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00337 GREENLAND HK

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851.52MMarket Cap-335P/E (TTM)

GREENLAND HK Key Stats

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YOY yoy
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(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
Cash flow from operating activities
Earning before tax
----
-126.45%-600.41M
----
-63.90%2.27B
----
-11.43%6.29B
----
-33.60%7.1B
----
186.56%10.69B
Profit adjustment
Attributable subsidiary (profit) loss
----
697.87%378.85M
----
50.92%-63.37M
----
79.39%-129.11M
----
-1.27%-626.45M
----
-323.47%-618.6M
Impairment and provisions:
----
247.43%658.39M
----
-68.45%189.5M
----
-11.87%600.69M
----
-55.64%681.58M
----
1,050.75%1.54B
-Impairment of property, plant and equipment (reversal)
----
142.54%468.95M
----
-44.81%193.35M
----
-48.60%350.31M
----
-55.64%681.58M
----
--1.54B
-Other impairments and provisions
----
5,023.00%189.44M
----
-101.54%-3.85M
----
--250.38M
----
----
----
----
Revaluation surplus:
----
271.71%1.02B
----
10,101.49%273.09M
----
100.44%2.68M
----
37.42%-610.87M
----
19.43%-976.09M
-Fair value of investment properties (increase)
----
271.71%1.02B
----
12,108.05%273.09M
----
100.39%2.24M
----
40.35%-577.86M
----
21.03%-968.77M
-Other fair value changes
----
----
----
----
----
101.33%440K
----
-350.92%-33.01M
----
-148.02%-7.32M
Asset sale loss (gain):
----
185.70%187.81M
----
-1,281.09%-219.15M
----
67.71%-15.87M
----
95.86%-49.15M
----
-137.88%-1.19B
-Loss (gain) from sale of subsidiary company
----
--73.03M
----
----
----
67.74%-15.83M
----
95.86%-49.07M
----
-143.10%-1.19B
-Loss (gain) on sale of property, machinery and equipment
----
99.90%-211K
----
---219.15M
----
----
----
69.11%-76K
----
97.72%-246K
-Loss (gain) from selling other assets
----
--115M
----
----
----
---37K
----
----
----
----
Depreciation and amortization:
----
-16.65%70.44M
----
-21.16%84.5M
----
-15.38%107.18M
----
18.09%126.66M
----
18.59%107.26M
-Amortization of intangible assets
----
0.00%45K
----
0.00%45K
----
0.00%45K
----
0.00%45K
----
-96.88%45K
Financial expense
----
-24.36%100.04M
----
-48.09%132.26M
----
-7.83%254.77M
----
-29.23%276.41M
----
108.31%390.56M
Exchange Loss (gain)
----
-65.87%66.4M
----
172.73%194.53M
----
31.92%-267.49M
----
-275.80%-392.89M
----
-65.90%223.49M
Special items
----
66.36%-19.4M
----
47.93%-57.67M
----
-283.52%-110.77M
----
-329.04%-28.88M
----
117.23%12.61M
Operating profit before the change of operating capital
----
-33.76%1.86B
----
-58.35%2.8B
----
3.92%6.73B
----
-36.40%6.48B
----
254.92%10.18B
Change of operating capital
Accounts receivable (increase)decrease
----
-109.54%-166.21M
----
4.37%1.74B
----
3.06%1.67B
----
119.40%1.62B
----
-1,490.13%-8.35B
Accounts payable increase (decrease)
----
14.18%-1.86B
----
-141.74%-2.16B
----
2,232.03%5.18B
----
-98.38%222.18M
----
174.26%13.71B
Special items for working capital changes
