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
Beijing Fourth Paradigm Technology Co., Ltd.- H Shares
Grey Market Today
Application Software 55.600 100 6,178
Detail Quote
Neusoft Xikang Holdings Inc.
Grey Market Today
Medical & Aesthetic Services 4.760 500 2,985
Detail Quote
ZX Inc.
Grey Market Today
Game Software 14.000 200 2,828
Detail Quote
Last update: 2023-09-27 08:30:11
Industry Offer Price Lot Size Entry Fee Closing Date
Grey Market Date
Listing Date
Best Linking Group Holdings
Industrial Components & Equipment N/A 5,000 N/A N/A Not applicable 2023/09/29
Investment & Asset Management 5.80-11.40 400 4,606 2023/09/28 2023/10/05 2023/10/06
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 25,040,113 2,851,962 317,742 17,164,499 -19,945,637
Net Cash Flow from Return on Investments & Servicing of Finance -1,662,855 -2,221,082 -2,259,648 -2,251,600 -2,129,439
Interest Received - - - - -
Interest Paid -1,085,540 -1,620,409 -1,555,106 -1,802,529 -1,665,932
Dividend Received - - - - -
Dividend Paid -577,315 -600,673 -704,542 -449,071 -463,507
Others - - - - -
Refunded/Taxes(Paid) -57,161 -241,224 -201,676 -206,107 -479,541
Net Cash Flow from Investing Activities -8,930,662 232,418 1,652,243 -16,192,688 -3,196,395
Additions to Fixed Assets -154,431 -194,681 -221,766 -898,250 -426,370
Disposal of Fixed Assets 423 675 5,998 12,509 2,978
Increase in Investments -93,423,158 -94,147,047 -122,795,791 -142,241,336 -132,684,214
Decrease in Investments 84,646,504 94,573,471 124,663,802 126,132,417 129,911,211
Net Cash Flow with Related Parties - - - - -
Others - - - 801,972 -
Net Cash Flow before Financing Activities 14,389,435 622,074 -491,339 -1,485,896 -25,751,012
Net Cash Flow from Financing Activities -25,557,602 6,605,441 1,687,436 2,176,010 26,000,181
New Loans - - - - -
Loans Repayment -124,671 -103,242 -101,088 -54,705 -
Fixed Interest/Debt Instruments Financing 57,847,069 81,478,683 70,638,524 56,246,356 69,425,137
Repayment of Fixed Interest/Debt Instruments Financing -83,280,000 -74,770,000 -68,850,000 -57,190,000 -44,350,000
Equity Financing - - - 3,174,359 -
Net Cash Flow with Related Parties - - - - 914,000
Others - - - - 11,044
Increase(Decrease) in Cash & Cash Equivalents -11,168,167 7,227,515 1,196,097 690,114 249,169
Cash & Cash Equivalents at Beginning of Year 16,315,416 9,088,656 7,894,947 7,202,528 6,953,643
Net Cash Flow due to Change in Exchange Rate/Others 3,055 -755 -2,388 2,305 -284
Cash & Cash Equivalents at End of Year 5,150,304 16,315,416 9,088,656 7,894,947 7,202,528
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