0001.HK CK Hutchison HK
68.20
-0.05
(-0.07%)
Day high
68.35
Day low
67.60
Lot
500
Lot cost
34.1K
Vol
2.97M
Turnover
201.78M
Mkt cap
261.21B
P/E
6.9
Yield
3.44%
52w
48.43 – 73.59
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Financials
Revenue
280.04B
YoY -0.47%
Net income
11.84B
YoY -30.71%
EPS · TTM
9.87
Profit margin
13.6%
Cash
143.75B
Free cash flow
41.73B
Key ratios
P/E (TTM)
6.9
Forward P/E
10.3
P/B
0.5
P/S
0.9
EV/EBITDA
11.0
ROE
7.3%
ROA
1.6%
Debt/Equity
44.7
Current ratio
2.24
Quick ratio
1.63
Dividend yield
3.44%
Market cap
261.02B
Multi-bagger factors
—
Trends
| Metric | 2025-12 | 2024-12 | 2023-12 | 2022-12 | 2021-12 |
|---|---|---|---|---|---|
| Total revenue |
280.04B
-0.5%
|
281.35B
+2.1%
|
275.57B
+5.0%
|
262.50B
|
—
|
| Cost of revenue |
140.83B
+3.1%
|
136.58B
+1.0%
|
135.17B
+2.9%
|
131.40B
|
—
|
| Gross profit |
139.20B
-3.9%
|
144.77B
+3.1%
|
140.40B
+7.1%
|
131.09B
|
—
|
| Operating income |
37.28B
-11.4%
|
42.08B
-1.6%
|
42.75B
+6.4%
|
40.16B
|
—
|
| Net income |
11.84B
-30.7%
|
17.09B
-27.3%
|
23.50B
-35.9%
|
36.68B
|
—
|
| Basic EPS |
3.09
-30.7%
|
4.46
-27.4%
|
6.14
-35.8%
|
9.57
|
—
|
| Diluted EPS |
3.09
-30.7%
|
4.46
-27.4%
|
6.14
-35.8%
|
9.57
|
—
|
| Metric | 2025-12 | 2024-12 | 2023-12 | 2022-12 | 2021-12 |
|---|---|---|---|---|---|
| Cash & equivalents |
143.75B
+18.5%
|
121.30B
-4.7%
|
127.32B
-7.8%
|
138.09B
|
—
|
| Total assets |
1.16T
+3.9%
|
1.11T
-4.0%
|
1.16T
+0.9%
|
1.15T
|
—
|
| Total liabilities |
467.28B
+1.6%
|
459.95B
-5.8%
|
488.35B
-2.6%
|
501.13B
|
—
|
| Shareholders' equity |
562.77B
+5.3%
|
534.72B
-2.5%
|
548.60B
+3.9%
|
528.07B
|
—
|
| Total debt |
334.61B
+3.0%
|
324.73B
-5.5%
|
343.53B
-2.8%
|
353.42B
|
—
|
| Working capital |
77.34B
+26.4%
|
61.21B
+53.6%
|
39.86B
-16.5%
|
47.76B
|
—
|
| Metric | 2026-06 | 2025-12 | 2025-06 | 2024-12 |
|---|---|---|---|---|
| Cash & equivalents |
179.34B
+38.4%
|
143.75B
+18.5%
|
129.61B
|
121.30B
|
| Total assets |
1.15T
+1.5%
|
1.16T
+3.9%
|
1.14T
|
1.11T
|
| Total liabilities |
444.87B
-3.7%
|
467.28B
+1.6%
|
461.72B
|
459.95B
|
| Shareholders' equity |
578.48B
+4.3%
|
562.77B
+5.3%
|
554.79B
|
534.72B
|
| Total debt |
316.99B
-3.2%
|
334.61B
+3.0%
|
327.40B
|
324.73B
|
| Working capital |
159.87B
+97.0%
|
77.34B
+26.4%
|
81.14B
|
61.21B
|
| Metric | 2025-12 | 2024-12 | 2023-12 | 2022-12 | 2021-12 |
|---|---|---|---|---|---|
| Operating cash flow |
62.57B
+15.4%
|
54.23B
+5.4%
|
51.44B
-9.3%
|
56.71B
|
—
|
| Investing cash flow |
-6.69B
-66.4%
|
-19.90B
+29.1%
|
-15.41B
+253.9%
|
-4.36B
|
—
|
| Financing cash flow |
-33.43B
-17.1%
|
-40.35B
-13.8%
|
-46.78B
-30.6%
|
-67.41B
|
—
|
| Free cash flow |
41.73B
+30.9%
|
31.88B
+22.0%
|
26.14B
-15.3%
|
30.86B
|
—
|
| Capital expenditure |
-20.84B
-6.8%
|
-22.35B
-11.7%
|
-25.30B
-2.1%
|
-25.85B
|
—
|
| Dividends paid |
-8.52B
-9.7%
|
-9.43B
-13.3%
|
-10.88B
+5.1%
|
-10.35B
|
—
|