----
58.56%-794.3M
----
-334.52%-1.92B
----
111.70%817.35M
----
-29.94%-6.99B
----
-174.80%-5.38B
Cash  from business operations
----
-305.48%-959.16M
----
-96.76%466.78M
----
980.07%14.4B
----
-86.88%1.33B
----
265.44%10.16B
Other taxs
----
71.02%-241.86M
----
73.03%-834.49M
----
5.14%-3.09B
----
3.65%-3.26B
----
-108.35%-3.39B
Special items of business
-370.88%-960.17M
----
-36.30%-203.91M
----
-104.08%-149.6M
----
385.58%3.67B
----
-137.25%-1.28B
----
Net cash from operations
-370.88%-960.17M
-226.62%-1.2B
-36.30%-203.91M
-103.25%-367.71M
-104.08%-149.6M
686.15%11.3B
385.58%3.67B
-128.46%-1.93B
-137.25%-1.28B
486.23%6.78B
Cash flow from investment activities
Interest received - investment
-47.20%7.39M
-66.36%19.4M
-54.45%14M
-47.93%57.67M
-6.80%30.73M
110.28%110.77M
32.61%32.97M
-60.11%52.68M
-33.44%24.86M
53.00%132.07M
Dividend received - investment
----
----
----
----
----
547.59%524.55M
----
--81M
--81M
----
Loan receivable (increase) decrease
-34.63%261.27M
96.16%2.57B
-63.76%399.65M
-59.21%1.31B
133.10%1.1B
-3.58%3.21B
-2,306.58%-3.33B
-22.81%3.33B
-93.12%150.99M
143.66%4.31B
Decrease in deposits (increase)
163.78%216.15M
-74.11%418.85M
-119.71%-338.91M
49.12%1.62B
2,033.58%1.72B
214.46%1.09B
95.38%-88.94M
-93.59%-947.94M
-54.00%-1.93B
-366.03%-489.66M
Sale of fixed assets
-99.89%746K
-45.85%913.3M
-17.80%705.13M
396.31%1.69B
2,342.78%857.86M
88.51%339.84M
49.22%35.12M
-46.04%180.28M
-92.95%23.53M
807.75%334.08M
Purchase of fixed assets
99.89%-678K
74.28%-295.97M
-4,248.84%-638.19M
-690.28%-1.15B
-49.76%-14.68M
-145.24%-145.59M
0.12%-9.8M
-78.35%-59.37M
50.86%-9.81M
53.26%-33.29M
Sale of subsidiaries
----
--232.61M
--52.73M
----
----
413.08%98.35M
506.80%117.96M
-98.45%19.17M
-96.85%19.44M
33.82%1.24B
Acquisition of subsidiaries
----
----
----
----
----
----
----
-397.51%-268.45M
-993.08%-268.45M
96.68%-53.96M
Recovery of cash from investments
--245.18M
----
----
----
----
--31.52M
----
----
----
--577.65M
Cash on investment
----
-48.97%-717.04M
-200.70%-301.96M
95.36%-481.34M
48.06%-100.42M
-698.89%-10.38B
21.51%-193.33M
86.37%-1.3B
50.77%-246.32M
15.76%-9.53B
Other items in the investment business
----
----
----
----
----
----
----
3,953.46%37.45M
--37.45M
100.81%924K
Net cash from investment operations
778.79%730.06M
3.29%3.14B
-102.99%-107.55M
159.33%3.04B
204.61%3.6B
-555.28%-5.12B
-62.58%-3.44B
132.06%1.13B
-252.56%-2.11B
65.33%-3.51B
Net cash before financing
26.12%-230.12M
-27.45%1.94B
-109.04%-311.46M
-56.77%2.67B
1,403.09%3.45B
869.47%6.18B
106.75%229.29M
-124.59%-803.35M
-170.32%-3.4B
136.44%3.27B
Cash flow from financing activities
New borrowing
-28.20%282.77M
-87.48%278M
-61.90%393.8M
-71.18%2.22B
-78.67%1.03B
-46.93%7.7B
-32.65%4.85B
63.43%14.52B
140.31%7.19B
82.89%8.88B
Refund
57.60%-520.54M
70.86%-2.4B
77.92%-1.23B
56.16%-8.24B
28.07%-5.56B
-30.50%-18.79B
-36.03%-7.73B
2.76%-14.4B
-63.88%-5.68B
-289.32%-14.81B
Issuance of bonds
----
----
----
----
----
--952.8M
