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00708 EVERG VEHICLE

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Not Open Oct 4 16:08 CST
4.99BMarket Cap-179P/E (TTM)

EVERG VEHICLE 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
Assets
Current assets
Inventory
-54.12%253.81M
-45.47%284.59M
-43.72%553.18M
160.30%521.89M
208.09%982.87M
-35.40%200.5M
-21.19%319.02M
-38.61%310.35M
-23.39%404.8M
1,360.26%505.53M
Developing and for sale properties
-95.70%121.02M
-95.55%109.02M
-96.07%2.82B
-96.94%2.45B
-9.04%71.75B
8.32%79.95B
55.76%78.87B
130.66%73.81B
208.99%50.64B
159.29%32B
Accounts receivable
-91.35%1.71B
306.05%18.67B
11.04%19.73B
-75.56%4.6B
42.64%17.77B
135.93%18.81B
137.02%12.46B
73.59%7.97B
20.30%5.26B
805.81%4.59B
Advance deposits and other receivables
69.73%116.68M
138.25%129.79M
-97.13%68.74M
-97.88%54.48M
-63.15%2.4B
-59.74%2.57B
-15.40%6.51B
-15.81%6.39B
875.20%7.69B
640.46%7.59B
Cash and equivalents
-59.40%39.34M
-41.43%128.82M
-93.98%96.89M
-91.03%219.94M
-83.20%1.61B
-76.59%2.45B
-7.67%9.58B
6.27%10.48B
-38.37%10.37B
527.88%9.86B
Secured deposit
-20.41%15.62M
-7.68%17.9M
-98.34%19.63M
-99.31%19.39M
-59.85%1.18B
-23.44%2.81B
-59.24%2.94B
51.89%3.67B
789.88%7.2B
556.59%2.42B
Financial assets at fair value-current assets
-99.43%546K
-99.44%746K
-91.72%96.1M
-94.05%134.3M
485.24%1.16B
--2.26B
--198.26M
----
----
----
Special items of current assets
----
----
----
10,555.45%84.83B
2.61%733.52M
32.38%796.09M
295.67%714.88M
1,402.86%601.36M
--180.68M
--40.01M
Total current assets
-90.36%2.25B
-79.16%19.34B
-76.04%23.38B
-15.50%92.82B
-12.55%97.58B
6.42%109.85B
36.50%111.58B
81.11%103.22B
105.75%81.75B
259.49%56.99B
Non-current assets
Property, plant and equipment
-22.95%11.39B
-14.42%12.44B
-31.08%14.78B
-30.74%14.54B
0.73%21.45B
23.04%20.99B
61.87%21.29B
63.67%17.06B
59.73%13.15B
579.04%10.42B
Investment property
----
----
----
----
-32.36%614.67M
-34.48%614.67M
-9.68%908.8M
-11.88%938.1M
--1.01B
--1.06B
Advance payment
-67.25%20.1M
-68.99%59.67M
-77.41%61.37M
-75.16%192.43M
-78.84%271.69M
-39.76%774.56M
-61.58%1.28B
-27.60%1.29B
114.31%3.34B
867.11%1.78B
Financial assets at fair value-non-current assets
-2.92%167M
-37.42%162.29M
-64.65%172.02M
-48.29%259.32M
-90.33%486.63M
-88.74%501.49M
5.58%5.03B
-5.59%4.45B
7.16%4.77B
18.55%4.72B
Other investments
--33.83M
--34.3M
----
----
-99.34%7M
-82.31%258.48M
-25.66%1.06B
20.63%1.46B
29.77%1.43B
--1.21B
Intangible assets
-67.51%575.28M
-82.43%786.84M
-74.16%1.77B
-31.36%4.48B
-42.85%6.85B
-36.31%6.52B
46.03%11.99B
35.12%10.24B
18.00%8.21B
145,719.00%7.58B
Goodwill
----
----
----
----
----
----
-3.70%5.96B
0.82%6.24B
0.00%6.19B
--6.19B
Deferred tax assets
----
-99.13%78K
----
-94.07%8.96M
-69.93%122.61M
-51.02%151.04M
118.77%407.72M
333.01%308.37M
401.87%186.37M
106.59%71.22M
Special items of non-current assets
