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00981 SMIC

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  • 15.600
  • +0.100+0.65%
Market Closed Sep 13 16:08 CST
124.35BMarket Cap31.52P/E (TTM)

SMIC Key Stats

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YOY yoy
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(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
(Q3)Mar 31, 2022
Assets
Current assets
Inventory
16.84%2.74B
30.85%2.77B
43.13%2.74B
51.75%2.58B
61.88%2.35B
60.62%2.12B
60.12%1.91B
53.62%1.7B
48.90%1.45B
48.02%1.32B
Accounts receivable
18.25%1.24B
-3.32%1.08B
-10.18%1.17B
-2.86%1.22B
-13.65%1.04B
-5.66%1.11B
7.17%1.3B
15.70%1.25B
21.46%1.21B
33.33%1.18B
Advance deposits and other receivables
-7.55%98.66M
-15.12%100.12M
2.70%106.15M
101.24%96.12M
83.48%106.72M
52.44%117.96M
138.35%103.37M
11.16%47.77M
-4.87%58.16M
5.52%77.38M
Cash and equivalents
-51.13%3.69B
-38.54%5.35B
-10.35%6.22B
-7.84%6.95B
-12.45%7.56B
42.68%8.7B
-19.22%6.93B
0.55%7.54B
20.27%8.63B
-32.33%6.1B
Secured deposit
-27.93%280.23M
-45.27%280.6M
-73.48%179.54M
-76.91%153.21M
75.29%388.84M
92.71%512.69M
216.04%676.94M
136.19%663.63M
1.49%221.82M
-13.72%266.05M
Financial assets at fair value-current assets
-1.43%101.11M
-43.19%230.33M
-42.88%214.63M
-50.34%145.38M
-67.23%102.57M
25.53%405.43M
380.63%375.78M
288.29%292.75M
4,235.43%312.98M
11,348.95%322.98M
Derivative financial instruments-current assets
-31.34%85.2M
134.28%67.99M
-70.79%42.84M
-68.66%117.7M
-5.18%124.1M
-20.65%29.02M
367.53%146.67M
1,587.48%375.55M
416.00%130.87M
141.82%36.57M
Special items of current assets
-33.87%2.99B
-23.90%3.13B
-42.25%2.97B
-49.42%3.45B
-24.01%4.51B
-37.97%4.11B
33.29%5.14B
61.93%6.82B
27.69%5.94B
140.20%6.63B
Total current assets
-30.68%11.22B
-24.01%13B
-17.83%13.64B
-21.32%14.71B
-9.86%16.19B
7.42%17.11B
9.04%16.59B
30.51%18.7B
27.24%17.96B
14.18%15.93B
Non-current assets
Fixed assets
----
30.50%25.45B
----
28.93%22.29B
----
--19.5B
----
--17.29B
----
----
Property, plant and equipment
30.69%26.91B
----
26.99%23.94B
----
30.56%20.59B
----
32.22%18.86B
----
30.38%15.77B
19.25%14.63B
Associated company interest
-5.48%2.03B
2.06%2.02B
6.83%2.04B
10.07%2.02B
14.76%2.14B
3.99%1.98B
2.84%1.91B
13.04%1.84B
17.50%1.87B
33.01%1.91B
Interests in Joint Venture
-54.71%1.48M
-52.55%2.29M
-74.64%2.3M
-63.17%3.29M
-69.73%3.27M
-48.85%4.83M
-48.69%9.05M
-66.80%8.94M
-61.71%10.81M
-68.17%9.44M
Secured deposits-non-current assets
--370.45M
--369.47M
--256.07M
--250.48M
----
----
----
----
343.47%515.13M
3.26%117.99M
Financial assets at fair value-non-current assets
-11.69%462.38M
102.75%473.64M
131.37%481.97M
182.77%483.42M
161.92%523.57M
11.20%233.61M
-6.60%208.31M
-3.14%170.96M
18.47%199.9M
42.19%210.08M
Derivative financial instruments-non-current assets
-55.67%8.93M
-65.93%10.37M
-63.33%12.09M
-44.35%14.21M
-62.52%20.14M
-56.70%30.45M
-35.47%32.96M
-31.16%25.54M
90.67%53.74M
288.74%70.32M
Intangible assets
-25.89%28.76M
-24.79%31.87M
-25.74%33.66M
-27.91%35.25M
-23.28%38.8M
-21.66%42.37M
-32.96%45.33M
-29.20%48.89M
-32.49%50.58M
-32.69%54.08M
Deferred tax assets
-5.30%13.19M
-5.34%13.18M
-7.37%13.19M
-6.39%13.94M
-4.69%13.93M
-4.63%13.93M
-2.60%14.24M
-60.14%14.9M
-60.46%14.62M
-41.12%14.6M
Other illiquid assets
-99.08%246K
-99.20%316K
-99.60%209K
3,466.49%13.52M
4,941.78%26.67M