--952.8M
----
----
-22.86%2.07B
Interest paid - financing
15.84%-387.49M
20.02%-692.37M
27.53%-460.42M
43.04%-865.67M
-0.42%-635.28M
-6.43%-1.52B
16.60%-632.61M
3.37%-1.43B
-42.28%-758.53M
-45.30%-1.48B
Dividends paid - financing
-5.09%-43.52M
-10.76%-1.02B
29.62%-41.41M
24.73%-916.94M
44.83%-58.85M
9.89%-1.22B
54.24%-106.67M
-17.33%-1.35B
-48.79%-233.13M
-143.69%-1.15B
Absorb investment income
----
----
----
----
----
141.46%826.32M
-99.11%630K
-59.74%342.22M
-53.38%70.62M
277.37%849.91M
Issuance expenses and redemption of securities expenses
----
----
----
48.08%-1.01B
---1.01B
-37.32%-1.94B
----
68.49%-1.41B
-2.62%-1.41B
-7.70%-4.48B
Other items of the financing business
-55.24%193.81M
-60.02%743.54M
-43.58%433.04M
-67.65%1.86B
-55.80%767.54M
179.54%5.75B
55.68%1.74B
-76.46%2.06B
93.89%1.12B
-4.84%8.74B
Net cash from financing operations
46.91%-510.78M
54.40%-3.23B
82.61%-962.02M
15.28%-7.09B
-467.19%-5.53B
-365.48%-8.37B
-520.15%-975.12M
-20.89%-1.8B
112.76%232.09M
-119.84%-1.49B
Effect of rate
-87.77%186K
119.94%728K
-54.21%1.52M
-94.46%331K
155.58%3.32M
107.92%5.98M
-175.60%-5.98M
-263.53%-75.44M
59.52%7.91M
-40.20%46.13M
Net Cash
41.82%-740.89M
70.70%-1.29B
38.91%-1.27B
-102.03%-4.42B
-179.48%-2.08B
15.93%-2.19B
76.44%-745.84M
-246.11%-2.6B
-205.06%-3.17B
220.89%1.78B
Begining period cash
-42.96%1.72B
-59.46%3.01B
-59.46%3.01B
-22.69%7.43B
-22.69%7.43B
-21.78%9.61B
-21.78%9.61B
17.46%12.29B
202.64%12.29B
91.74%10.46B
Cash at the end
-43.83%977.23M
-42.96%1.72B
-67.47%1.74B
-59.46%3.01B
-39.62%5.35B
-22.69%7.43B
-2.96%8.86B
-21.78%9.61B
28.95%9.13B
202.64%12.29B
Cash balance analysis
Cash and bank balance
----
----
----
----
----
----
----
----
--9.13B
----
Cash and cash equivalent balance
----
----
----
----
----
----
----
----
--9.13B
----
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019
Cash flow from operating activities
Earning before tax -----126.45%-600.41M-----63.90%2.27B-----11.43%6.29B-----33.60%7.1B----186.56%10.69B
Profit adjustment
Attributable subsidiary (profit) loss ----697.87%378.85M----50.92%-63.37M----79.39%-129.11M-----1.27%-626.45M-----323.47%-618.6M
Impairment and provisions: ----247.43%658.39M-----68.45%189.5M-----11.87%600.69M-----55.64%681.58M----1,050.75%1.54B
-Impairment of property, plant and equipment (reversal) ----142.54%468.95M-----44.81%193.35M-----48.60%350.31M-----55.64%681.58M------1.54B
-Other impairments and provisions ----5,023.00%189.44M-----101.54%-3.85M------250.38M----------------
Revaluation surplus: ----271.71%1.02B----10,101.49%273.09M----100.44%2.68M----37.42%-610.87M----19.43%-976.09M
-Fair value of investment properties (increase) ----271.71%1.02B----12,108.05%273.09M----100.39%2.24M----40.35%-577.86M----21.03%-968.77M
-Other fair value changes --------------------101.33%440K-----350.92%-33.01M-----148.02%-7.32M
Asset sale loss (gain): ----185.70%187.81M-----1,281.09%-219.15M----67.71%-15.87M----95.86%-49.15M-----137.88%-1.19B
