HC Group Inc.

HKEX:2280.HK

0.157 (HKD) • At close November 12, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) HKD.

2023 Q42023 Q32023 Q22023 Q12022 Q42022 Q32022 Q22022 Q12021 Q42021 Q32021 Q22021 Q12020 Q42020 Q32020 Q22020 Q12019 Q42019 Q32019 Q22019 Q12018 Q42018 Q32018 Q22018 Q12017 Q42017 Q32017 Q22017 Q12016 Q42016 Q32016 Q22016 Q12015 Q42015 Q22015 Q12014 Q42014 Q22014 Q12013 Q42013 Q22013 Q12012 Q42012 Q22011 Q42011 Q22010 Q42010 Q22009 Q4
Assets:
Current Assets:
Cash & Cash Equivalents 365.682365.682273.892273.892312.023312.023304.821304.821333.812333.812265.221265.221254.301254.301385.931385.931331.893331.893430.423430.423471.672471.672401.757401.757401.918401.918611.997611.997963.523963.523676.026676.026790.701867.166-1,334.0861,321.989976.256-1,033.2291,025.089343.99-428.988422.552142.705254.982256.785188.424202.28201.119
Short Term Investments 770.19856.01616.25116.25130.23730.23729.74529.745-542.5431.88613.5113.518.6598.65983.54980.13122.6715.98630.9119.9190.7421.6145.3519.888211.52157.641605.094468.115385.332229.8533.04119.05217.32214.4322,668.17212.09731.5512,066.4588.1481.863857.9766.436000000
Cash and Short Term Investments 365.682421.698273.892290.143312.023342.26304.821334.566333.812365.698265.221278.731254.301262.96469.48466.062354.564337.879461.333450.342472.412493.286407.107426.995613.439629.481,217.0911,249.2061,348.8551,366.062679.067698.119790.701867.1661,334.0861,321.989976.2561,033.2291,025.089425.853428.988422.552142.705254.982256.785188.424202.28201.119
Net Receivables 110.297110.297287.22287.22341.448341.448356.957356.957384.147384.147517.648517.648778.727778.727491.442491.442574.389574.389645.923645.923584.083584.083599.119599.119446.435446.435569.042569.042507.316507.316203.869203.869180.6454.21031.69235.496013.04316.403020.772000000
Inventory 123.919123.919244.549244.549147.058147.058239.889239.889186.26186.26156.607156.607153.455153.455175.073175.073194.847194.847263.78263.78437.484437.484372.544372.544253.66253.66271.573271.573368.207368.207756.375756.375673.7560.23100.5200-13.04300-20.772000000
Other Current Assets 1,262.5791,976.7612,308.6052,308.6053,729.1583,729.1582,399.2962,012.5942,328.5351,912.5022,669.3742,138.2162,481.6721,694.2863,239.6432,751.6192,950.8742,393.173,002.5562,367.6242,591.5881,986.6312,410.5361,796.8792,005.7341,713.179970.931538.868761.378409.5411,206.608986.728721.328512.1330202.905212.2860182.584180.0670148.542105.85969.47761.36339.24828.71410.173
Total Current Assets 2,632.6752,632.6753,130.5173,130.5174,559.9244,559.9242,944.0062,944.0062,848.6072,848.6073,091.2023,091.2022,889.4282,889.4283,884.1963,884.1963,500.2853,500.2853,727.6693,727.6693,501.4843,501.4843,190.1873,190.1872,872.8332,872.8332,459.5952,459.5952,478.442,478.442,642.052,642.052,185.7851,379.531,334.0861,525.4141,188.5421,033.2291,207.673605.92428.988571.094420.37374.977398.833278.105289.18273.028
Non-Current Assets:
