(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 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Inventory | -10.52%12.38B | -2.78%12.62B | -15.18%12.85B | 2.82%12.03B | -10.86%13.83B | -19.97%12.98B | -12.01%15.15B | 14.63%11.7B | --15.52B | 67.69%16.22B |
Accounts receivable | 30.47%90.21B | 23.01%84.34B | 27.06%87.07B | 28.36%54.88B | 9.89%69.14B | 12.91%68.56B | 41.73%68.53B | 23.33%42.76B | --62.92B | 19.25%60.72B |
Notes receivable | --698M | --696M | --987M | 55.08%1.21B | ---- | ---- | ---- | --777M | ---- | ---- |
Related party payments receivable | ---- | ---- | ---- | ---- | -6.00%2.18B | 19.90%2.91B | 7.95%2.28B | ---- | --2.32B | 73.36%2.43B |
Advance deposits and other receivables | -59.53%11.5B | -69.26%8.1B | -63.43%10.06B | 6.76%7.52B | 15.02%28.41B | 12.64%26.34B | -3.09%27.52B | -75.12%7.04B | --24.7B | -1.69%23.38B |
Withholding and tax receivable | 104.77%2.49B | -38.10%507M | 125.68%659M | -23.32%809M | 141.95%1.22B | -13.97%819M | -59.27%292M | 20.57%1.06B | --503M | -3.74%952M |
Cash and equivalents | -31.63%121.28B | -35.55%132.07B | -14.26%166.03B | -15.29%141.56B | -13.60%177.38B | -24.76%204.93B | -31.60%193.65B | -31.50%167.11B | --205.29B | -0.65%272.35B |
Short-term deposit | -1.88%47B | 77.05%40.82B | 5.05%33.79B | -33.99%37.21B | -46.95%47.9B | -73.98%23.06B | -58.70%32.16B | -38.19%56.38B | --90.29B | -2.58%88.6B |
Secured deposit | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --1.8B | 5.67%2.07B |
Financial assets at fair value-current assets | 24.09%164.55B | 39.09%176.34B | 64.53%176.31B | 44.06%156.02B | 22.60%132.61B | 11.05%126.78B | -13.11%107.16B | -18.57%108.3B | --108.16B | -18.28%114.16B |
Special items of current assets | 139.77%28B | 192.51%42.07B | 82.33%39.82B | 58.69%55.13B | -37.68%11.68B | -51.75%14.38B | -44.45%21.84B | 2.53%34.74B | --18.74B | 10.31%29.81B |
Total current assets | -0.23%511.04B | 4.84%534.18B | 11.90%557.97B | 9.14%498.1B | -7.38%512.21B | -18.81%509.5B | -21.97%498.65B | -23.35%456.37B | --553.02B | -1.17%627.56B |
Non-current assets | ||||||||||
Fixed assets | --673.8B | --680.17B | --690.21B | -0.34%714.66B | ---- | ---- | ---- | --717.12B | ---- | ---- |
Property, plant and equipment | ---- | ---- | ---- | ---- | 0.19%728.75B | 1.06%705.97B | 1.58%714.37B | ---- | --727.4B | 2.18%698.55B |
Construction in progress | 18.54%97.52B | -7.23%94.86B | -4.63%86.69B | 1.93%74.5B | -4.89%82.26B | -3.34%102.26B | 0.23%90.9B | 1.87%73.09B | --86.49B | 9.38%105.79B |
Land use right | -2.64%14.55B | -2.90%14.65B | -2.35%14.78B | -2.41%14.88B | -3.18%14.95B | -2.85%15.09B | -3.25%15.13B | -3.15%15.24B | --15.44B | -2.66%15.53B |
Development expenditure | --2.33B | --2.32B | --2.51B | 70.84%2.28B | ---- | ---- | ---- | --1.33B | ---- | ---- |
Fixed time deposit-non-current assets | 70.22%69.06B | 41.22%75.5B | 22.98%55.44B | 20.70%55.39B | --40.57B | --53.46B | --45.08B | 169.04%45.89B | ---- | ---- |
Secured deposits-non-current assets | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --5.51B | -8.15%6.48B |