2,297.95%39.73M
3,032.52%52.88M
-78.96%379K
-65.63%529K
9.23%1.66M
Total non-current assets
21.82%36.13B
26.02%35.17B
25.50%34.15B
38.87%32.04B
31.71%29.66B
29.61%27.91B
30.25%27.21B
21.87%23.07B
24.69%22.52B
27.71%21.53B
Total assets
3.29%47.35B
7.00%48.17B
9.08%47.79B
11.93%46.75B
13.26%45.84B
20.18%45.02B
21.31%43.81B
25.59%41.77B
25.81%40.48B
21.59%37.46B
Liabilities
Current liabilities
Accounts payable
25.25%3.98B
35.40%4.21B
15.88%3.73B
20.04%3.43B
10.35%3.18B
64.41%3.11B
75.75%3.22B
87.43%2.86B
102.18%2.88B
43.46%1.89B
Tax payable
-8.27%18.05M
16.21%5.9M
305.87%10.52M
20.38%19.98M
78.16%19.68M
-80.50%5.08M
-90.28%2.59M
41.75%16.6M
91.01%11.04M
141.44%26.04M
Bank loans and overdrafts
-41.53%1.36B
-16.60%1.49B
-4.10%1.22B
132.98%2.25B
166.81%2.33B
123.80%1.79B
60.67%1.27B
41.95%967.71M
118.47%872.47M
71.82%798.49M
Derivative financial instrument-current liabilities
-39.46%63.87M
92.37%104.58M
99.44%90.18M
208.91%120.22M
236.77%105.5M
353.87%54.36M
411.04%45.22M
-7.34%38.92M
-36.31%31.33M
-77.27%11.98M
Financial lease liabilities-current liabilities
-28.59%27.79M
-28.37%32.41M
-37.63%32.34M
-48.85%32.26M
-48.57%38.92M
-48.72%45.25M
-48.54%51.85M
-41.85%63.07M
-29.80%75.68M
-7.41%88.23M
Deferred income-current liabilities
-16.04%159.59M
8.68%148.71M
12.54%173.1M
10.31%149.09M
28.23%190.08M
-32.44%136.83M
-24.37%153.81M
-53.50%135.16M
-35.71%148.23M
-21.08%202.52M
Special items of current liabilities
224.73%914.93M
2.56%262.07M
-3.61%298.02M
4.50%286.64M
16.76%281.76M
46.00%255.53M
30.96%309.18M
24.23%274.3M
6.41%241.31M
-14.30%175.02M
Total current liabilities
-7.46%7.54B
8.97%8.14B
8.21%7.6B
30.97%8.39B
28.61%8.15B
56.88%7.47B
57.74%7.02B
64.12%6.41B
83.15%6.34B
63.06%4.76B
Net current assets
-54.21%3.68B
-49.59%4.86B
-36.95%6.03B
-48.57%6.32B
-30.84%8.04B
-13.69%9.63B
-11.10%9.57B
17.92%12.29B
9.09%11.62B
1.23%11.16B
Total assets less current liabilities
5.61%39.81B
6.61%40.02B
9.25%40.19B
8.48%38.36B
10.42%37.7B
14.83%37.54B
16.19%36.78B
20.47%35.36B
18.90%34.14B
17.24%32.69B
Non-current liabilities
Long-term bank loan
26.63%8.42B
19.01%8.18B
24.06%8.33B
6.97%6.72B
18.20%6.65B
34.50%6.87B
36.06%6.72B
35.03%6.28B
23.85%5.63B
19.14%5.11B
Financial lease liabilities-non-current liabilities
-65.58%14.69M
-63.45%18.16M
-54.44%26.28M
-47.63%34.39M
-46.77%42.68M
-47.64%49.68M
-47.30%57.68M
-48.96%65.66M
-47.92%80.18M
-24.86%94.88M
Deferred tax liability
-16.37%40.39M
13.23%43.89M
11.24%38.91M
73.69%39.9M
78.12%48.3M
36.87%38.76M
8.67%34.98M
18.20%22.97M
52.75%27.12M
579.49%28.32M
Convertible notes and bonds
----
0.12%599.3M
0.12%599.12M
0.12%598.93M
0.12%598.74M
0.12%598.56M
0.12%598.38M
0.12%598.2M
-0.21%598.02M
-0.21%597.84M
Derivative financial instruments-non-current liabilities
38.32%55.96M
169.62%51.95M
126.00%34.55M
32.49%49.18M
1,527.39%40.46M
-35.51%19.27M
377.24%15.29M
77.81%37.12M
-87.74%2.49M
-6.66%29.88M
Special items of non-current liabilities
-6.38%306.79M
-19.36%305.35M
-22.73%306.61M
-22.92%342.06M
-30.80%327.7M
-26.59%378.65M
-26.38%396.8M
-15.60%443.77M
-20.58%473.52M
-20.72%515.77M
Total non-current liabilities
14.67%8.84B
15.58%9.2B
19.42%9.34B
4.49%7.78B
13.23%7.71B
24.79%7.96B
25.76%7.82B
25.31%7.45B
14.80%6.81B
11.85%6.38B
Total liabilities
3.30%16.38B
12.38%17.34B
14.11%16.94B
16.74%16.17B
20.64%15.86B
38.51%15.43B
39.10%14.85B