Property, Plant & Equipment, Net 24.29224.29237.0737.0747.6947.6953.23253.23268.8468.83981.76881.76885.43885.438252.934252.934278.444278.444833.226833.226533.787533.787279.2279.2286.358286.358297.615297.615309.516309.516299.454299.454291.073286.8770296.052289.8590214.586209.1520207.915201.894178.353147.546140.46883.88864.429
Goodwill 71.85871.858332.679332.6791,052.1051,052.1051,052.1051,052.1051,052.1051,052.1051,506.8251,506.8251,506.8251,506.8251,542.4081,542.4081,542.4081,542.4081,767.9041,767.9041,843.7851,843.7851,346.7711,346.7711,325.2271,325.2271,319.0831,319.0831,068.9871,068.9871,068.9871,068.9871,030.56150.314050.314000000000000
Intangible Assets 32.80219.66474.71365.649105.671101.321221.189218.049247.211244.33308.022305.67320.35320.352,422.394879.9861,010.2181,010.2182,865.9911,098.0871,310.2011,310.2012,540.5531,193.7821,217.8441,217.8442,015.223696.14624.04624.041,719.192650.205607.306281.190286.569183.2530185.624187.994017.30717.67118.18923.124.88327.66329.386
Goodwill and Intangible Assets 104.6691.522407.392398.3281,157.7761,153.4261,273.2941,270.1541,299.3161,296.4351,814.8471,812.4951,827.1751,827.1752,422.3942,422.3942,552.6262,552.6262,865.9912,865.9913,153.9863,153.9862,540.5532,540.5532,543.0712,543.0712,015.2232,015.2231,693.0271,693.0271,719.1921,719.1921,637.867281.190286.569183.2530185.624187.994017.30717.67118.18923.124.88327.66329.386
Long Term Investments 287.677287.677617.035617.035702.126702.126779.181779.1811,366.015823.475852.447852.447997.34997.34947.8661,031.4151,032.5561,055.227708.373739.283789.073789.813791.981797.331442.022653.54357.244662.338682.3621,067.6941,055.0241,058.065945.506861.10490.63169.873020000000000
Tax Assets 3.969067.437067.424056.201046.994039.686050.692052.485046.969045.789031.292021.815021.115013.208011.386025.68017.2718.70104.4524.60203.2083.44504.3736.6972.5632.16808.3583.501
Other Non-Current Assets 23.77240.879109.722186.223122.918194.692438.324497.665-0.001592.415663.253705.291786.664837.3561,089.3581,058.2941,015.5931,039.891749.135764.014758.333788.885915.978932.4431,169.154978.7481,266.252674.3661,077.688703.742740.058762.697609.54976.397-1,334.086647.038420.33-1,033.229325.691240.904-428.98854.5151.08848.8149.7946.2793.6563.167
Total Non-Current Assets 444.37444.371,238.6561,238.6562,097.9342,097.9342,600.2322,600.2322,781.1642,781.1643,452.0013,452.0013,747.3093,747.3094,765.0374,765.0374,926.1884,926.1885,202.5145,202.5145,266.4715,266.4714,549.5274,549.5274,461.724,461.723,649.5423,649.5423,773.9793,773.9793,839.4083,839.4083,501.2572,414.265-1,334.0861,724.7411,067.917-1,033.229749.109641.495-428.988284.105277.35247.919182.608171.63123.565100.483
Total Assets 3,077.0453,077.0454,369.1734,369.1736,657.8586,657.8585,544.2385,544.2385,629.7715,629.7716,543.2036,543.2036,636.7376,636.7378,649.2338,649.2338,426.4738,426.4738,930.1838,930.1838,767.9558,767.9557,739.7147,739.7147,334.5537,334.5536,109.1376,109.1376,252.4196,252.4196,481.4586,481.4585,687.0423,793.79503,250.1552,256.45901,956.7821,247.4150855.199697.72622.896581.441449.735412.745373.511
Liabilities & Equity:
Current Liabilities:
Account Payables 292.924292.924294.383294.383182.35182.35178.721178.721194.368194.368261.725261.725478.94478.94238.686238.686128.209128.209191.479191.47994.92294.92239.21239.21219.48219.48222.09622.0967.9167.9167.1637.1633.6188.20702.9881.36202.6221.71702.8253.8742.2852.2162.2622.6122.332
Short Term Debt 410.548406.473376.664368.9021,077.7661,065.2771,036.2151,021.963511.688490.53505.338484.125971.089956.0391,933.5491,884.1031,966.131,891.5321,597.7031,520.141,452.5931,452.593895.313895.313558.729558.7291,511.7061,511.6671,388.8011,388.643491.832491.332481.446140.853099.768.711011.94360.34201.6711.67100000
Tax Payables 35.922061.862054.861052.146065.04051.61069.8230140.5330136.023070.405077.811090.085099.720102.069096.744040.402046.69224.504041.87824.724040.24718.778024.1813.36118.68120.82517.97217.99818.226
Deferred Revenue -4.07500000000000000000552.6940709.3290663.2760695.4760753.92901,025.9101,701.36901,551.647000000000000000
Other Current Liabilities 861.736897.658481.026550.651,849.1091,916.459543.953610.351529.659615.857843.807916.63240.758325.631586.103776.082424.779635.4-250.434450.228-162.083625.057-114.059639.302-98.575696.621-97.965758.072-90.161,032.652-34.9841,707.287-42.412347.1510441.541547.2760564.755440.1730368.255334.611318.234299.668244.014176.311127.31
Total Current Liabilities 1,889.9791,889.9791,508.3181,508.3183,346.4363,346.4361,989.7561,989.7561,495.1231,495.1231,924.2051,924.2052,239.552,239.553,137.5573,137.5572,783.352,783.352,353.3262,353.3262,267.4942,267.4941,613.0391,613.0391,294.3141,294.3142,313.9312,313.9312,437.1272,437.1272,212.9452,212.9452,044.609528.9220589.095643.4350622.189522.7270399.756357.391341.485324.925266.51199.533150.2
Non-Current Liabilities:
Long Term Debt 0.5370.537490.051490.05110.42410.42413.89613.896529.151529.151543.628543.628297.827297.827455.422455.422520.936520.9361,065.2481,065.248802.307802.307813.342813.342979.788979.78814.02814.028149.582149.582814.921814.921647.071642.7490596.07471.870103.8137.9802.4913.05400000
Deferred Revenue Non-Current -1.253000000000-64.1350-73.5810151.0330155.9580160.8830202.430211.0150215.940220.8650225.790241.7520248.2851,032.1950725.832408.5080206.3206.300000000
Deferred Tax Liabilities Non-Current 1.25306.884015.535041.994049.86064.135073.5810212.6040236.5170267.080274.10255.2110271.710132.1080144.6540159.0980148.13159.541023.98720.201014.00915.459010.2613.6848.9040000
Other Non-Current Liabilities 1.2531.2535.93212.8166.83422.3696.68148.6757.24257.10264.13564.13573.58173.5810363.6370392.4750427.9630476.530466.226115.672603.322118.126471.09927.123397.5670400.850000000000002.2162.2622.6122.332
Total Non-Current Liabilities 1.791.79502.867502.86732.79332.79362.57162.571586.253586.253607.763607.763371.408371.408819.059819.059913.411913.4111,493.2111,493.2111,278.8371,278.8371,279.5681,279.5681,583.111,583.11485.127485.127547.149547.1491,215.7711,215.7711,043.4871,734.48501,345.893500.5790324.119259.739012.75116.7388.9042.2162.2622.6122.332