Financial assets at fair value-non-current assets | 7.40%196.27B | -5.28%176.71B | -15.44%174.64B | -0.81%185.62B | 25.51%182.75B | 81.21%186.57B | 160.74%206.53B | 138.08%187.13B | --145.6B | 1,908.88%102.96B |
Other investments | 8.00%193.73B | 3.83%185.01B | 3.20%184.72B | 3.45%181.72B | 2.71%179.37B | 2.35%178.19B | 3.36%178.99B | 3.59%175.65B | --174.65B | 4.08%174.1B |
Intangible assets | 327.81%32.24B | 347.60%31.97B | 305.56%31.16B | 4.65%32.72B | 1.44%7.54B | 1.15%7.14B | -0.17%7.68B | 282.63%31.27B | --7.43B | -22.81%7.06B |
Goodwill | 0.00%35.3B | 0.00%35.3B | 0.00%35.3B | 0.00%35.3B | -0.12%35.3B | -0.12%35.3B | -0.12%35.3B | -0.12%35.3B | --35.34B | 0.00%35.34B |
Deferred tax assets | 5.78%50.19B | 5.54%47.89B | 8.34%48.67B | 8.48%47.34B | 4.78%47.45B | -0.76%45.38B | 3.67%44.92B | 0.98%43.64B | --45.28B | 0.94%45.73B |
Other illiquid assets | 11.66%45.67B | 17.69%44.44B | 40.12%48.22B | 33.86%46.26B | -7.42%40.9B | 9.26%37.76B | 17.00%34.42B | 28.44%34.56B | --44.18B | -11.73%34.56B |
Total non-current assets | 2.40%1.51T | 0.36%1.49T | -1.42%1.47T | 1.04%1.49T | 9.81%1.47T | 15.53%1.48T | 20.33%1.49T | 18.72%1.48T | --1.34T | 10.07%1.28T |
Total assets | 1.72%2.02T | 1.51%2.02T | 1.91%2.03T | 2.95%1.99T | 4.79%1.98T | 4.25%1.99T | 5.96%1.99T | 5.12%1.94T | 6.93%1.89T | 6.11%1.91T |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Accounts payable | 78.32%319.61B | 81.43%309.05B | 74.01%302.81B | 9.64%297.46B | 2.99%179.23B | 4.02%170.34B | 4.16%174.02B | 77.66%271.31B | --174.04B | 2.24%163.75B |
Notes payable | 24.09%19.17B | 18.26%14.67B | 24.92%19.68B | 79.69%26.52B | 9.51%15.45B | -7.33%12.4B | 23.81%15.75B | 15.78%14.76B | --14.11B | 59.59%13.39B |
Tax payable | -20.50%14.9B | -0.56%14.98B | 27.74%15.12B | 57.39%15.99B | 40.28%18.74B | 20.51%15.07B | -8.60%11.83B | -25.19%10.16B | --13.36B | -14.52%12.5B |
Amounts payable to associated parties-current liabilities | ---- | ---- | ---- | ---- | 52.76%12.16B | -66.31%12B | -11.78%7.79B | ---- | --7.96B | 4.02%35.6B |
Other payables and accrued expenses | -75.26%63.07B | -76.01%61.95B | -81.02%43.72B | -17.84%38.2B | -1.39%254.91B | -0.32%258.18B | 3.76%230.34B | -83.06%46.5B | --258.5B | 1.79%259.02B |
Advance payment | --74.91B | --74.75B | --76.93B | -6.41%79.04B | ---- | ---- | ---- | --84.45B | ---- | ---- |
Financial lease liabilities-current liabilities | -6.68%30.81B | -5.22%33.45B | 3.73%32.93B | 13.76%35.18B | 49.24%33.01B | 41.23%35.29B | 11.61%31.75B | 18.65%30.92B | --22.12B | -2.47%24.99B |
Total current liabilities | -0.35%570.12B | -0.66%554.26B | 1.02%566.13B | 4.73%558.57B | 1.63%572.11B | -1.88%557.91B | 3.08%560.4B | -8.38%533.34B | --562.96B | 0.54%568.57B |
Net current assets | 1.35%-59.09B | 58.54%-20.07B | 86.80%-8.15B | 21.44%-60.46B | -502.73%-59.89B | -182.07%-48.41B | -164.77%-61.75B | -682.06%-76.97B | ---9.94B | -15.09%58.99B |
Total assets less current liabilities | 2.56%1.45T | 2.35%1.47T | 2.26%1.46T | 2.27%1.43T | 6.13%1.41T | 6.85%1.43T | 7.13%1.43T | 11.36%1.4T | -24.85%1.33T | 8.65%1.34T |