----
----
----
----
----
----
14.61%72.85M
89.00%139.36M
--63.56M
--73.74M
Total non-current assets
-27.50%14.12B
-30.75%15.51B
-41.48%19.47B
-33.59%22.4B
-37.82%33.27B
-28.01%33.72B
27.58%53.51B
28.64%46.84B
39.35%41.94B
475.35%36.41B
Total assets
-61.80%16.37B
-69.75%34.85B
-67.25%42.85B
-19.75%115.22B
-20.74%130.85B
-4.33%143.57B
33.47%165.09B
60.65%150.06B
77.13%123.69B
321.08%93.41B
Liabilities
Current liabilities
Accounts payable
10.46%46.69B
39.67%43.01B
-49.20%42.27B
-57.07%30.8B
13.92%83.21B
35.45%71.74B
95.62%73.05B
118.12%52.96B
115.11%37.34B
231.23%24.28B
Tax payable
-31.40%59.97M
-94.39%73.76M
7,185.00%87.42M
234.69%1.31B
-99.93%1.2M
-75.55%392.67M
86.15%1.81B
59.07%1.61B
116.25%973.4M
102.32%1.01B
Bank loans and overdrafts
-1.63%13.99B
2.12%13.96B
-50.61%14.22B
-53.48%13.67B
117.04%28.8B
80.44%29.39B
-32.20%13.27B
7.37%16.29B
168.87%19.57B
319.84%15.17B
Derivative financial instrument-current liabilities
----
----
----
----
----
----
--300.38M
----
----
----
Financial lease liabilities-current liabilities
-1.52%331.48M
-2.96%329.22M
36.17%336.6M
6.41%339.26M
-8.35%247.2M
48.74%318.82M
118.43%269.72M
-0.01%214.35M
-22.02%123.48M
2,362.64%214.37M
Special items of current liabilities
----
----
----
--119B
----
----
----
----
----
----
Total current liabilities
1.85%61.1B
-65.91%57.42B
-64.33%59.99B
0.80%168.44B
35.00%168.19B
76.75%167.1B
79.73%124.58B
119.23%94.54B
172.49%69.31B
273.31%43.12B
Net current assets
-60.75%-58.84B
49.64%-38.08B
48.16%-36.61B
-32.07%-75.61B
-443.21%-70.61B
-759.52%-57.25B
-204.55%-13B
-37.42%8.68B
-13.02%12.43B
222.41%13.87B
Total assets less current liabilities
-161.04%-44.73B
57.59%-22.57B
54.11%-17.13B
-126.19%-53.22B
-192.18%-37.34B
-142.37%-23.53B
-25.50%40.51B
10.42%55.52B
22.49%54.38B
372.99%50.28B
Non-current liabilities
Long-term bank loan
-1.37%12.6B
1.70%12.52B
7.66%12.77B
9.24%12.31B
-45.63%11.86B
-79.84%11.27B
-60.30%21.82B
18.43%55.92B
43.86%54.96B
319.74%47.21B
Financial lease liabilities-non-current liabilities
-99.87%277K
-99.31%1.95M
-66.27%219.47M
-59.16%283.82M
2.19%650.64M
17.90%694.91M
288.32%636.67M
164.05%589.42M
25.77%163.96M
392.69%223.22M
Deferred tax liability
----
----
-94.01%56.36M
-94.50%56.36M
-56.42%941.17M
-53.78%1.02B
-13.88%2.16B
-14.49%2.22B
52.10%2.51B
--2.59B
Deferred income-non-current liabilities
-75.36%654.25M
-6.47%2.6B
-5.87%2.66B
-1.42%2.78B
-26.08%2.82B
6.82%2.82B
56.48%3.82B
70.27%2.64B
47.99%2.44B
--1.55B
Total non-current liabilities
-15.61%13.25B
-2.01%15.12B
-3.52%15.71B
-2.39%15.43B
-42.75%16.28B
-74.23%15.81B
-52.67%28.43B
18.96%61.36B
44.29%60.07B
356.72%51.58B
Total liabilities
-1.77%74.35B
-60.55%72.54B
-58.97%75.69B
0.53%183.87B
20.55%184.47B
17.32%182.91B
18.26%153.01B
64.62%155.9B
92.91%129.39B
314.54%94.7B
Total assets less total liabilities
-76.56%-57.98B
45.10%-37.69B
38.75%-32.84B
