Revenue and profitability
- Revenue: HKD 16,495,216,000 in QQ4 2024; YoY growth +119%; QoQ growth not explicitly stated but evident from quarterly series.
- Gross Profit: HKD 5,910,850,000; Gross Margin: 35.83%.
- Operating Income: HKD -651,346,000; Operating Margin: -3.95%; YoY operating income declined by 45.55% and QoQ deterioration is implied (negative operating result persisted).
- EBITDA: HKD 583,774,000; EBITDA Margin: 3.54%.
- Net Income: HKD 37,662,000; Net Margin: 0.23%; Earnings per Share (EPS): HKD 0.0116; Diluted EPS: HKD 0.0116; Weighted average shares: 3,244,177,000.
Cash flow and liquidity
- Net cash from operating activities: HKD 487,344,000.
- Capital expenditures (PPE): HKD -719,312,000.
- Free cash flow: HKD -231,967,000.
- Dividends paid: HKD -1,789,234,000.
- Net cash provided by/used in financing activities: HKD -1,418,938,000.
- Cash, cash equivalents, and short-term investments: HKD 3,816,000,000.
- Net debt position: Net debt negative HKD -1,517,000,000 (net cash).
Balance sheet and leverage
- Total assets: HKD 69,308,000,000; Total liabilities: HKD 33,723,000,000; Total stockholders’ equity: HKD 31,692,000,000.
- Cash & equivalents: HKD 3,816,000,000; Net cash position reflects excess liquidity relative to short-term borrowings.
- Debt metrics: Short-term debt HKD 1,544,000,000; Long-term debt HKD 755,000,000; Total debt HKD 2,299,000,000; Debt-to-equity ratio 0.0725; Debt-to-capitalization 0.0676; Long-term debt-to-capitalization 0.0210.
- Liquidity ratios (end-Q4 2024): Current ratio 0.60; Quick ratio 0.23; Cash ratio 0.15; indicating tighter short-term liquidity despite a substantial cash balance and no imminent debt maturities.
Capital allocation and capital structure
- Significant dividend outflow in QQ4 2024; payout policy appears conservative to maintain a high cash balance given capex needs and working-capital cycles.
- Ongoing capex (HKD 719m) suggests capacity expansion or efficiency upgrades, which should support volume growth and potential margin improvements over time.