MY Stock MarketDetailed Quotes

0097 VITROX

Watchlist
  • 4.160
  • -0.090-2.12%
15min DelayMarket Closed Jul 19 16:52 CST
7.87BMarket Cap69.33P/E (TTM)

VITROX Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-19.12%336.18M
5.02%388.99M
5.02%388.99M
31.53%426.42M
40.72%420.91M
48.37%415.64M
44.72%370.4M
44.72%370.4M
27.59%324.21M
21.94%299.11M
-Cash and cash equivalents
-19.12%336.18M
5.02%388.99M
5.02%388.99M
31.53%426.42M
40.72%420.91M
48.37%415.64M
44.72%370.4M
44.72%370.4M
27.59%324.21M
21.94%299.11M
-Including:Cash
----
-59.04%79.54M
-59.04%79.54M
----
----
----
147.98%194.19M
147.98%194.19M
----
----
-Including:Cash equivalents
----
75.61%309.46M
75.61%309.46M
----
----
----
-0.80%176.21M
-0.80%176.21M
----
----
Receivables
8.03%211.8M
-24.44%191.13M
-24.44%191.13M
-32.60%191.3M
-30.11%210.64M
-29.80%196.06M
9.20%252.95M
9.20%252.95M
29.32%283.83M
25.67%301.38M
-Accounts receivable
8.03%211.8M
-25.49%188.28M
-25.49%188.28M
-32.60%191.3M
-30.11%210.64M
--196.06M
9.25%252.69M
9.25%252.69M
29.50%283.83M
25.83%301.38M
-Gross accounts receivable
----
-25.13%195.56M
-25.13%195.56M
----
----
----
11.91%261.21M
11.91%261.21M
----
----
-Bad debt provision
----
14.44%-7.29M
14.44%-7.29M
----
----
----
-302.93%-8.52M
-302.93%-8.52M
----
----
-Other receivables
----
971.80%2.85M
971.80%2.85M
----
----
----
-20.83%266K
-20.83%266K
----
----
Inventory
2.36%212.24M
-2.04%198.58M
-2.04%198.58M
-10.96%193.71M
-7.96%203.84M
-0.93%207.35M
4.46%202.71M
4.46%202.71M
12.40%217.54M
22.61%221.47M
Prepaid assets
122.45%28.66M
67.69%22.1M
67.69%22.1M
-47.46%10.52M
-37.26%12.08M
6.61%12.89M
39.49%13.18M
39.49%13.18M
2.77%20.03M
16.46%19.25M
Tax assets-Current
-11.06%1.62M
--0
--0
-66.54%637K
-5.08%1.72M
-0.60%1.83M
28.06%1.79M
28.06%1.79M
-27.24%1.9M
-19.01%1.81M
Hedging assets-current
--0
186.88%809K
186.88%809K
--0
--0
--0
--282K
--282K
----
----
Total current assets
-5.19%790.51M
-4.72%801.6M
-4.72%801.6M
-2.94%822.59M
0.73%849.19M
6.53%833.76M
21.49%841.31M
21.49%841.31M
22.97%847.52M
23.16%843.03M
Non current assets
Net PPE
17.53%293.04M
28.47%290.23M
28.47%290.23M
28.79%279.29M
29.54%261.4M
27.63%249.34M
18.16%225.91M
18.16%225.91M
44.72%216.85M
51.87%201.79M
-Gross PP&E
17.53%293.04M
27.10%342.91M
27.10%342.91M
28.79%279.29M
29.54%261.4M
27.63%249.34M
16.98%269.8M
16.98%269.8M
44.72%216.85M
51.87%201.79M
-Accumulated depreciation
----
-20.04%-52.68M
-20.04%-52.68M
----
----
----
-11.28%-43.89M
-11.28%-43.89M
----
----
Investment properties
4.48%46.6M
4.48%46.6M
4.48%46.6M
9.85%44.6M
9.85%44.6M
9.85%44.6M
9.85%44.6M
9.85%44.6M
0.00%40.6M
0.00%40.6M
Prepaid assets-non current