-74.51%-68.65B
-544.03%-53.62B
-573.78%-39.34B
311.95%12.08B
-350.65%-5.84B
-306.44%-5.7B
-95.57%-1.3B
Total equity and non-current liabilities
-161.04%-44.73B
57.59%-22.57B
54.11%-17.13B
-126.19%-53.22B
-192.18%-37.34B
-142.37%-23.53B
-25.50%40.51B
10.42%55.52B
22.49%54.38B
372.99%50.28B
Equity
Share capital
0.00%28.12B
0.00%28.12B
0.00%28.12B
0.00%28.12B
10.02%28.12B
648.10%28.12B
10,086.83%25.56B
1,398.15%3.76B
0.00%250.94M
0.00%250.94M
Reserve
0.53%45.04B
1,966.15%45.07B
1,440.58%44.8B
-42.97%2.18B
-11.92%2.91B
20.03%3.83B
4,599.56%3.3B
242.46%3.19B
105.66%70.26M
---2.24B
Retained profit
-23.94%-131.1B
-12.07%-110.84B
-25.02%-105.77B
-38.83%-98.91B
-375.73%-84.6B
-448.13%-71.24B
-128.35%-17.78B
-135.70%-13B
-206.34%-7.79B
-443.30%-5.51B
Shareholders' Equity
-76.38%-57.93B
45.13%-37.64B
38.69%-32.84B
-74.59%-68.6B
-583.48%-53.57B
-549.38%-39.29B
248.39%11.08B
19.33%-6.05B
-111.36%-7.47B
-1,032.20%-7.5B
Non-controlling interest
-1,179.37%-49.86M
3.77%-48.2M
109.51%4.62M
-6.39%-50.09M
-104.88%-48.57M
-122.19%-47.08M
-43.74%995.43M
-96.58%212.13M
-71.88%1.77B
--6.2B
Total equity
-76.56%-57.98B
45.10%-37.69B
38.75%-32.84B
-74.51%-68.65B
-544.03%-53.62B
-573.78%-39.34B
311.95%12.08B
-350.65%-5.84B
-306.44%-5.7B
-95.57%-1.3B
Total equity and total liabilities
-61.80%16.37B
-69.75%34.85B
-67.25%42.85B
-19.75%115.22B
-20.74%130.85B
-4.33%143.57B
33.47%165.09B
60.65%150.06B
77.13%123.69B
321.08%93.41B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
--
--
--
--
--
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
--
--
--
--
--
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PricewaterhouseCoopers
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PricewaterhouseCoopers
(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
Assets
Current assets
Inventory -54.12%253.81M-45.47%284.59M-43.72%553.18M160.30%521.89M208.09%982.87M-35.40%200.5M-21.19%319.02M-38.61%310.35M-23.39%404.8M1,360.26%505.53M
Developing and for sale properties -95.70%121.02M-95.55%109.02M-96.07%2.82B-96.94%2.45B-9.04%71.75B8.32%79.95B55.76%78.87B130.66%73.81B208.99%50.64B159.29%32B
Accounts receivable -91.35%1.71B306.05%18.67B11.04%19.73B-75.56%4.6B42.64%17.77B135.93%18.81B137.02%12.46B73.59%7.97B20.30%5.26B805.81%4.59B
Advance deposits and other receivables 69.73%116.68M138.25%129.79M-97.13%68.74M-97.88%54.48M-63.15%2.4B-59.74%2.57B-15.40%6.51B-15.81%6.39B875.20%7.69B640.46%7.59B
Cash and equivalents -59.40%39.34M-41.43%128.82M-93.98%96.89M-91.03%219.94M-83.20%1.61B-76.59%2.45B-7.67%9.58B6.27%10.48B-38.37%10.37B527.88%9.86B
Secured deposit -20.41%15.62M-7.68%17.9M-98.34%19.63M-99.31%19.39M-59.85%1.18B-23.44%2.81B-59.24%2.94B51.89%3.67B789.88%7.2B556.59%2.42B
Financial assets at fair value-current assets -99.43%546K-99.44%746K-91.72%96.1M-94.05%134.3M485.24%1.16B--2.26B--198.26M------------