-Loss (gain) from sale of subsidiary company ------73.03M------------67.74%-15.83M----95.86%-49.07M-----143.10%-1.19B
-Loss (gain) on sale of property, machinery and equipment ----99.90%-211K-------219.15M------------69.11%-76K----97.72%-246K
-Loss (gain) from selling other assets ------115M---------------37K----------------
Depreciation and amortization: -----16.65%70.44M-----21.16%84.5M-----15.38%107.18M----18.09%126.66M----18.59%107.26M
-Amortization of intangible assets ----0.00%45K----0.00%45K----0.00%45K----0.00%45K-----96.88%45K
Financial expense -----24.36%100.04M-----48.09%132.26M-----7.83%254.77M-----29.23%276.41M----108.31%390.56M
Exchange Loss (gain) -----65.87%66.4M----172.73%194.53M----31.92%-267.49M-----275.80%-392.89M-----65.90%223.49M
Special items ----66.36%-19.4M----47.93%-57.67M-----283.52%-110.77M-----329.04%-28.88M----117.23%12.61M
Operating profit before the change of operating capital -----33.76%1.86B-----58.35%2.8B----3.92%6.73B-----36.40%6.48B----254.92%10.18B
Change of operating capital
Accounts receivable (increase)decrease -----109.54%-166.21M----4.37%1.74B----3.06%1.67B----119.40%1.62B-----1,490.13%-8.35B
Accounts payable increase (decrease) ----14.18%-1.86B-----141.74%-2.16B----2,232.03%5.18B-----98.38%222.18M----174.26%13.71B
Special items for working capital changes ----58.56%-794.3M-----334.52%-1.92B----111.70%817.35M-----29.94%-6.99B-----174.80%-5.38B
Cash  from business operations -----305.48%-959.16M-----96.76%466.78M----980.07%14.4B-----86.88%1.33B----265.44%10.16B
Other taxs ----71.02%-241.86M----73.03%-834.49M----5.14%-3.09B----3.65%-3.26B-----108.35%-3.39B
Special items of business -370.88%-960.17M-----36.30%-203.91M-----104.08%-149.6M----385.58%3.67B-----137.25%-1.28B----
Net cash from operations -370.88%-960.17M-226.62%-1.2B-36.30%-203.91M-103.25%-367.71M-104.08%-149.6M686.15%11.3B385.58%3.67B-128.46%-1.93B-137.25%-1.28B486.23%6.78B
Cash flow from investment activities
Interest received - investment -47.20%7.39M-66.36%19.4M-54.45%14M-47.93%57.67M-6.80%30.73M110.28%110.77M32.61%32.97M-60.11%52.68M-33.44%24.86M53.00%132.07M
Dividend received - investment --------------------547.59%524.55M------81M--81M----
Loan receivable (increase) decrease -34.63%261.27M96.16%2.57B-63.76%399.65M-59.21%1.31B133.10%1.1B-3.58%3.21B-2,306.58%-3.33B-22.81%3.33B-93.12%150.99M143.66%4.31B
Decrease in deposits (increase) 163.78%216.15M-74.11%418.85M-119.71%-338.91M49.12%1.62B2,033.58%1.72B214.46%1.09B95.38%-88.94M-93.59%-947.94M-54.00%-1.93B-366.03%-489.66M
Sale of fixed assets -99.89%746K-45.85%913.3M-17.80%705.13M396.31%1.69B2,342.78%857.86M88.51%339.84M49.22%35.12M-46.04%180.28M-92.95%23.53M807.75%334.08M
Purchase of fixed assets 99.89%-678K74.28%-295.97M-4,248.84%-638.19M-690.28%-1.15B-49.76%-14.68M-145.24%-145.59M0.12%-9.8M-78.35%-59.37M50.86%-9.81M53.26%-33.29M
Sale of subsidiaries ------232.61M--52.73M--------413.08%98.35M506.80%117.96M-98.45%19.17M-96.85%19.44M33.82%1.24B
