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00797 7ROAD

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  • 1.190
  • 0.0000.00%
Not Open Dec 13 16:08 CST
3.28BMarket Cap-10.53P/E (TTM)

7ROAD Key Stats

All
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
----
----
0.00%2.02M
0.00%2.02M
--2.02M
--2.02M
----
----
----
----
Accounts receivable
-66.42%78.26M
-54.05%169.25M
-17.27%233.02M
56.75%368.33M
49.61%281.66M
-19.11%234.98M
-25.63%188.27M
26.49%290.5M
291.49%253.15M
181.64%229.67M
Advance deposits and other receivables
91.15%184.17M
-9.17%109.18M
-62.42%96.35M
42.41%120.2M
131.76%256.37M
-48.06%84.41M
42.64%110.62M
-63.27%162.52M
-48.79%77.55M
235.76%442.48M
Withholding and tax receivable
----
----
----
----
----
----
----
-98.11%327K
25.56%13.4M
265.41%17.32M
Cash and equivalents
-57.12%50.21M
-54.09%48.09M
407.18%117.09M
-3.46%104.75M
-93.76%23.09M
-71.24%108.5M
183.54%369.71M
757.30%377.31M
-47.17%130.39M
-84.61%44.01M
Secured deposit
0.00%1K
0.00%1K
0.00%1K
0.00%1K
0.00%1K
0.00%1K
--1K
0.00%1K
----
-99.94%1K
Financial assets at fair value-current assets
-76.78%31.87M
-79.37%19.73M
212.09%137.26M
118.91%95.63M
-18.85%43.98M
7.75%43.68M
-36.31%54.2M
-63.63%40.54M
-28.93%85.11M
-34.13%111.47M
Total current assets
-41.19%344.5M
-49.89%346.26M
-3.52%585.75M
45.89%690.93M
-16.00%607.12M
-45.64%473.59M
29.16%722.8M
3.11%871.19M
-18.60%559.6M
25.18%844.95M
Non-current assets
Property, plant and equipment
-87.85%38.77M
-39.71%214.15M
-19.41%319.01M
23.87%355.19M
76.34%395.86M
7,034.51%286.74M
1,146.55%224.49M
-77.20%4.02M
12.46%18.01M
-5.65%17.63M
Advance payment
----
-62.39%34.93M
31.86%119.93M
-20.85%92.87M
-19.10%90.95M
3,342.01%117.34M
-56.88%112.43M
-96.98%3.41M
-31.53%260.71M
-70.57%113.06M
Associated company interest
-6.02%15.1M
-8.20%14.93M
-35.89%16.07M
-87.81%16.27M
-78.36%25.06M
--133.45M
--115.84M
----
----
--3.22M
Interests in Joint Venture
----
----
----
----
----
----
----
----
--1.44M
----
Secured deposits-non-current assets
0.72%140K
0.72%140K
0.00%139K
0.72%139K
-92.88%139K
-92.91%138K
0.57%1.95M
0.57%1.95M
0.57%1.94M
-11.32%1.94M
Financial assets at fair value-non-current assets
6.73%770.09M
43.90%864.44M
56.62%721.5M
333.82%600.73M
2,133.62%460.66M
-33.44%138.47M
775.01%20.62M
8,726.64%208.04M
-98.10%2.36M
-98.30%2.36M
Intangible assets
-0.27%624.67M
-0.31%624.85M
-9.88%626.37M
-13.24%626.78M
-7.98%695.01M
-24.62%722.44M
-8.26%755.25M
11.94%958.45M
2,776.24%823.27M
2,794.19%856.19M
Deferred tax assets
-20.07%39.23M
-20.29%39.54M
-0.16%49.09M
-1.07%49.6M
-14.85%49.17M
-12.14%50.14M
134.49%57.74M
204.52%57.07M
137.24%24.63M
83.66%18.74M
Total non-current assets
-25.68%1.53B
-1.39%1.93B
14.34%2.06B
27.36%1.96B
39.14%1.8B
23.49%1.54B
6.83%1.3B
13.32%1.24B
87.65%1.21B
66.07%1.1B
Total assets
-29.11%1.88B
-14.05%2.27B
9.84%2.65B
31.73%2.65B
19.40%2.41B
-4.99%2.01B
13.88%2.02B
8.88%2.11B
32.90%1.77B
45.40%1.94B
Liabilities
Current liabilities
Accounts payable
-39.93%80.84M
-54.78%108.18M
17.58%134.57M
17.60%239.24M
-68.16%114.45M
-34.30%203.43M
7.57%359.5M
-6.87%309.61M
198.36%334.21M
685.62%332.46M
Tax payable
-97.76%173K
-98.91%173K
-88.86%7.73M
70.50%15.81M
592.33%69.39M
-68.78%9.28M
-78.52%10.02M
-43.99%29.71M
--46.66M
--53.05M
Bank loans and overdrafts
----
114.20%118.35M
173.33%105.69M
452.50%55.25M