Special items of current assets ------------10,555.45%84.83B2.61%733.52M32.38%796.09M295.67%714.88M1,402.86%601.36M--180.68M--40.01M
Total current assets -90.36%2.25B-79.16%19.34B-76.04%23.38B-15.50%92.82B-12.55%97.58B6.42%109.85B36.50%111.58B81.11%103.22B105.75%81.75B259.49%56.99B
Non-current assets
Property, plant and equipment -22.95%11.39B-14.42%12.44B-31.08%14.78B-30.74%14.54B0.73%21.45B23.04%20.99B61.87%21.29B63.67%17.06B59.73%13.15B579.04%10.42B
Investment property -----------------32.36%614.67M-34.48%614.67M-9.68%908.8M-11.88%938.1M--1.01B--1.06B
Advance payment -67.25%20.1M-68.99%59.67M-77.41%61.37M-75.16%192.43M-78.84%271.69M-39.76%774.56M-61.58%1.28B-27.60%1.29B114.31%3.34B867.11%1.78B
Financial assets at fair value-non-current assets -2.92%167M-37.42%162.29M-64.65%172.02M-48.29%259.32M-90.33%486.63M-88.74%501.49M5.58%5.03B-5.59%4.45B7.16%4.77B18.55%4.72B
Other investments --33.83M--34.3M---------99.34%7M-82.31%258.48M-25.66%1.06B20.63%1.46B29.77%1.43B--1.21B
Intangible assets -67.51%575.28M-82.43%786.84M-74.16%1.77B-31.36%4.48B-42.85%6.85B-36.31%6.52B46.03%11.99B35.12%10.24B18.00%8.21B145,719.00%7.58B
Goodwill -------------------------3.70%5.96B0.82%6.24B0.00%6.19B--6.19B
Deferred tax assets -----99.13%78K-----94.07%8.96M-69.93%122.61M-51.02%151.04M118.77%407.72M333.01%308.37M401.87%186.37M106.59%71.22M
Special items of non-current assets ------------------------14.61%72.85M89.00%139.36M--63.56M--73.74M
Total non-current assets -27.50%14.12B-30.75%15.51B-41.48%19.47B-33.59%22.4B-37.82%33.27B-28.01%33.72B27.58%53.51B28.64%46.84B39.35%41.94B475.35%36.41B
Total assets -61.80%16.37B-69.75%34.85B-67.25%42.85B-19.75%115.22B-20.74%130.85B-4.33%143.57B33.47%165.09B60.65%150.06B77.13%123.69B321.08%93.41B
Liabilities
Current liabilities
Accounts payable 10.46%46.69B39.67%43.01B-49.20%42.27B-57.07%30.8B13.92%83.21B35.45%71.74B95.62%73.05B118.12%52.96B115.11%37.34B231.23%24.28B
Tax payable -31.40%59.97M-94.39%73.76M7,185.00%87.42M234.69%1.31B-99.93%1.2M-75.55%392.67M86.15%1.81B59.07%1.61B116.25%973.4M102.32%1.01B
Bank loans and overdrafts -1.63%13.99B2.12%13.96B-50.61%14.22B-53.48%13.67B117.04%28.8B80.44%29.39B-32.20%13.27B7.37%16.29B168.87%19.57B319.84%15.17B
Derivative financial instrument-current liabilities --------------------------300.38M------------
Financial lease liabilities-current liabilities -1.52%331.48M-2.96%329.22M36.17%336.6M6.41%339.26M-8.35%247.2M48.74%318.82M118.43%269.72M-0.01%214.35M-22.02%123.48M2,362.64%214.37M
Special items of current liabilities --------------119B------------------------
Total current liabilities 1.85%61.1B-65.91%57.42B-64.33%59.99B0.80%168.44B35.00%168.19B76.75%167.1B79.73%124.58B119.23%94.54B172.49%69.31B273.31%43.12B
Net current assets -60.75%-58.84B49.64%-38.08B48.16%-36.61B-32.07%-75.61B-443.21%-70.61B-759.52%-57.25B-204.55%-13B-37.42%8.68B-13.02%12.43B222.41%13.87B