Acquisition of subsidiaries -----------------------------397.51%-268.45M-993.08%-268.45M96.68%-53.96M
Recovery of cash from investments --245.18M------------------31.52M--------------577.65M
Cash on investment -----48.97%-717.04M-200.70%-301.96M95.36%-481.34M48.06%-100.42M-698.89%-10.38B21.51%-193.33M86.37%-1.3B50.77%-246.32M15.76%-9.53B
Other items in the investment business ----------------------------3,953.46%37.45M--37.45M100.81%924K
Net cash from investment operations 778.79%730.06M3.29%3.14B-102.99%-107.55M159.33%3.04B204.61%3.6B-555.28%-5.12B-62.58%-3.44B132.06%1.13B-252.56%-2.11B65.33%-3.51B
Net cash before financing 26.12%-230.12M-27.45%1.94B-109.04%-311.46M-56.77%2.67B1,403.09%3.45B869.47%6.18B106.75%229.29M-124.59%-803.35M-170.32%-3.4B136.44%3.27B
Cash flow from financing activities
New borrowing -28.20%282.77M-87.48%278M-61.90%393.8M-71.18%2.22B-78.67%1.03B-46.93%7.7B-32.65%4.85B63.43%14.52B140.31%7.19B82.89%8.88B
Refund 57.60%-520.54M70.86%-2.4B77.92%-1.23B56.16%-8.24B28.07%-5.56B-30.50%-18.79B-36.03%-7.73B2.76%-14.4B-63.88%-5.68B-289.32%-14.81B
Issuance of bonds ----------------------952.8M--952.8M---------22.86%2.07B
Interest paid - financing 15.84%-387.49M20.02%-692.37M27.53%-460.42M43.04%-865.67M-0.42%-635.28M-6.43%-1.52B16.60%-632.61M3.37%-1.43B-42.28%-758.53M-45.30%-1.48B
Dividends paid - financing -5.09%-43.52M-10.76%-1.02B29.62%-41.41M24.73%-916.94M44.83%-58.85M9.89%-1.22B54.24%-106.67M-17.33%-1.35B-48.79%-233.13M-143.69%-1.15B
Absorb investment income --------------------141.46%826.32M-99.11%630K-59.74%342.22M-53.38%70.62M277.37%849.91M
Issuance expenses and redemption of securities expenses ------------48.08%-1.01B---1.01B-37.32%-1.94B----68.49%-1.41B-2.62%-1.41B-7.70%-4.48B
Other items of the financing business -55.24%193.81M-60.02%743.54M-43.58%433.04M-67.65%1.86B-55.80%767.54M179.54%5.75B55.68%1.74B-76.46%2.06B93.89%1.12B-4.84%8.74B
Net cash from financing operations 46.91%-510.78M54.40%-3.23B82.61%-962.02M15.28%-7.09B-467.19%-5.53B-365.48%-8.37B-520.15%-975.12M-20.89%-1.8B112.76%232.09M-119.84%-1.49B
Effect of rate -87.77%186K119.94%728K-54.21%1.52M-94.46%331K155.58%3.32M107.92%5.98M-175.60%-5.98M-263.53%-75.44M59.52%7.91M-40.20%46.13M
Net Cash 41.82%-740.89M70.70%-1.29B38.91%-1.27B-102.03%-4.42B-179.48%-2.08B15.93%-2.19B76.44%-745.84M-246.11%-2.6B-205.06%-3.17B220.89%1.78B
Begining period cash -42.96%1.72B-59.46%3.01B-59.46%3.01B-22.69%7.43B-22.69%7.43B-21.78%9.61B-21.78%9.61B17.46%12.29B202.64%12.29B91.74%10.46B
Cash at the end -43.83%977.23M-42.96%1.72B-67.47%1.74B-59.46%3.01B-39.62%5.35B-22.69%7.43B-2.96%8.86B-21.78%9.61B28.95%9.13B202.64%12.29B
Cash balance analysis
Cash and bank balance ----------------------------------9.13B----
Cash and cash equivalent balance ----------------------------------9.13B----
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ------Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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