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00434 BOYAA

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  • 4.980
  • +0.110+2.26%
Not Open Dec 4 16:08 CST
3.54BMarket Cap13.04P/E (TTM)

BOYAA Key Stats

All
YOY yoy
Hide blank lines yoy
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
(Q9)Sep 30, 2022
(Q6)Jun 30, 2022
Cash flow from operating activities
Earning before tax
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----
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49.01%126.95M
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----
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357.95%85.2M
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Profit adjustment
Interest (income) - adjustment
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-89.22%-56.29M
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-50.71%-29.75M
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Dividend (income)- adjustment
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70.28%-2.68M
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---9M
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Attributable subsidiary (profit) loss
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154.13%1.6M
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-88.61%630K
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----
Impairment and provisions:
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97.39%-133K
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-138.73%-5.09M
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-Impairment of trade receivables (reversal)
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96.65%-173K
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-6,632.91%-5.16M
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-Other impairments and provisions
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-45.21%40K
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----
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-99.44%73K
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----
Revaluation surplus:
----
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-5.20%54.94M
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----
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-43.57%57.95M
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-Other fair value changes
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----
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-5.20%54.94M
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----
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-43.57%57.95M
----
----
Asset sale loss (gain):
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100.36%24K
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----
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-2,838.68%-6.66M
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-Loss (gain) from sale of subsidiary company
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----
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----
----
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---6.66M
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-Loss (gain) on sale of property, machinery and equipment
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700.00%24K
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-98.77%3K
----
----
Depreciation and amortization:
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-20.11%11.76M
----
----
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-14.33%14.73M
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----
-Depreciation
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----
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-21.60%11.55M
----
----
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-14.19%14.73M
----
----
-Amortization of intangible assets
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----
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--219K
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----
----
----
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Financial expense
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----
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4.57%687K
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----
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173.75%657K
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----
Exchange Loss (gain)
----
----
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-112.66%-814K
----
----
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354.99%6.43M
----
----
Special items
----
----
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-78.34%1.76M
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----
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1,979.80%8.13M
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----
Operating profit before the change of operating capital
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11.83%137.81M
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----
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-11.80%123.23M
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----
Change of operating capital
Accounts receivable (increase)decrease
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-332.92%-5.48M
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----