Total assets less current liabilities -161.04%-44.73B57.59%-22.57B54.11%-17.13B-126.19%-53.22B-192.18%-37.34B-142.37%-23.53B-25.50%40.51B10.42%55.52B22.49%54.38B372.99%50.28B
Non-current liabilities
Long-term bank loan -1.37%12.6B1.70%12.52B7.66%12.77B9.24%12.31B-45.63%11.86B-79.84%11.27B-60.30%21.82B18.43%55.92B43.86%54.96B319.74%47.21B
Financial lease liabilities-non-current liabilities -99.87%277K-99.31%1.95M-66.27%219.47M-59.16%283.82M2.19%650.64M17.90%694.91M288.32%636.67M164.05%589.42M25.77%163.96M392.69%223.22M
Deferred tax liability ---------94.01%56.36M-94.50%56.36M-56.42%941.17M-53.78%1.02B-13.88%2.16B-14.49%2.22B52.10%2.51B--2.59B
Deferred income-non-current liabilities -75.36%654.25M-6.47%2.6B-5.87%2.66B-1.42%2.78B-26.08%2.82B6.82%2.82B56.48%3.82B70.27%2.64B47.99%2.44B--1.55B
Total non-current liabilities -15.61%13.25B-2.01%15.12B-3.52%15.71B-2.39%15.43B-42.75%16.28B-74.23%15.81B-52.67%28.43B18.96%61.36B44.29%60.07B356.72%51.58B
Total liabilities -1.77%74.35B-60.55%72.54B-58.97%75.69B0.53%183.87B20.55%184.47B17.32%182.91B18.26%153.01B64.62%155.9B92.91%129.39B314.54%94.7B
Total assets less total liabilities -76.56%-57.98B45.10%-37.69B38.75%-32.84B-74.51%-68.65B-544.03%-53.62B-573.78%-39.34B311.95%12.08B-350.65%-5.84B-306.44%-5.7B-95.57%-1.3B
Total equity and non-current liabilities -161.04%-44.73B57.59%-22.57B54.11%-17.13B-126.19%-53.22B-192.18%-37.34B-142.37%-23.53B-25.50%40.51B10.42%55.52B22.49%54.38B372.99%50.28B
Equity
Share capital 0.00%28.12B0.00%28.12B0.00%28.12B0.00%28.12B10.02%28.12B648.10%28.12B10,086.83%25.56B1,398.15%3.76B0.00%250.94M0.00%250.94M
Reserve 0.53%45.04B1,966.15%45.07B1,440.58%44.8B-42.97%2.18B-11.92%2.91B20.03%3.83B4,599.56%3.3B242.46%3.19B105.66%70.26M---2.24B
Retained profit -23.94%-131.1B-12.07%-110.84B-25.02%-105.77B-38.83%-98.91B-375.73%-84.6B-448.13%-71.24B-128.35%-17.78B-135.70%-13B-206.34%-7.79B-443.30%-5.51B
Shareholders' Equity -76.38%-57.93B45.13%-37.64B38.69%-32.84B-74.59%-68.6B-583.48%-53.57B-549.38%-39.29B248.39%11.08B19.33%-6.05B-111.36%-7.47B-1,032.20%-7.5B
Non-controlling interest -1,179.37%-49.86M3.77%-48.2M109.51%4.62M-6.39%-50.09M-104.88%-48.57M-122.19%-47.08M-43.74%995.43M-96.58%212.13M-71.88%1.77B--6.2B
Total equity -76.56%-57.98B45.10%-37.69B38.75%-32.84B-74.51%-68.65B-544.03%-53.62B-573.78%-39.34B311.95%12.08B-350.65%-5.84B-306.44%-5.7B-95.57%-1.3B
Total equity and total liabilities -61.80%16.37B-69.75%34.85B-67.25%42.85B-19.75%115.22B-20.74%130.85B-4.33%143.57B33.47%165.09B60.65%150.06B77.13%123.69B321.08%93.41B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --------------Unqualified Opinion--Unqualified Opinion
Auditor --------------PricewaterhouseCoopers--PricewaterhouseCoopers

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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