--13.08M
--3.72M
--3.72M
----
----
----
--0
--0
----
----
Total investment
-17.71%17.36M
-31.17%17.58M
-31.17%17.58M
-3.30%20.12M
-2.11%20.77M
-1.72%21.09M
17.83%25.54M
17.83%25.54M
-3.47%20.81M
-3.42%21.21M
-Long-term equity investment
-17.71%17.36M
-31.17%17.58M
-31.17%17.58M
-3.30%20.12M
-2.11%20.77M
-1.72%21.09M
17.83%25.54M
17.83%25.54M
-3.47%20.81M
-3.42%21.21M
Goodwill and other intangible assets
6,126.37%5.67M
6,126.37%5.67M
6,126.37%5.67M
0.00%91K
0.00%91K
0.00%91K
0.00%91K
0.00%91K
0.00%91K
0.00%91K
-Other intangible assets
6,126.37%5.67M
6,126.37%5.67M
6,126.37%5.67M
0.00%91K
0.00%91K
0.00%91K
0.00%91K
0.00%91K
0.00%91K
0.00%91K
Deferred tax assets-non current
46.15%1.03M
46.15%1.03M
46.15%1.03M
586.14%693K
595.05%702K
595.05%702K
-31.04%702K
-31.04%702K
1,162.50%101K
1,162.50%101K
Total non current assets
19.30%376.76M
22.90%364.82M
22.90%364.82M
23.83%344.8M
24.17%327.56M
22.60%315.82M
16.60%296.84M
16.60%296.84M
31.29%278.45M
34.91%263.79M
Total assets
1.54%1.17B
2.48%1.17B
2.48%1.17B
3.68%1.17B
6.32%1.18B
10.51%1.15B
20.18%1.14B
20.18%1.14B
24.92%1.13B
25.77%1.11B
Liabilities
Current liabilities
Financial liabilities
4.61%14.66M
4.92%13.7M
4.92%13.7M
-21.26%15.74M
-3.03%16.5M
-2.55%14.01M
72.86%13.06M
72.86%13.06M
156.90%19.99M
101.98%17.01M
-Financial or other derivative investment liabilities
-38.49%593K
----
----
-57.15%1.78M
29.11%2.65M
340.18%964K
----
----
1,542.69%4.16M
113.96%2.05M
-Current debt and capital lease obligation
7.79%14.07M
4.92%13.7M
4.92%13.7M
-11.84%13.96M
-7.44%13.84M
-7.85%13.05M
73.96%13.06M
73.96%13.06M
110.33%15.84M
100.44%14.96M
-Including:Current debt
6.88%13.84M
4.14%13.47M
4.14%13.47M
-12.41%13.76M
-7.28%13.74M
-7.93%12.94M
74.79%12.94M
74.79%12.94M
111.60%15.71M
101.21%14.82M
-Including:Current capital Lease obligation
120.00%231K
85.60%232K
85.60%232K
58.14%204K
-25.00%102K
2.94%105K
16.82%125K
16.82%125K
21.70%129K
41.67%136K
Payables
-23.93%109.67M
-22.73%129.55M
-22.73%129.55M
-30.21%131.19M
-23.13%174.19M
-19.78%144.18M
-8.28%167.65M
-8.28%167.65M
9.42%187.97M
20.71%226.61M
-accounts payable
-24.24%107.36M
1.43%45.81M
1.43%45.81M
-31.11%128.36M
-32.22%131.71M
-20.85%141.7M
-32.73%45.16M
-32.73%45.16M
8.67%186.32M
15.15%194.33M
-Total tax payable
-6.42%2.32M
2.62%2.55M
2.62%2.55M
71.15%2.82M
297.06%3.24M
246.64%2.48M
-16.84%2.48M
-16.84%2.48M
396.99%1.65M
157.73%817K
-Dividends payable
--0
0.08%11.82M
0.08%11.82M
--0
24.71%39.23M
--0
0.01%11.81M
0.01%11.81M
--0
68.66%31.46M
-Other payable
----
-35.88%69.38M
-35.88%69.38M
----
----
----
7.28%108.2M
7.28%108.2M
----
----
Accrued and deferred income
-33.18%14.71M