Total Liabilities 1,891.7691,891.7692,011.1852,011.1853,379.2293,379.2292,052.3272,052.3272,081.3762,081.3762,531.9682,531.9682,610.9582,610.9583,956.6163,956.6163,696.7613,696.7613,846.5373,846.5373,546.3313,546.3312,892.6072,892.6072,877.4242,877.4242,799.0582,799.0582,984.2762,984.2763,428.7163,428.7163,088.0962,263.40701,934.9881,144.0140946.308782.4660412.507374.129350.389324.925266.51199.533150.2
Equity:
Preferred Stock 000000000000000000000000000000000000000000000000
Common Stock 120.977120.977120.977120.977120.977120.977120.977120.977120.977120.977120.977120.977120.977120.977121.974121.974103.638103.638103.664103.664103.625103.625103.704103.704100.74100.7493.68793.68793.88593.88594.41494.41485.0966.517066.46566.12065.86559.562058.16757.73156.88456.68352.11652.10752.055
Retained Earnings -2,708.422-2,708.422-1,670.188-1,670.188-857.252-857.252-706.171-706.171-629.622-629.622-69.646-69.64631.40431.404518.022518.022766.586766.586975.845975.8451,141.9551,141.9551,057.4171,057.417815.417815.417649.931649.931587.143587.143434.407434.407405.359393.9380352.807267.6290165.17464.162011.848-34.384-54.876-93.678-96.081-114.187-103.016
Accumulated Other Comprehensive Income/Loss 3,147.855344.138476.63476.63544.256544.256603.191603.191570.11570.11568.897568.897556.313556.313546.009546.009-110.683489.909461.977461.977-231.685423.559170.01170.01-204.123228.166221.244221.244-179.568288.242351.66351.66-161.903278.6881,160.28-151.19731.364897.278-127.83924.332345.784-116.150-98.060-90.010-79.953
Other Total Stockholders Equity 02,803.7172,803.2732,803.2732,801.1372,801.1372,802.3292,802.3292,804.5192,804.5192,810.1282,810.1282,810.1282,810.1282,823.4852,823.4853,263.632,663.0382,668.4772,668.4773,323.8342,668.592,673.4092,673.4092,942.0642,509.7752,020.4362,020.4362,487.3292,019.5192,026.4892,026.4892,138.387642.886154.887892.205637.279113.196794.078220.62796.908391.919269.749368.545290.276314.405268.641345.226
Total Shareholders Equity 560.41560.411,730.6921,730.6922,609.1182,609.1182,820.3262,820.3262,865.9842,865.9843,430.3563,430.3563,518.8223,518.8224,009.494,009.494,023.1714,023.1714,209.9634,209.9634,337.7294,337.7294,004.544,004.543,654.0983,654.0982,985.2982,985.2982,988.7892,988.7892,906.972,906.972,466.9331,382.0291,315.1671,160.281,002.3921,010.474897.278368.683442.692345.784293.096272.493253.281180.43206.561214.312
Total Equity 1,185.2761,185.2762,357.9882,357.9883,278.6293,278.6293,491.9113,491.9113,548.3953,548.3954,011.2354,011.2354,025.7794,025.7794,692.6174,692.6174,729.7124,729.7125,083.6465,083.6465,221.6245,221.6244,847.1074,847.1074,457.1294,457.1293,310.0793,310.0793,268.1433,268.1433,052.7423,052.7422,598.9461,530.3881,315.1671,315.1671,112.4451,010.4741,010.474464.949442.692442.692323.591272.507256.516183.225213.212223.311
Total Liabilities & Shareholders Equity 3,077.0453,077.0454,369.1734,369.1736,657.8586,657.8585,544.2385,544.2385,629.7715,629.7716,543.2036,543.2036,636.7376,636.7378,649.2338,649.2338,426.4738,426.4738,930.1838,930.1838,767.9558,767.9557,739.7147,739.7147,334.5537,334.5536,109.1376,109.1376,252.4196,252.4196,481.4586,481.4585,687.0423,793.7951,315.1673,250.1552,256.4591,010.4741,956.7821,247.415442.692855.199697.72622.896581.441449.735412.745373.511