275.70%140.44M
752.99%115.32M
87.18%-79.93M
90.72%-17.66M
Begining period cash
75.83%415.42M
76.56%415.42M
-49.43%236.26M
-49.62%235.29M
46.44%467.15M
46.39%466.99M
-11.78%319M
-11.78%319M
-63.96%361.59M
-63.96%361.59M
Cash at the end
38.25%574.33M
28.06%640.01M
75.83%415.42M
-9.39%499.78M
-49.41%236.26M
24.78%551.6M
46.39%466.99M
34.51%442.05M
-11.78%319M
-59.64%328.65M
Cash balance analysis
Bank deposits
----
----
----
----
----
----
----
----
46.45%-530.69M
32.66%-478.66M
Cash and cash equivalent balance
----
----
----
----
----
----
----
192.35%442.05M
-246.76%-530.69M
-158.78%-478.66M
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
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
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
Cash flow from operating activities
Earning before tax 218.76%94.87M-----93.70%29.76M-----7.36%472.46M----8.00%509.97M-----20.45%472.19M----
Profit adjustment
Interest (income) - adjustment -11.32%-49.48M-----25.96%-44.45M-----0.88%-35.29M----18.07%-34.98M----15.93%-42.69M----
Interest expense - adjustment 6.77%44.17M----91.88%41.37M----85.33%21.56M-----18.80%11.63M-----23.16%14.33M----
Attributable subsidiary (profit) loss -152.69%-130.8M----89.13%-51.76M-----3.26%-476.27M-----10.29%-461.23M----27.80%-418.19M----
Impairment and provisions: 173.43%1.98M----57.18%-2.7M-----9.46%-6.29M----38.86%-5.75M-----21.12%-9.4M----
-Other impairments and provisions 173.43%1.98M----57.18%-2.7M-----9.46%-6.29M----38.86%-5.75M-----50.34%-9.4M----
Revaluation surplus: 86.19%-2.15M-----0.71%-15.56M----23.57%-15.45M-----22.39%-20.22M-----332.38%-16.52M----
-Fair value of investment properties (increase) 589.14%6.98M-----55.65%1.01M----143.73%2.28M----61.87%-5.22M-----292.69%-13.7M----
-Other fair value changes 44.92%-9.13M----6.55%-16.58M-----18.28%-17.74M-----431.40%-15M-------2.82M----
Asset sale loss (gain): 153.85%33K----750.00%13K-----109.52%-2K-----83.20%21K----331.03%125K----
-Loss (gain) on sale of property, machinery and equipment 153.85%33K----750.00%13K-----109.52%-2K-----83.20%21K----331.03%125K----
Depreciation and amortization: 31.51%2.83M----8.80%2.15M-----5.63%1.98M----9.00%2.1M-----13.65%1.92M----
-Depreciation 31.51%2.83M----8.80%2.15M-----5.63%1.98M----9.00%2.1M-----13.65%1.92M----
Exchange Loss (gain) 407.14%31.83M-----77.33%6.28M----859.85%27.69M----40.66%-3.64M-----316.54%-6.14M----
Special items ---231K------------------------------------
Operating profit before the change of operating capital 80.06%-6.96M-----262.74%-34.9M-----359.68%-9.62M----52.23%-2.09M----67.04%-4.38M----
Change of operating capital
Accounts receivable (increase)decrease -715.55%-17.73M-----119.49%-2.17M----214.72%11.15M-----415.81%-9.72M-----1,324.03%-1.89M----
Accounts payable increase (decrease) -92.60%865K----661.36%11.68M----80.93%-2.08M-----388.42%-10.91M-----54.28%3.78M----
Special items for working capital changes -58.61%17.97M----7.07%43.42M----24.41%40.55M----66.75%32.59M-----67.13%19.55M----
Cash  from business operations -132.48%-5.85M-145.04%-10.17M-54.94%18.03M-41.13%22.59M305.48%40M733.69%38.37M-42.18%9.87M97.22%-6.06M155.09%17.06M-434.70%-217.88M
Other taxs 28.27%-10.49M34.45%-3.08M47.59%-14.62M77.58%-4.7M-131.50%-27.9M-389.36%-20.97M-8.17%-12.05M17.03%-4.29M-22.98%-11.14M-38.39%-5.17M