Non-current liabilities | ||||||||||
Financial lease liabilities-non-current liabilities | -15.56%61.82B | -19.23%62.22B | -21.25%66.01B | -17.11%67.76B | 98.51%73.21B | 117.06%77.04B | 156.58%83.83B | 164.35%81.74B | --36.88B | -5.43%35.49B |
Deferred tax liability | 32.40%3.84B | 28.77%3.74B | 35.68%4.04B | 19.68%3.08B | -8.11%2.9B | 4.12%2.91B | 13.57%2.98B | 8.53%2.57B | --3.16B | 54.80%2.79B |
Deferred income-non-current liabilities | 5.48%9.72B | 4.49%9.25B | 6.03%9.34B | 5.35%9.28B | 4.56%9.21B | 2.60%8.85B | 3.95%8.81B | 3.81%8.81B | --8.81B | 11.03%8.62B |
Other non-current liabilities | -76.91%1.81B | -76.81%1.86B | -76.32%1.8B | -7.21%1.58B | 6.75%7.82B | 7.45%8.01B | 5.25%7.62B | -76.02%1.71B | --7.32B | 23.94%7.45B |
Special items of non-current liabilities | --6.45B | --6.42B | --6.45B | 7.68%6.41B | ---- | ---- | ---- | --5.95B | ---- | ---- |
Total non-current liabilities | -10.21%83.63B | -13.76%83.48B | -15.10%87.65B | -12.57%88.11B | 65.82%93.14B | 78.07%96.8B | 102.40%103.24B | 106.14%100.78B | --56.17B | 2.35%54.36B |
Total liabilities | -1.73%653.76B | -2.59%637.74B | -1.49%653.77B | 1.98%646.67B | 7.45%665.25B | 5.10%654.71B | 11.60%663.64B | 0.49%634.12B | -0.77%619.13B | 0.70%622.93B |
Total assets less total liabilities | 3.46%1.36T | 3.51%1.38T | 3.60%1.38T | 3.42%1.35T | 3.50%1.32T | 3.84%1.34T | 3.35%1.33T | 7.53%1.3T | 11.12%1.27T | 8.94%1.29T |
Total equity and non-current liabilities | 2.56%1.45T | 2.35%1.47T | 2.26%1.46T | 2.27%1.43T | 6.13%1.41T | 6.85%1.43T | 7.13%1.43T | 11.36%1.4T | --1.33T | 8.65%1.34T |
Equity | ||||||||||
Share capital | 0.99%459.33B | 0.83%457.9B | 0.40%455.59B | 0.33%455B | 0.29%454.83B | 0.13%454.11B | 0.06%453.76B | 12.78%453.5B | --453.5B | 12.78%453.5B |
Reserve | 4.76%901.21B | 4.89%921.64B | 5.27%917.25B | 5.08%886.73B | 5.29%860.24B | 5.87%878.66B | 5.16%871.37B | 4.93%843.84B | --817.06B | 6.97%829.96B |
Shareholders' Equity | 3.46%1.36T | 3.51%1.38T | 3.60%1.37T | 3.42%1.34T | 3.50%1.32T | 3.84%1.33T | 3.35%1.33T | 7.54%1.3T | 11.15%1.27T | 8.96%1.28T |
Non-controlling interest | 4.64%4.35B | 5.05%4.33B | 4.79%4.29B | 4.37%4.25B | 2.44%4.16B | 3.39%4.12B | 2.94%4.09B | 3.37%4.08B | --4.06B | 3.13%3.98B |
Total equity | 3.46%1.36T | 3.51%1.38T | 3.60%1.38T | 3.42%1.35T | 3.50%1.32T | 3.84%1.34T | 3.35%1.33T | 7.53%1.3T | 11.12%1.27T | 8.94%1.29T |
Total equity and total liabilities | 1.72%2.02T | 1.51%2.02T | 1.91%2.03T | 2.95%1.99T | 4.79%1.98T | 4.25%1.99T | 5.96%1.99T | 5.12%1.94T | 6.93%1.89T | 6.11%1.91T |
Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
Accounting Standards | IAS | IAS and HKAS | IAS | IAS | IAS | IAS and HKAS | IAS | IAS | IAS | IAS and HKAS |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | Unqualified Opinion | -- | -- |
Auditor | -- | -- | -- | KPMG Huazhen (Special General Partnership), KPMG | -- | -- | -- | KPMG Huazhen (Special General Partnership), KPMG | -- | -- |
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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