-44.59%11.08M
-44.59%11.08M
2.43%18.32M
8.12%16.24M
20.30%22.01M
37.68%19.99M
37.68%19.99M
38.97%17.89M
-7.35%15.02M
Current liabilities
-22.84%139.04M
-23.11%154.33M
-23.11%154.33M
-26.83%165.25M
-20.00%206.92M
-15.16%180.2M
-2.03%200.7M
-2.03%200.7M
17.36%225.85M
21.79%258.64M
Non current liabilities
Non current financial liabilities
-16.60%47.19M
-17.80%49.17M
-17.80%49.17M
-13.18%53.6M
-8.99%56.67M
-9.96%56.58M
116.60%59.81M
116.60%59.81M
109.02%61.74M
100.21%62.27M
-Long term debt and capital lease obligation
-16.60%47.19M
-17.80%49.17M
-17.80%49.17M
-13.18%53.6M
-8.99%56.67M
-9.96%56.58M
116.60%59.81M
116.60%59.81M
109.02%61.74M
100.21%62.27M
-Including:Long term debt
-16.68%47.02M
-17.94%48.94M
-17.94%48.94M
-13.37%53.34M
-8.96%56.55M
-10.10%56.44M
116.69%59.64M
116.69%59.64M
109.10%61.57M
100.14%62.11M
-Including:Long term capital lease obligation
16.22%172K
31.03%228K
31.03%228K
58.08%264K
-23.75%122K
124.24%148K
89.13%174K
89.13%174K
81.52%167K
135.29%160K
Non current deferred liabilities
41.57%4.95M
41.57%4.95M
41.57%4.95M
68.15%4.46M
31.85%3.5M
31.85%3.5M
31.85%3.5M
31.85%3.5M
11.14%2.65M
11.14%2.65M
Non current accrued and deferred income
-2.37%536K
-3.92%539K
-3.92%539K
-5.24%543K
-5.21%546K
-5.67%549K
-4.27%561K
-4.27%561K
-2.72%573K
-2.70%576K
Total non current liabilities
-13.11%52.68M
-14.43%54.66M
-14.43%54.66M
-9.79%58.6M
-7.31%60.72M
-8.24%60.63M
107.02%63.87M
107.02%63.87M
99.81%64.96M
92.19%65.5M
Total liabilities
-20.39%191.72M
-21.01%208.99M
-21.01%208.99M
-23.02%223.86M
-17.43%267.64M
-13.52%240.83M
12.25%264.57M
12.25%264.57M
29.28%290.81M
31.53%324.14M
Shareholders'equity
Share capital
7.17%60.1M
7.19%59.97M
7.19%59.97M
7.10%59.9M
7.00%59.81M
1.02%56.08M
0.89%55.95M
0.89%55.95M
1.24%55.93M
1.45%55.9M
-common stock
7.17%60.1M
7.19%59.97M
7.19%59.97M
7.10%59.9M
7.00%59.81M
1.02%56.08M
0.89%55.95M
0.89%55.95M
1.24%55.93M
1.45%55.9M
Retained earnings
7.69%893.06M
9.70%873.58M
9.70%873.58M
13.36%861M
16.80%827.74M
20.40%829.32M
24.66%796.32M
24.66%796.32M
25.65%759.53M
26.05%708.69M
Fixed asset revaluation reserve
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
Other reserves
30.39%1.62M
37.41%1.33M
37.41%1.33M
-20.72%1.22M
-20.80%1.35M
-31.35%1.24M
-40.76%965K
-40.76%965K
7.72%1.54M
29.43%1.7M
Other equity interest
-6.13%8.3M
42.26%9.87M
42.26%9.87M
72.89%8.48M
146.80%7.09M
369.78%8.85M
337.37%6.94M
337.37%6.94M
300.82%4.91M
241.74%2.87M
Total stockholders'equity
7.43%977.24M
9.67%958.91M
9.67%958.91M
13.00%944.75M
16.19%910.16M
19.35%909.65M
22.87%874.34M
22.87%874.34M
23.58%836.06M
23.62%783.33M
Noncontrolling interests
-88.49%-1.69M