Interest received - operating 75.66%35.9M28.48%15.17M-59.05%20.44M-68.00%11.8M21.76%49.91M731.49%36.89M97.00%40.99M-71.01%4.44M-24.37%20.81M18.34%15.3M
Interest paid - operating -11.12%-44.27M-45.43%-23.15M-114.57%-39.84M-125.93%-15.92M-77.80%-18.57M-37.24%-7.05M28.92%-10.44M38.95%-5.13M12.24%-14.69M-7.53%-8.41M
Net cash from operations -54.47%-24.71M-254.29%-21.24M-136.82%-16M-70.85%13.77M53.19%43.45M527.89%47.24M135.60%28.36M94.89%-11.04M140.91%12.04M-425.99%-216.15M
Cash flow from investment activities
Dividend received - investment ---------63.61%64.64M-97.39%4.64M3,636.54%177.64M3,636.54%177.64M--4.75M--4.75M--------
Decrease in deposits (increase) -209.74%-132.02M-120.93%-21.29M184.99%120.29M80.48%101.69M-177.92%-141.54M-82.88%56.34M9.29%181.65M68.54%329.19M128.47%166.21M163.29%195.32M
Sale of fixed assets ------------------16K--14K----------------
Purchase of fixed assets -2.87%-1.29M-689.80%-1.16M15.28%-1.25M52.12%-147K-51.54%-1.48M53.34%-307K-47.66%-976K-826.76%-658K23.76%-661K82.43%-71K
Recovery of cash from investments -32.00%1.56B-34.89%811.18M-13.35%2.3B-5.53%1.25B19.44%2.65B58.20%1.32B205.64%2.22B9,671.00%833.66M--726.08M--8.53M
Cash on investment 50.97%-1.16B58.60%-498.63M12.40%-2.37B2.95%-1.2B-6.10%-2.71B-18.67%-1.24B-158.94%-2.55B-19,008.88%-1.05B---985.28M25.84%-5.47M
Net cash from investment operations 144.06%265.68M96.40%290.1M599.01%108.86M-52.58%147.71M85.13%-21.82M157.17%311.48M-56.64%-146.7M-38.92%121.12M84.24%-93.65M162.62%198.31M
Net cash before financing 159.49%240.97M66.50%268.86M329.30%92.86M-54.98%161.48M118.28%21.63M225.87%358.72M-44.99%-118.33M717.04%110.08M86.92%-81.62M92.87%-17.84M
Cash flow from financing activities
New borrowing -35.36%1.04B-42.66%233.37M118.61%1.61B13.42%406.97M17.27%734.72M25.83%358.82M265.09%626.5M67.74%285.16M-34.00%171.6M-34.62%170M
Refund 26.74%-1.06B8.81%-268.71M-125.30%-1.44B15.45%-294.67M-16.56%-640.6M-58.41%-348.51M-399.63%-549.59M-100.00%-220M45.00%-110M45.00%-110M
Dividends paid - financing 25.00%-53.75M----0.00%-71.67M-----20.00%-71.67M----0.00%-59.73M0.00%-59.73M0.00%-59.73M---59.73M
Other items of the financing business 33.77%-457K----99.72%-690K-----202.23%-247.23M---234.21M--241.84M------------
Net cash from financing operations -182.07%-74.15M-131.83%-35.71M140.15%90.35M150.08%112.18M-186.95%-225.01M-4,376.63%-224.01M15,275.94%258.78M2,810.00%5.24M1,022.00%1.68M-99.70%180K
Effect of rate -95.02%-7.91M6.63%-8.55M85.27%-4.05M81.72%-9.16M-464.75%-27.52M-748.25%-50.1M-79.80%7.54M150.56%7.73M305.15%37.34M-1,304.57%-15.29M
Net Cash -8.95%166.82M-14.80%233.15M190.09%183.21M103.15%273.65M-244.81%-203.38M16.81%134.71M275.70%140.44M752.99%115.32M87.18%-79.93M90.72%-17.66M
Begining period cash 75.83%415.42M76.56%415.42M-49.43%236.26M-49.62%235.29M46.44%467.15M46.39%466.99M-11.78%319M-11.78%319M-63.96%361.59M-63.96%361.59M
Cash at the end 38.25%574.33M28.06%640.01M75.83%415.42M-9.39%499.78M-49.41%236.26M24.78%551.6M46.39%466.99M34.51%442.05M-11.78%319M-59.64%328.65M
Cash balance analysis
Bank deposits --------------------------------46.45%-530.69M32.66%-478.66M
Cash and cash equivalent balance ----------------------------192.35%442.05M-246.76%-530.69M-158.78%-478.66M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--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.