--38.67M
-82.32%10M
----
524.27%56.55M
263.69%22.32M
47.57%9.06M
Financial lease liabilities-current liabilities
-92.45%6.33M
23.28%87.42M
9.30%83.82M
36.74%70.91M
1,843.56%76.69M
931.83%51.86M
-26.04%3.95M
-1.32%5.03M
30.57%5.34M
--5.09M
Total current liabilities
-69.00%114.97M
-23.16%349.48M
-0.27%370.92M
32.21%454.83M
-15.92%371.93M
-27.53%344.01M
-4.55%442.33M
2.84%474.69M
247.11%463.4M
351.57%461.57M
Net current assets
6.84%229.53M
-101.36%-3.22M
-8.66%214.83M
82.20%236.1M
-16.14%235.19M
-67.32%129.58M
191.56%280.47M
3.42%396.5M
-82.63%96.2M
-33.07%383.38M
Total assets less current liabilities
-22.61%1.76B
-12.16%1.92B
11.69%2.28B
31.63%2.19B
29.31%2.04B
1.53%1.66B
20.40%1.58B
10.76%1.64B
9.07%1.31B
20.03%1.48B
Non-current liabilities
Long-term bank loan
----
-25.70%112.66M
21.57%147.51M
--151.63M
--121.33M
----
----
----
-16.00%32.23M
-14.82%35.3M
Financial lease liabilities-non-current liabilities
-94.02%5.27M
-62.10%49.5M
10,594.54%88.12M
374.47%130.61M
-52.97%824K
731.13%27.53M
-66.38%1.75M
-58.05%3.31M
-16.14%5.21M
--7.9M
Deferred tax liability
-1.01%8.41M
1.45%8.35M
7.82%8.5M
-47.20%8.23M
-65.21%7.88M
-51.52%15.59M
-45.03%22.65M
-33.86%32.15M
409.91%41.2M
455.84%48.61M
Special items of non-current liabilities
----
----
----
----
----
----
----
-66.29%92.29M
--90.43M
4,412.86%273.75M
Total non-current liabilities
-94.40%13.68M
-41.30%170.51M
87.74%244.13M
573.71%290.46M
432.89%130.04M
-66.25%43.11M
-85.57%24.4M
-65.05%127.76M
221.06%169.07M
549.91%365.56M
Total liabilities
-79.08%128.65M
-30.23%519.99M
22.53%615.04M
92.52%745.29M
7.55%501.96M
-35.74%387.12M
-26.21%466.73M
-27.16%602.45M
239.74%632.47M
421.97%827.13M
Total assets less total liabilities
-13.99%1.75B
-7.70%1.75B
6.51%2.03B
17.21%1.9B
22.96%1.91B
7.26%1.62B
36.11%1.55B
35.62%1.51B
-0.65%1.14B
-5.29%1.11B
Total equity and non-current liabilities
-22.61%1.76B
-12.16%1.92B
11.69%2.28B
31.63%2.19B
29.31%2.04B
1.53%1.66B
20.40%1.58B
10.76%1.64B
9.07%1.31B
20.03%1.48B
Equity
Share capital
0.00%90K
0.00%90K
0.00%90K
0.00%90K
0.00%90K
0.00%90K
4.65%90K
4.65%90K
-2.27%86K
-2.27%86K
Share premium
0.00%4.08B
0.00%4.08B
0.00%4.08B
0.00%4.08B
0.00%4.08B
0.00%4.08B
7.68%4.08B
7.68%4.08B
-1.64%3.79B
-1.64%3.79B
Other reserves
0.96%-2.93B
-0.06%-2.96B
-0.03%-2.96B
0.03%-2.96B
0.09%-2.96B
-0.38%-2.96B
0.67%-2.96B
0.82%-2.95B
-0.40%-2.98B
-0.27%-2.98B
Retained profit
-34.75%594.55M
-18.82%633.68M
23.86%911.12M
57.63%780.61M
71.13%735.63M
29.26%495.23M
28.62%429.85M
26.94%383.12M
25.90%334.19M
3.53%301.81M
Shareholders' Equity
-14.18%1.74B
-7.82%1.75B
9.40%2.03B
17.72%1.9B
19.92%1.86B
6.67%1.61B
35.67%1.55B
35.59%1.51B
-0.54%1.14B
-5.17%1.12B
Non-controlling interest
590.88%4.32M
939.92%2.48M
-98.78%625K
-96.70%238K
1,447.25%51.12M
544.31%7.22M
357.92%3.3M
-13.80%-1.63M
---1.28M
---1.43M
Total equity
-13.99%1.75B
-7.70%1.75B
6.51%2.03B
17.21%1.9B
22.96%1.91B
7.26%1.62B
36.11%1.55B
35.62%1.51B
-0.65%1.14B
-5.29%1.11B
Total equity and total liabilities
-29.11%1.88B
-14.05%2.27B
9.84%2.65B
31.73%2.65B
19.40%2.41B
-4.99%2.01B
13.88%2.02B
8.88%2.11B
32.90%1.77B
45.40%1.94B
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
--
Unaudited opinion
--
Unqualified Opinion
Auditor
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Dahua Ma Shiyun Certified Public Accountants Co., Ltd.