-94.45%-1.47M
-94.45%-1.47M
-34.84%-1.22M
-62.89%-1.05M
-115.66%-895K
-190.04%-757K
-190.04%-757K
-552.52%-907K
-807.04%-644K
Total equity
7.35%975.56M
9.60%957.43M
9.60%957.43M
12.98%943.53M
16.15%909.11M
19.30%908.75M
22.81%873.58M
22.81%873.58M
23.48%835.15M
23.53%782.68M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -19.12%336.18M5.02%388.99M5.02%388.99M31.53%426.42M40.72%420.91M48.37%415.64M44.72%370.4M44.72%370.4M27.59%324.21M21.94%299.11M
-Cash and cash equivalents -19.12%336.18M5.02%388.99M5.02%388.99M31.53%426.42M40.72%420.91M48.37%415.64M44.72%370.4M44.72%370.4M27.59%324.21M21.94%299.11M
-Including:Cash -----59.04%79.54M-59.04%79.54M------------147.98%194.19M147.98%194.19M--------
-Including:Cash equivalents ----75.61%309.46M75.61%309.46M-------------0.80%176.21M-0.80%176.21M--------
Receivables 8.03%211.8M-24.44%191.13M-24.44%191.13M-32.60%191.3M-30.11%210.64M-29.80%196.06M9.20%252.95M9.20%252.95M29.32%283.83M25.67%301.38M
-Accounts receivable 8.03%211.8M-25.49%188.28M-25.49%188.28M-32.60%191.3M-30.11%210.64M--196.06M9.25%252.69M9.25%252.69M29.50%283.83M25.83%301.38M
-Gross accounts receivable -----25.13%195.56M-25.13%195.56M------------11.91%261.21M11.91%261.21M--------
-Bad debt provision ----14.44%-7.29M14.44%-7.29M-------------302.93%-8.52M-302.93%-8.52M--------
-Other receivables ----971.80%2.85M971.80%2.85M-------------20.83%266K-20.83%266K--------
Inventory 2.36%212.24M-2.04%198.58M-2.04%198.58M-10.96%193.71M-7.96%203.84M-0.93%207.35M4.46%202.71M4.46%202.71M12.40%217.54M22.61%221.47M
Prepaid assets 122.45%28.66M67.69%22.1M67.69%22.1M-47.46%10.52M-37.26%12.08M6.61%12.89M39.49%13.18M39.49%13.18M2.77%20.03M16.46%19.25M
Tax assets-Current -11.06%1.62M--0--0-66.54%637K-5.08%1.72M-0.60%1.83M28.06%1.79M28.06%1.79M-27.24%1.9M-19.01%1.81M
Hedging assets-current --0186.88%809K186.88%809K--0--0--0--282K--282K--------
Total current assets -5.19%790.51M-4.72%801.6M-4.72%801.6M-2.94%822.59M0.73%849.19M6.53%833.76M21.49%841.31M21.49%841.31M22.97%847.52M23.16%843.03M
Non current assets
Net PPE 17.53%293.04M28.47%290.23M28.47%290.23M28.79%279.29M29.54%261.4M27.63%249.34M18.16%225.91M18.16%225.91M44.72%216.85M51.87%201.79M
-Gross PP&E 17.53%293.04M27.10%342.91M27.10%342.91M28.79%279.29M29.54%261.4M27.63%249.34M16.98%269.8M16.98%269.8M44.72%216.85M51.87%201.79M
-Accumulated depreciation -----20.04%-52.68M-20.04%-52.68M-------------11.28%-43.89M-11.28%-43.89M--------
Investment properties 4.48%46.6M4.48%46.6M4.48%46.6M9.85%44.6M9.85%44.6M9.85%44.6M9.85%44.6M9.85%44.6M0.00%40.6M0.00%40.6M
Prepaid assets-non current --13.08M--3.72M--3.72M--------------0--0--------
