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Sun Hung Kai Py Ltd ADR (SUHJY)

Sun Hung Kai Py Ltd ADR (SUHJY)
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Financial Summary for [[ item.sessionDateDisplayLong ]]
Sun Hung Kai Properties Limited is an investment holding company. The Company is engaged in the development of and investment in properties for sale and rent, hotel operation, telecommunications, transportation, infrastructure and logistics. Its segments include Property sales, Property rental, Hotel operation, Telecommunications, Transport infrastructure and logistics, and other businesses. The Property sales and Property rental segments operate in Hong Kong, Mainland China and Singapore. Its Property development for sale business includes land acquisition, project planning, sales and marketing, and property management. It builds leases and manages a range of commercial projects in both core and decentralized areas that provide office and retail space to tenants. It has a portfolio of hotels, serviced suites and residences. Its other businesses include property management, construction, mortgage and other loan financing, data center facilities and department store.

Fiscal Year End Date: 06/30

(Values in U.S. Thousands) Jun, 2025 Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021
Sales 10,236,180 9,145,620 9,084,480 9,959,390 10,990,270
Sales Growth +11.92% +0.67% -8.78% -9.38% +3.64%
Net Income 2,475,170 2,435,980 3,050,530 3,274,240 3,448,330
Net Income Growth +1.61% -20.15% -6.83% -5.05% +13.45%
(Values in U.S. Thousands) Jun, 2025 Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021
Total Assets 104,889,102 104,634,203 102,844,500 103,449,297 102,658,398
Total Assets Growth +0.24% +1.74% -0.58% +0.77% +0.29%
Total Liabilities 24,976,240 26,478,240 25,417,279 25,725,430 25,366,619
Total Liabilities Growth -5.67% +4.17% -1.20% +1.41% -4.68%
(Values in U.S. Thousands) Jun, 2025 Jun, 2024 Jun, 2023 Jun, 2022 Jun, 2021
Operating Cash Flow 4,889,470 3,135,600 3,340,190 1,971,720 2,018,060
Operating Cash Flow Growth +55.93% -6.13% +69.40% -2.30% -67.14%
Net Cash Flow 98,100 224,720 -511,680 -430,290 -1,225,070
Change in Net Cash Flow -56.35% +143.92% -18.92% +64.88% -198.24%
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