(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 --------0.00%2.02M0.00%2.02M--2.02M--2.02M----------------
Accounts receivable -66.42%78.26M-54.05%169.25M-17.27%233.02M56.75%368.33M49.61%281.66M-19.11%234.98M-25.63%188.27M26.49%290.5M291.49%253.15M181.64%229.67M
Advance deposits and other receivables 91.15%184.17M-9.17%109.18M-62.42%96.35M42.41%120.2M131.76%256.37M-48.06%84.41M42.64%110.62M-63.27%162.52M-48.79%77.55M235.76%442.48M
Withholding and tax receivable -----------------------------98.11%327K25.56%13.4M265.41%17.32M
Cash and equivalents -57.12%50.21M-54.09%48.09M407.18%117.09M-3.46%104.75M-93.76%23.09M-71.24%108.5M183.54%369.71M757.30%377.31M-47.17%130.39M-84.61%44.01M
Secured deposit 0.00%1K0.00%1K0.00%1K0.00%1K0.00%1K0.00%1K--1K0.00%1K-----99.94%1K
Financial assets at fair value-current assets -76.78%31.87M-79.37%19.73M212.09%137.26M118.91%95.63M-18.85%43.98M7.75%43.68M-36.31%54.2M-63.63%40.54M-28.93%85.11M-34.13%111.47M
Total current assets -41.19%344.5M-49.89%346.26M-3.52%585.75M45.89%690.93M-16.00%607.12M-45.64%473.59M29.16%722.8M3.11%871.19M-18.60%559.6M25.18%844.95M
Non-current assets
Property, plant and equipment -87.85%38.77M-39.71%214.15M-19.41%319.01M23.87%355.19M76.34%395.86M7,034.51%286.74M1,146.55%224.49M-77.20%4.02M12.46%18.01M-5.65%17.63M
Advance payment -----62.39%34.93M31.86%119.93M-20.85%92.87M-19.10%90.95M3,342.01%117.34M-56.88%112.43M-96.98%3.41M-31.53%260.71M-70.57%113.06M
Associated company interest -6.02%15.1M-8.20%14.93M-35.89%16.07M-87.81%16.27M-78.36%25.06M--133.45M--115.84M----------3.22M
Interests in Joint Venture ----------------------------------1.44M----
Secured deposits-non-current assets 0.72%140K0.72%140K0.00%139K0.72%139K-92.88%139K-92.91%138K0.57%1.95M0.57%1.95M0.57%1.94M-11.32%1.94M
Financial assets at fair value-non-current assets 6.73%770.09M43.90%864.44M56.62%721.5M333.82%600.73M2,133.62%460.66M-33.44%138.47M775.01%20.62M8,726.64%208.04M-98.10%2.36M-98.30%2.36M
Intangible assets -0.27%624.67M-0.31%624.85M-9.88%626.37M-13.24%626.78M-7.98%695.01M-24.62%722.44M-8.26%755.25M11.94%958.45M2,776.24%823.27M2,794.19%856.19M
Deferred tax assets -20.07%39.23M-20.29%39.54M-0.16%49.09M-1.07%49.6M-14.85%49.17M-12.14%50.14M134.49%57.74M204.52%57.07M137.24%24.63M83.66%18.74M
Total non-current assets -25.68%1.53B-1.39%1.93B14.34%2.06B27.36%1.96B39.14%1.8B23.49%1.54B6.83%1.3B13.32%1.24B87.65%1.21B66.07%1.1B
Total assets -29.11%1.88B-14.05%2.27B9.84%2.65B31.73%2.65B19.40%2.41B-4.99%2.01B13.88%2.02B8.88%2.11B32.90%1.77B45.40%1.94B
Liabilities
Current liabilities
Accounts payable -39.93%80.84M-54.78%108.18M17.58%134.57M17.60%239.24M-68.16%114.45M-34.30%203.43M7.57%359.5M-6.87%309.61M198.36%334.21M685.62%332.46M
Tax payable -97.76%173K-98.91%173K-88.86%7.73M70.50%15.81M592.33%69.39M-68.78%9.28M-78.52%10.02M-43.99%29.71M--46.66M--53.05M
Bank loans and overdrafts ----114.20%118.35M173.33%105.69M452.50%55.25M--38.67M-82.32%10M----524.27%56.55M263.69%22.32M47.57%9.06M