Total investment -17.71%17.36M-31.17%17.58M-31.17%17.58M-3.30%20.12M-2.11%20.77M-1.72%21.09M17.83%25.54M17.83%25.54M-3.47%20.81M-3.42%21.21M
-Long-term equity investment -17.71%17.36M-31.17%17.58M-31.17%17.58M-3.30%20.12M-2.11%20.77M-1.72%21.09M17.83%25.54M17.83%25.54M-3.47%20.81M-3.42%21.21M
Goodwill and other intangible assets 6,126.37%5.67M6,126.37%5.67M6,126.37%5.67M0.00%91K0.00%91K0.00%91K0.00%91K0.00%91K0.00%91K0.00%91K
-Other intangible assets 6,126.37%5.67M6,126.37%5.67M6,126.37%5.67M0.00%91K0.00%91K0.00%91K0.00%91K0.00%91K0.00%91K0.00%91K
Deferred tax assets-non current 46.15%1.03M46.15%1.03M46.15%1.03M586.14%693K595.05%702K595.05%702K-31.04%702K-31.04%702K1,162.50%101K1,162.50%101K
Total non current assets 19.30%376.76M22.90%364.82M22.90%364.82M23.83%344.8M24.17%327.56M22.60%315.82M16.60%296.84M16.60%296.84M31.29%278.45M34.91%263.79M
Total assets 1.54%1.17B2.48%1.17B2.48%1.17B3.68%1.17B6.32%1.18B10.51%1.15B20.18%1.14B20.18%1.14B24.92%1.13B25.77%1.11B
Liabilities
Current liabilities
Financial liabilities 4.61%14.66M4.92%13.7M4.92%13.7M-21.26%15.74M-3.03%16.5M-2.55%14.01M72.86%13.06M72.86%13.06M156.90%19.99M101.98%17.01M
-Financial or other derivative investment liabilities -38.49%593K---------57.15%1.78M29.11%2.65M340.18%964K--------1,542.69%4.16M113.96%2.05M
-Current debt and capital lease obligation 7.79%14.07M4.92%13.7M4.92%13.7M-11.84%13.96M-7.44%13.84M-7.85%13.05M73.96%13.06M73.96%13.06M110.33%15.84M100.44%14.96M
-Including:Current debt 6.88%13.84M4.14%13.47M4.14%13.47M-12.41%13.76M-7.28%13.74M-7.93%12.94M74.79%12.94M74.79%12.94M111.60%15.71M101.21%14.82M
-Including:Current capital Lease obligation 120.00%231K85.60%232K85.60%232K58.14%204K-25.00%102K2.94%105K16.82%125K16.82%125K21.70%129K41.67%136K
Payables -23.93%109.67M-22.73%129.55M-22.73%129.55M-30.21%131.19M-23.13%174.19M-19.78%144.18M-8.28%167.65M-8.28%167.65M9.42%187.97M20.71%226.61M
-accounts payable -24.24%107.36M1.43%45.81M1.43%45.81M-31.11%128.36M-32.22%131.71M-20.85%141.7M-32.73%45.16M-32.73%45.16M8.67%186.32M15.15%194.33M
-Total tax payable -6.42%2.32M2.62%2.55M2.62%2.55M71.15%2.82M297.06%3.24M246.64%2.48M-16.84%2.48M-16.84%2.48M396.99%1.65M157.73%817K
-Dividends payable --00.08%11.82M0.08%11.82M--024.71%39.23M--00.01%11.81M0.01%11.81M--068.66%31.46M
-Other payable -----35.88%69.38M-35.88%69.38M------------7.28%108.2M7.28%108.2M--------
Accrued and deferred income -33.18%14.71M-44.59%11.08M-44.59%11.08M2.43%18.32M8.12%16.24M20.30%22.01M37.68%19.99M37.68%19.99M38.97%17.89M-7.35%15.02M
Current liabilities -22.84%139.04M-23.11%154.33M-23.11%154.33M-26.83%165.25M-20.00%206.92M-15.16%180.2M-2.03%200.7M-2.03%200.7M17.36%225.85M21.79%258.64M