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202.13%2.35M
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----
Accounts payable increase (decrease)
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-505.08%-4.31M
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----
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123.48%1.06M
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----
prepayments (increase)decrease
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----
-379.06%-30.59M
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206.29%10.96M
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----
Special items for working capital changes
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----
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247.86%3.6M
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----
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-17.13%-2.43M
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Cash  from business operations
129.60%215.99M
102.54%104.61M
220.08%56.5M
-25.26%101.03M
-43.41%94.07M
-37.96%51.65M
-21.84%17.65M
0.60%135.18M
71.51%166.25M
22.53%83.25M
Other taxs
-16.25%-8.3M
-124.03%-5.83M
-546.53%-3.27M
-16.78%-7.16M
-28.96%-7.14M
52.52%-2.6M
76.26%-505K
39.95%-6.13M
38.50%-5.54M
39.15%-5.48M
Interest paid - operating
-35.14%-896K
-56.81%-541K
-18.64%-210K
-4.57%-687K
-45.71%-663K
-9.52%-345K
-831.58%-177K
-173.75%-657K
-158.52%-455K
-136.84%-315K
Net cash from operations
139.71%206.79M
101.71%98.24M
212.47%53.02M
-27.42%93.19M
-46.17%86.27M
-37.13%48.7M
-16.97%16.97M
3.60%128.39M
82.63%160.25M
31.71%77.46M
Cash flow from investment activities
Interest received - investment
-59.71%16.64M
-51.42%12.45M
-28.08%5.76M
33.04%48.15M
75.29%41.3M
115.18%25.63M
111.60%8.01M
117.97%36.19M
80.02%23.56M
45.18%11.91M
Dividend received - investment
996.41%19.26M
1,923.97%15.2M
2,049.53%16.14M
-70.28%2.68M
-40.52%1.76M
-85.41%751K
-81.71%751K
--9M
--2.95M
--5.15M
Decrease in deposits (increase)
882.19%501.65M
372.74%477.31M
349.33%419.47M
449.91%435.84M
54.40%-64.13M
-327.79%-175.01M
-897.50%-168.24M
57.89%-124.56M
44.61%-140.64M
82.73%-40.91M
Sale of fixed assets
832.48%1.46M
1,863.64%432K
----
-98.23%34K
613.64%157K
0.00%22K
--17K
269.23%1.92M
-83.33%22K
-85.14%22K
Purchase of fixed assets
88.34%-1.2M
94.47%-542K
99.59%-44K
-157.85%-9.07M
-374.34%-10.26M
-431.90%-9.8M
-1,488.43%-10.71M
-17.87%-3.52M
79.37%-2.16M
80.15%-1.84M
Purchase of intangible assets
----
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---1.87M
---1.87M
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----
----
----
----
Sale of subsidiaries
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-74.80%2.72M
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--10.79M
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Recovery of cash from investments
158.95%133.18M
845,841.67%101.51M
843,508.33%101.23M
-36.02%51.43M
304.47%51.43M
-99.89%12K
-99.89%12K
-59.88%80.39M
-78.42%12.72M
-80.90%11.23M
Cash on investment
-1,075.49%-1.53B
---1.37B
---639.15M
-107.69%-207.69M
-30.00%-130M
----
----
-81.82%-100M
-81.82%-100M
----
Other items in the investment business
--11.41M
--11.41M
----
--16.39M
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----
----
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Net cash from investment operations
-657.70%-845.72M
-371.90%-747.46M
43.23%-96.6M
477.17%338.62M
45.16%-111.62M
-996.59%-158.39M
-533.14%-170.16M
64.98%-89.78M
14.59%-203.54M
93.83%-14.44M
Net cash before financing
-2,420.43%-638.93M
-491.87%-649.22M
71.55%-43.58M
1,018.19%431.8M
41.44%-25.35M
-274.07%-109.69M
-356.50%-153.19M
129.17%38.62M
71.25%-43.29M
135.97%63.02M
Cash flow from financing activities
Dividends paid - financing
---24M
---24M
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----
----
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Issuance expenses and redemption of securities expenses
---5.11M
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73.46%-112K
73.46%-112K
----
Net cash from financing operations
-689.37%-33.34M
-1,165.19%-27.33M
0.00%-1.01M
-0.36%-4.15M
-26.02%-4.22M
0.00%-2.16M
4.89%-1.01M
1.03%-4.14M
-5.24%-3.35M
-16.76%-2.16M
Effect of rate
53.57%-5.09M
-149.84%-6.12M
613.44%3.24M
102.84%22.65M
-190.00%-10.96M
-20.02%12.29M
140.11%454K
364.64%11.17M
655.20%12.18M
505.97%15.36M
Net Cash
-2,173.24%-672.27M
-504.87%-676.55M
71.09%-44.59M
1,140.25%427.65M
36.59%-29.57M
-283.80%-111.85M
-362.87%-154.2M
125.25%34.48M
69.67%-46.64M
134.37%60.86M
Begining period cash
153.19%744.26M
153.19%744.26M
153.19%744.26M
18.38%293.96M
18.38%293.96M
18.38%293.96M
18.38%293.96M
-36.19%248.31M
-36.19%248.31M
-36.19%248.31M
Cash at the end
-73.60%66.91M
-68.32%61.59M
401.33%702.91M
153.19%744.26M
18.51%253.42M
-40.10%194.39M
-54.16%140.21M
18.38%293.96M
-8.28%213.85M
55.82%324.52M
Cash balance analysis
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
--
--
Auditor
--
--
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
--
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
--
(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022(Q9)Sep 30, 2022(Q6)Jun 30, 2022
Cash flow from operating activities
Earning before tax ------------49.01%126.95M------------357.95%85.2M--------
Profit adjustment
Interest (income) - adjustment -------------89.22%-56.29M-------------50.71%-29.75M--------