Financial lease liabilities-current liabilities -92.45%6.33M23.28%87.42M9.30%83.82M36.74%70.91M1,843.56%76.69M931.83%51.86M-26.04%3.95M-1.32%5.03M30.57%5.34M--5.09M
Total current liabilities -69.00%114.97M-23.16%349.48M-0.27%370.92M32.21%454.83M-15.92%371.93M-27.53%344.01M-4.55%442.33M2.84%474.69M247.11%463.4M351.57%461.57M
Net current assets 6.84%229.53M-101.36%-3.22M-8.66%214.83M82.20%236.1M-16.14%235.19M-67.32%129.58M191.56%280.47M3.42%396.5M-82.63%96.2M-33.07%383.38M
Total assets less current liabilities -22.61%1.76B-12.16%1.92B11.69%2.28B31.63%2.19B29.31%2.04B1.53%1.66B20.40%1.58B10.76%1.64B9.07%1.31B20.03%1.48B
Non-current liabilities
Long-term bank loan -----25.70%112.66M21.57%147.51M--151.63M--121.33M-------------16.00%32.23M-14.82%35.3M
Financial lease liabilities-non-current liabilities -94.02%5.27M-62.10%49.5M10,594.54%88.12M374.47%130.61M-52.97%824K731.13%27.53M-66.38%1.75M-58.05%3.31M-16.14%5.21M--7.9M
Deferred tax liability -1.01%8.41M1.45%8.35M7.82%8.5M-47.20%8.23M-65.21%7.88M-51.52%15.59M-45.03%22.65M-33.86%32.15M409.91%41.2M455.84%48.61M
Special items of non-current liabilities -----------------------------66.29%92.29M--90.43M4,412.86%273.75M
Total non-current liabilities -94.40%13.68M-41.30%170.51M87.74%244.13M573.71%290.46M432.89%130.04M-66.25%43.11M-85.57%24.4M-65.05%127.76M221.06%169.07M549.91%365.56M
Total liabilities -79.08%128.65M-30.23%519.99M22.53%615.04M92.52%745.29M7.55%501.96M-35.74%387.12M-26.21%466.73M-27.16%602.45M239.74%632.47M421.97%827.13M
Total assets less total liabilities -13.99%1.75B-7.70%1.75B6.51%2.03B17.21%1.9B22.96%1.91B7.26%1.62B36.11%1.55B35.62%1.51B-0.65%1.14B-5.29%1.11B
Total equity and non-current liabilities -22.61%1.76B-12.16%1.92B11.69%2.28B31.63%2.19B29.31%2.04B1.53%1.66B20.40%1.58B10.76%1.64B9.07%1.31B20.03%1.48B
Equity
Share capital 0.00%90K0.00%90K0.00%90K0.00%90K0.00%90K0.00%90K4.65%90K4.65%90K-2.27%86K-2.27%86K
Share premium 0.00%4.08B0.00%4.08B0.00%4.08B0.00%4.08B0.00%4.08B0.00%4.08B7.68%4.08B7.68%4.08B-1.64%3.79B-1.64%3.79B
Other reserves 0.96%-2.93B-0.06%-2.96B-0.03%-2.96B0.03%-2.96B0.09%-2.96B-0.38%-2.96B0.67%-2.96B0.82%-2.95B-0.40%-2.98B-0.27%-2.98B
Retained profit -34.75%594.55M-18.82%633.68M23.86%911.12M57.63%780.61M71.13%735.63M29.26%495.23M28.62%429.85M26.94%383.12M25.90%334.19M3.53%301.81M
Shareholders' Equity -14.18%1.74B-7.82%1.75B9.40%2.03B17.72%1.9B19.92%1.86B6.67%1.61B35.67%1.55B35.59%1.51B-0.54%1.14B-5.17%1.12B
Non-controlling interest 590.88%4.32M939.92%2.48M-98.78%625K-96.70%238K1,447.25%51.12M544.31%7.22M357.92%3.3M-13.80%-1.63M---1.28M---1.43M
Total equity -13.99%1.75B-7.70%1.75B6.51%2.03B17.21%1.9B22.96%1.91B7.26%1.62B36.11%1.55B35.62%1.51B-0.65%1.14B-5.29%1.11B
Total equity and total liabilities -29.11%1.88B-14.05%2.27B9.84%2.65B31.73%2.65B19.40%2.41B-4.99%2.01B13.88%2.02B8.88%2.11B32.90%1.77B45.40%1.94B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unaudited opinion--Unqualified Opinion
Auditor --Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--Dahua Ma Shiyun 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.

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