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00001 CKH HOLDINGS
RT Nominal down75.800 -2.700 (-3.439%)
Latest  |  Final   |  Interim
2018/06 - Interim
HKD(K$)
%Chg
(Interim to Interim)
2017/12
HKD(K$)
2016/12
HKD(K$)
2015/12
HKD(K$)
2014/12
HKD(K$)
Turnover130,984,00011.234%248,515,000259,842,000166,760,00024,259,000
Cost of Sales------------
Gross Profit------------
 
Change in FV & Impairment on Inv. Prop.----------4,542,000
Change in FV & Impairment on Others------------
Profit / (Loss) on Disposal--------13,613,0002,349,000
Other Non-operating Items------------
Share of Results of Asso. & JCEs10,310,00016.907%19,297,00016,613,00013,436,00038,336,000
Profit / (Loss) before Taxation23,792,00015.506%46,418,00046,463,00047,261,00055,927,000
Taxation(1,544,000)559.829%(2,816,000)(4,551,000)(2,895,000)(1,319,000)
Profit / (Loss) from Discontinued Operations--------80,514,000--
Non-controlling Interests(4,228,000)-4.882%(8,502,000)(8,904,000)(6,310,000)(739,000)
Others------------
Profit / (Loss) Attributable to Shareholders18,020,00013.198%35,100,00033,008,000118,570,00053,869,000
 
Net Finance Costs / (Income)4,335,00012.422%4,139,0004,139,0002,452,000(884,000)
Depreciation & Amortisation8,855,00022.340%17,105,00016,014,0009,618,000393,000
Directors' Emoluments----511,950487,610554,240244,630
 
Auditor's Opinion StatusN/A--UnqualifiedUnqualifiedUnqualifiedUnqualified
Market Valuation Indicators
EPS (cts)467.000--910.000855.0003,691.0002,326.000
DPS (cts)87.000--285.000268.000255.0001,065.400
Dividend Payout Ratio (%)18.630%--31.319%31.345%6.909%45.804%
Cash flow per share ($)----13.89310.45213.86716.326
NBV per share ($)113.953--111.481102.178101.935170.171
Remarks:  Real time quote last updated: 10/12/2018 17:59
  Real-time basic market prices of Hong Kong securities are provided by HKEx; a Designated Website authorized by the HKEx Group to provide the Service.
Security Code
Company Name (Chi/Eng/Keywords)
Industry
Profit / (Loss) Attributable to Shareholders (K$)HKD 18,020,000
%Change13.198%
EPS / (LPS)HKD 4.670
NBV Per Share ($)HKD 113.953
A Member of HKET Holdings
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