Dividend (income)- adjustment ------------70.28%-2.68M---------------9M--------
Attributable subsidiary (profit) loss ------------154.13%1.6M-------------88.61%630K--------
Impairment and provisions: ------------97.39%-133K-------------138.73%-5.09M--------
-Impairment of trade receivables (reversal) ------------96.65%-173K-------------6,632.91%-5.16M--------
-Other impairments and provisions -------------45.21%40K-------------99.44%73K--------
Revaluation surplus: -------------5.20%54.94M-------------43.57%57.95M--------
-Other fair value changes -------------5.20%54.94M-------------43.57%57.95M--------
Asset sale loss (gain): ------------100.36%24K-------------2,838.68%-6.66M--------
-Loss (gain) from sale of subsidiary company -------------------------------6.66M--------
-Loss (gain) on sale of property, machinery and equipment ------------700.00%24K-------------98.77%3K--------
Depreciation and amortization: -------------20.11%11.76M-------------14.33%14.73M--------
-Depreciation -------------21.60%11.55M-------------14.19%14.73M--------
-Amortization of intangible assets --------------219K------------------------
Financial expense ------------4.57%687K------------173.75%657K--------
Exchange Loss (gain) -------------112.66%-814K------------354.99%6.43M--------
Special items -------------78.34%1.76M------------1,979.80%8.13M--------
Operating profit before the change of operating capital ------------11.83%137.81M-------------11.80%123.23M--------
Change of operating capital
Accounts receivable (increase)decrease -------------332.92%-5.48M------------202.13%2.35M--------
Accounts payable increase (decrease) -------------505.08%-4.31M------------123.48%1.06M--------
prepayments (increase)decrease -------------379.06%-30.59M------------206.29%10.96M--------
Special items for working capital changes ------------247.86%3.6M-------------17.13%-2.43M--------
Cash  from business operations 129.60%215.99M102.54%104.61M220.08%56.5M-25.26%101.03M-43.41%94.07M-37.96%51.65M-21.84%17.65M0.60%135.18M71.51%166.25M22.53%83.25M
Other taxs -16.25%-8.3M-124.03%-5.83M-546.53%-3.27M-16.78%-7.16M-28.96%-7.14M52.52%-2.6M76.26%-505K39.95%-6.13M38.50%-5.54M39.15%-5.48M
Interest paid - operating -35.14%-896K-56.81%-541K-18.64%-210K-4.57%-687K-45.71%-663K-9.52%-345K-831.58%-177K-173.75%-657K-158.52%-455K-136.84%-315K
Net cash from operations 139.71%206.79M101.71%98.24M212.47%53.02M-27.42%93.19M-46.17%86.27M-37.13%48.7M-16.97%16.97M3.60%128.39M82.63%160.25M31.71%77.46M
Cash flow from investment activities
Interest received - investment -59.71%16.64M-51.42%12.45M-28.08%5.76M33.04%48.15M75.29%41.3M115.18%25.63M111.60%8.01M117.97%36.19M80.02%23.56M45.18%11.91M
Dividend received - investment 996.41%19.26M1,923.97%15.2M2,049.53%16.14M-70.28%2.68M-40.52%1.76M-85.41%751K-81.71%751K--9M--2.95M--5.15M
Decrease in deposits (increase) 882.19%501.65M372.74%477.31M349.33%419.47M449.91%435.84M54.40%-64.13M-327.79%-175.01M-897.50%-168.24M57.89%-124.56M44.61%-140.64M82.73%-40.91M
Sale of fixed assets 832.48%1.46M1,863.64%432K-----98.23%34K613.64%157K0.00%22K--17K269.23%1.92M-83.33%22K-85.14%22K
Purchase of fixed assets 88.34%-1.2M94.47%-542K99.59%-44K-157.85%-9.07M-374.34%-10.26M-431.90%-9.8M-1,488.43%-10.71M-17.87%-3.52M79.37%-2.16M80.15%-1.84M
Purchase of intangible assets ---------------1.87M---1.87M--------------------
Sale of subsidiaries -------------74.80%2.72M--------------10.79M--------
Recovery of cash from investments 158.95%133.18M845,841.67%101.51M843,508.33%101.23M-36.02%51.43M304.47%51.43M-99.89%12K-99.89%12K-59.88%80.39M-78.42%12.72M-80.90%11.23M
Cash on investment -1,075.49%-1.53B---1.37B---639.15M-107.69%-207.69M-30.00%-130M---------81.82%-100M-81.82%-100M----
Other items in the investment business --11.41M--11.41M------16.39M------------------------
Net cash from investment operations -657.70%-845.72M-371.90%-747.46M43.23%-96.6M477.17%338.62M45.16%-111.62M-996.59%-158.39M-533.14%-170.16M64.98%-89.78M14.59%-203.54M93.83%-14.44M
Net cash before financing -2,420.43%-638.93M-491.87%-649.22M71.55%-43.58M1,018.19%431.8M41.44%-25.35M-274.07%-109.69M-356.50%-153.19M129.17%38.62M71.25%-43.29M135.97%63.02M
Cash flow from financing activities
Dividends paid - financing ---24M---24M--------------------------------
Issuance expenses and redemption of securities expenses ---5.11M------------------------73.46%-112K73.46%-112K----
Net cash from financing operations -689.37%-33.34M-1,165.19%-27.33M0.00%-1.01M-0.36%-4.15M-26.02%-4.22M0.00%-2.16M4.89%-1.01M1.03%-4.14M-5.24%-3.35M-16.76%-2.16M
Effect of rate 53.57%-5.09M-149.84%-6.12M613.44%3.24M102.84%22.65M-190.00%-10.96M-20.02%12.29M140.11%454K364.64%11.17M655.20%12.18M505.97%15.36M
Net Cash -2,173.24%-672.27M-504.87%-676.55M71.09%-44.59M1,140.25%427.65M36.59%-29.57M-283.80%-111.85M-362.87%-154.2M125.25%34.48M69.67%-46.64M134.37%60.86M
Begining period cash 153.19%744.26M153.19%744.26M153.19%744.26M18.38%293.96M18.38%293.96M18.38%293.96M18.38%293.96M-36.19%248.31M-36.19%248.31M-36.19%248.31M
Cash at the end -73.60%66.91M-68.32%61.59M401.33%702.91M153.19%744.26M18.51%253.42M-40.10%194.39M-54.16%140.21M18.38%293.96M-8.28%213.85M55.82%324.52M
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ------Unqualified Opinion------Unqualified Opinion----
Auditor ------Zhonghui Anda Certified Public Accountants Co., Ltd.------Zhonghui Anda Certified Public Accountants Co., Ltd.----

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.