Sunac Services Holdings Limited (1516.HK)

HKD 1.66

(1.22%)

Operating Income Summary of Sunac Services Holdings Limited

  • Sunac Services Holdings Limited's latest annual operating income in 2023 was -412.42 Million CNY , up 39.0% from previous year.
  • Sunac Services Holdings Limited's latest quarterly operating income in 2024 Q2 was -666.15 Million CNY , down 0.0% from previous quarter.
  • Sunac Services Holdings Limited reported an annual operating income of -676.16 Million CNY in 2022, down -142.89% from previous year.
  • Sunac Services Holdings Limited reported an annual operating income of 1.57 Billion CNY in 2021, up 96.28% from previous year.
  • Sunac Services Holdings Limited reported a quarterly operating income of 462.81 Million CNY for 2023 Q2, down 0.0% from previous quarter.
  • Sunac Services Holdings Limited reported a quarterly operating income of -845.1 Million CNY for 2023 Q4, down 0.0% from previous quarter.

Annual Operating Income Chart of Sunac Services Holdings Limited (2023 - 2017)

Historical Annual Operating Income of Sunac Services Holdings Limited (2023 - 2017)

Year Operating Income Operating Income Growth
2023 -412.42 Million CNY 39.0%
2022 -676.16 Million CNY -142.89%
2021 1.57 Billion CNY 96.28%
2020 803.19 Million CNY 133.84%
2019 343.48 Million CNY 98.83%
2018 172.75 Million CNY 25.81%
2017 137.3 Million CNY 0.0%

Peer Operating Income Comparison of Sunac Services Holdings Limited

Name Operating Income Operating Income Difference
Hysan Development Company Limited 2.28 Billion HKD 118.073%
Great China Holdings (Hong Kong) Limited -27.41 Million HKD -1404.169%
Dynamic Holdings Limited 12.65 Billion HKD 103.258%
Far East Hotels and Entertainment Limited -21.79 Million HKD -1792.381%
China Asia Valley Group Limited 10.7 Million HKD 3952.307%
Miramar Hotel and Investment Company, Limited 2.32 Billion HKD 117.746%
Tai Sang Land Development Limited -66.97 Million HKD -515.794%
Hang Lung Properties Limited 6.78 Billion HKD 106.079%
Associated International Hotels Limited 413.45 Million HKD 199.753%
GR Properties Limited 123.9 Million HKD 432.858%
Melbourne Enterprises Limited 100.62 Million HKD 509.862%
Emperor International Holdings Limited 100.98 Million HKD 508.421%
Silver Grant International Holdings Group Limited -74.53 Million HKD -453.335%
Winfull Group Holdings Limited -24.56 Million HKD -1579.199%
Nanyang Holdings Limited 141.73 Million HKD 390.977%
Safety Godown Company, Limited 100.82 Million HKD 509.065%
Chuang's Consortium International Limited -902.73 Million HKD 54.313%
Oriental Explorer Holdings Limited 12.93 Million HKD 3288.219%
Pacific Century Premium Developments Limited -89 Million HKD -363.402%
Legend Upstar Holdings Limited 22.12 Million HKD 1963.997%
Paladin Limited -127.45 Million HKD -223.592%
Applied Development Holdings Limited -19.31 Million HKD -2035.163%
Art Group Holdings Limited 92.45 Million HKD 546.109%
Eminence Enterprise Limited -31.31 Million HKD -1217.24%
Hongkong Chinese Limited 37.48 Million HKD 1200.277%
China Tangshang Holdings Limited -96.75 Million HKD -326.241%
Auto Italia Holdings Limited -8.79 Million HKD -4587.747%
Crown International Corporation Limited -68.5 Million HKD -502.085%
Zhongchang International Holdings Group Limited -25.48 Million HKD -1518.317%
Soundwill Holdings Limited 224.41 Million HKD 283.778%
Multifield International Holdings Limited 240.87 Million HKD 271.219%
International Entertainment Corporation -76.42 Million HKD -439.622%
Vanke Overseas Investment Holding Company Limited 194.12 Million HKD 312.45%
Midland Holdings Limited -17.9 Million HKD -2203.681%
SUNeVision Holdings Ltd. 1.25 Billion HKD 132.748%
Swire Properties Limited 5.18 Billion HKD 107.962%
Wharf Real Estate Investment Company Limited 9.99 Billion HKD 104.127%
Times Universal Group Holdings Limited 31 Thousand HKD 1330512.903%
ISP Holdings Limited -16.76 Million HKD -2359.76%
China Overseas Property Holdings Limited 1.8 Billion HKD 122.869%
Shi Shi Services Limited 19.09 Million HKD 2260.101%
Global Digital Creations Holdings Limited -29.89 Million HKD -1279.819%