Non current liabilities
Non current financial liabilities -16.60%47.19M-17.80%49.17M-17.80%49.17M-13.18%53.6M-8.99%56.67M-9.96%56.58M116.60%59.81M116.60%59.81M109.02%61.74M100.21%62.27M
-Long term debt and capital lease obligation -16.60%47.19M-17.80%49.17M-17.80%49.17M-13.18%53.6M-8.99%56.67M-9.96%56.58M116.60%59.81M116.60%59.81M109.02%61.74M100.21%62.27M
-Including:Long term debt -16.68%47.02M-17.94%48.94M-17.94%48.94M-13.37%53.34M-8.96%56.55M-10.10%56.44M116.69%59.64M116.69%59.64M109.10%61.57M100.14%62.11M
-Including:Long term capital lease obligation 16.22%172K31.03%228K31.03%228K58.08%264K-23.75%122K124.24%148K89.13%174K89.13%174K81.52%167K135.29%160K
Non current deferred liabilities 41.57%4.95M41.57%4.95M41.57%4.95M68.15%4.46M31.85%3.5M31.85%3.5M31.85%3.5M31.85%3.5M11.14%2.65M11.14%2.65M
Non current accrued and deferred income -2.37%536K-3.92%539K-3.92%539K-5.24%543K-5.21%546K-5.67%549K-4.27%561K-4.27%561K-2.72%573K-2.70%576K
Total non current liabilities -13.11%52.68M-14.43%54.66M-14.43%54.66M-9.79%58.6M-7.31%60.72M-8.24%60.63M107.02%63.87M107.02%63.87M99.81%64.96M92.19%65.5M
Total liabilities -20.39%191.72M-21.01%208.99M-21.01%208.99M-23.02%223.86M-17.43%267.64M-13.52%240.83M12.25%264.57M12.25%264.57M29.28%290.81M31.53%324.14M
Shareholders'equity
Share capital 7.17%60.1M7.19%59.97M7.19%59.97M7.10%59.9M7.00%59.81M1.02%56.08M0.89%55.95M0.89%55.95M1.24%55.93M1.45%55.9M
-common stock 7.17%60.1M7.19%59.97M7.19%59.97M7.10%59.9M7.00%59.81M1.02%56.08M0.89%55.95M0.89%55.95M1.24%55.93M1.45%55.9M
Retained earnings 7.69%893.06M9.70%873.58M9.70%873.58M13.36%861M16.80%827.74M20.40%829.32M24.66%796.32M24.66%796.32M25.65%759.53M26.05%708.69M
Fixed asset revaluation reserve 0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M
Other reserves 30.39%1.62M37.41%1.33M37.41%1.33M-20.72%1.22M-20.80%1.35M-31.35%1.24M-40.76%965K-40.76%965K7.72%1.54M29.43%1.7M
Other equity interest -6.13%8.3M42.26%9.87M42.26%9.87M72.89%8.48M146.80%7.09M369.78%8.85M337.37%6.94M337.37%6.94M300.82%4.91M241.74%2.87M
Total stockholders'equity 7.43%977.24M9.67%958.91M9.67%958.91M13.00%944.75M16.19%910.16M19.35%909.65M22.87%874.34M22.87%874.34M23.58%836.06M23.62%783.33M
Noncontrolling interests -88.49%-1.69M-94.45%-1.47M-94.45%-1.47M-34.84%-1.22M-62.89%-1.05M-115.66%-895K-190.04%-757K-190.04%-757K-552.52%-907K-807.04%-644K
Total equity 7.35%975.56M9.60%957.43M9.60%957.43M12.98%943.53M16.15%909.11M19.30%908.75M22.81%873.58M22.81%873.58M23.48%835.15M23.53%782.68M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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