CK Asset Holdings
SEHK:1113
HK$ 43,96
HK$-0,38 (-0,86%)
43,96 HK$
HK$-0,38 (-0,86%)
End-of-day quote: 03/27/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

HK$3,45
Earnings Per Share
HK$16,55
Revenue Per Share
44,11%
Gross Margin %
HK$153,85 B
Market Cap
HK$39,72 B
Long-Term Debt
Earnings Per Share
HK$3,45
Revenue Per Share
HK$16,55
Gross Margin %
44,11%
Market Cap
HK$153,85 B
Long-Term Debt
HK$39,72 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
EPS Earnings Per Share HK$3,45 HK$4,22 HK$5,11 HK$5,97 HK$6,08 HK$5,24 HK$7,78 HK$6,53 HK$5,44 HK$5,05 HK$4,43
Earnings Earnings HK$12,07B HK$14,77B HK$18,13B HK$21,46B HK$22,15B HK$19,35B HK$28,73B HK$24,12B HK$20,11B HK$19,31B HK$17,10B
RPS Revenue Per Share HK$16,55 HK$13,01 HK$13,31 HK$15,68 HK$17,04 HK$16,20 HK$22,31 HK$13,64 HK$15,56 HK$18,12 HK$15,23
Revenue Revenue HK$57,94B HK$45,53B HK$47,24B HK$56,34B HK$62,09B HK$59,83B HK$82,38B HK$50,37B HK$57,55B HK$69,30B HK$58,79B
OCF Operating Cash Flow HK$14,48B HK$11,87B HK$378,00M HK$6,57B HK$25,36B HK$24,30B HK$41,92B HK$13,97B HK$49,59B HK$38,97B HK$17,92B
FCF Free Cash Flow HK$5,11B HK$6,33B HK$6,78B HK$17,11B HK$19,55B HK$14,37B HK$37,43B HK$-4,02B HK$45,54B HK$33,67B HK$17,44B
OM Operating Margin 18,40% 22,14% 25,24% 30,58% 38,57% 38,57% 37,06% 42,51% 43,65% 37,09% 36,71%
GM % Gross Margin % 44,11% 52,51% 53,18% 52,70% 56,13% 55,81% 46,22% 54,82% 53,94% 44,73% 42,49%
FCFS Free Cash Flow Per Share HK$0,00 HK$2,73 HK$-0,57 HK$1,13 HK$6,03 HK$6,22 HK$10,21 HK$2,42 HK$12,29 HK$8,13 HK$4,53
LT Debt Long-Term Debt HK$39,72B HK$41,58B HK$37,07B HK$46,10B HK$67,66B HK$55,01B HK$73,24B HK$67,71B HK$57,65B HK$65,80B HK$55,22B
Sha. Stocks 3.499,78M 3.499,78M 3.548,88M 3.594,24M 3.643,58M 3.693,4M 3.693,4M 3.693,4M 3.697,5M 3.824M 3.859,68M
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