To-be Listed (Grey Market Trading Session: 16:15-18:30)
Industry Listing Price Lot Size Entry Fee Phillip Grey Market Futu (HK) Grey Market
K Cash Corporation
Grey Market Today
Financing Pending 2,000 3,960
Detail Quote
Shenghui Cleanness Group Holdings
Grey Market Today
Property Service & Management Pending 7,500 3,030
Detail Quote
Sino-Synergy Hydrogen Energy Technology (Jiaxing) Co., Ltd.-H Shares
Grey Market Today
New Energy Materials Pending 500 10,783
Detail Quote
Last update: 2023-12-01 12:29:58
Industry Offer Price Lot Size Entry Fee Closing Date
Grey Market Date
Listing Date
Dekon Food and Agriculture Group - H Shares
Poultry & Meat 30.35-36.95 100 3,732 2023/12/01 2023/12/05 2023/12/06
Fujing Holdings Co.,
Agricultural Products 1.08-1.28 2,000 2,586 2023/12/05 2023/12/07 2023/12/08
Xiamen Yan Palace Bird's Nest Industry Co., Ltd.- H Shares
Packaged Foods 8.80-11.00 400 4,444 2023/12/07 2023/12/11 2023/12/12
Cash Flow - Annual Results
Year 2022/12 2021/12 2020/12 2019/12 2018/12
Unit Thousand Thousand Thousand Thousand Thousand
Net Cash Flow from Operating Activities 3,746,862 3,067,844 3,173,265 3,236,608 2,498,794
Net Cash Flow from Return on Investments & Servicing of Finance -1,697,239 -1,461,694 -722,767 -1,263,251 -1,093,484
Interest Received 32,248 12,355 19,696 23,660 31,003
Interest Paid -119,936 -118,422 -170,009 -188,898 -72,981
Dividend Received - - - - -
Dividend Paid -1,609,551 -1,355,627 -572,454 -1,098,013 -1,051,506
Others - - - - -
Refunded/Taxes(Paid) -804,355 -525,073 -496,274 -402,926 -556,455
Net Cash Flow from Investing Activities -631,085 -531,088 292,145 -819,572 -1,693,495
Additions to Fixed Assets -422,009 -337,165 -315,960 -691,540 -762,686
Disposal of Fixed Assets 30,596 20,635 87,722 40,051 37,200
Increase in Investments -190,286 -10,179 -107,549 -53,573 -1,585,285
Decrease in Investments - - 758,772 - -
Net Cash Flow with Related Parties - - - - -
Others -49,386 -204,379 -130,840 -114,510 617,276
Net Cash Flow before Financing Activities 614,183 549,989 2,246,369 750,859 -844,640
Net Cash Flow from Financing Activities -823,447 -241,718 -226,883 -648,468 780,654
New Loans 796,211 450,066 892,756 2,500,000 1,854,330
Loans Repayment -1,451,459 -990,878 -1,119,639 -898,468 -768,181
Fixed Interest/Debt Instruments Financing - - - - -
Repayment of Fixed Interest/Debt Instruments Financing - - - -2,250,000 -
Equity Financing - - - - -
Net Cash Flow with Related Parties - 299,094 - - -
Others -168,199 - - - -305,495
Increase(Decrease) in Cash & Cash Equivalents -209,264 308,271 2,019,486 102,391 -63,986
Cash & Cash Equivalents at Beginning of Year 4,681,090 4,450,564 2,317,543 2,240,022 2,365,911
Net Cash Flow due to Change in Exchange Rate/Others -208,940 -77,745 113,535 -24,870 -61,903
Cash & Cash Equivalents at End of Year 4,262,886 4,681,090 4,450,564 2,317,543 2,240,022
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