40.70%13.85B
39.97%13.15B
29.20%11.14B
Total assets less total liabilities
3.28%30.97B
4.20%30.83B
6.51%30.85B
9.54%30.58B
9.71%29.99B
12.41%29.58B
13.85%28.96B
19.24%27.92B
19.97%27.33B
18.63%26.32B
Total equity and non-current liabilities
5.61%39.81B
6.61%40.02B
9.25%40.19B
8.48%38.36B
10.42%37.7B
14.83%37.54B
16.19%36.78B
20.47%35.36B
18.90%34.14B
17.24%32.69B
Equity
Share capital
0.38%31.83M
0.39%31.8M
0.43%31.79M
0.54%31.78M
0.30%31.7M
0.15%31.67M
0.11%31.65M
-0.01%31.61M
0.01%31.61M
0.09%31.63M
Reserve
----
----
----
----
----
----
----
--388.88M
--412.98M
----
Share premium
1.06%14.14B
1.06%14.12B
1.10%14.12B
1.64%14.11B
1.16%13.99B
0.75%13.97B
0.92%13.96B
0.36%13.89B
-0.02%13.83B
0.29%13.87B
Other reserves
-51.24%149.82M
-49.24%197.76M
-23.91%286.92M
--266.54M
--307.27M
11.24%389.61M
--377.06M
----
----
361.19%350.23M
Retained profit
9.33%5.92B
14.84%5.75B
18.89%5.68B
25.35%5.51B
38.00%5.41B
47.01%5.01B
61.42%4.78B
81.04%4.39B
86.31%3.92B
140.46%3.41B
Shareholders' Equity
2.51%20.24B
3.61%20.1B
5.05%20.12B
6.64%19.92B
8.49%19.74B
9.88%19.4B
11.66%19.15B
13.19%18.68B
13.29%18.2B
15.01%17.66B
Non-controlling interest
4.76%10.73B
5.33%10.72B
9.36%10.73B
15.41%10.67B
12.16%10.25B
17.57%10.18B
18.37%9.81B
33.66%9.24B
35.92%9.13B
26.75%8.66B
Total equity
3.28%30.97B
4.20%30.83B
6.51%30.85B
9.54%30.58B
9.71%29.99B
12.41%29.58B
13.85%28.96B
19.24%27.92B
19.97%27.33B
18.63%26.32B
Total equity and total liabilities
3.29%47.35B
7.00%48.17B
9.08%47.79B
11.93%46.75B
13.26%45.84B
20.18%45.02B
21.31%43.81B
25.59%41.77B
25.81%40.48B
21.59%37.46B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
Auditor
--
--
Ernst & Young (Special General Partnership), Ernst & Young
--
--
--
Ernst & Young (Special General Partnership), Ernst & Young
--
--
--
(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(Q3)Mar 31, 2022
Assets
Current assets
Inventory 16.84%2.74B30.85%2.77B43.13%2.74B51.75%2.58B61.88%2.35B60.62%2.12B60.12%1.91B53.62%1.7B48.90%1.45B48.02%1.32B
Accounts receivable 18.25%1.24B-3.32%1.08B-10.18%1.17B-2.86%1.22B-13.65%1.04B-5.66%1.11B7.17%1.3B15.70%1.25B21.46%1.21B33.33%1.18B
Advance deposits and other receivables -7.55%98.66M-15.12%100.12M2.70%106.15M101.24%96.12M83.48%106.72M52.44%117.96M138.35%103.37M11.16%47.77M-4.87%58.16M5.52%77.38M
Cash and equivalents -51.13%3.69B-38.54%5.35B-10.35%6.22B-7.84%6.95B-12.45%7.56B42.68%8.7B-19.22%6.93B0.55%7.54B20.27%8.63B-32.33%6.1B
Secured deposit -27.93%280.23M-45.27%280.6M-73.48%179.54M-76.91%153.21M75.29%388.84M92.71%512.69M216.04%676.94M136.19%663.63M1.49%221.82M-13.72%266.05M
Financial assets at fair value-current assets -1.43%101.11M-43.19%230.33M-42.88%214.63M-50.34%145.38M-67.23%102.57M25.53%405.43M380.63%375.78M288.29%292.75M4,235.43%312.98M11,348.95%322.98M
Derivative financial instruments-current assets -31.34%85.2M134.28%67.99M-70.79%42.84M-68.66%117.7M-5.18%124.1M-20.65%29.02M367.53%146.67M1,587.48%375.55M416.00%130.87M141.82%36.57M
Special items of current assets -33.87%2.99B-23.90%3.13B-42.25%2.97B-49.42%3.45B-24.01%4.51B-37.97%4.11B33.29%5.14B61.93%6.82B27.69%5.94B140.20%6.63B
Total current assets -30.68%11.22B-24.01%13B-17.83%13.64B-21.32%14.71B-9.86%16.19B7.42%17.11B9.04%16.59B30.51%18.7B27.24%17.96B14.18%15.93B
Non-current assets
Fixed assets ----30.50%25.45B----28.93%22.29B------19.5B------17.29B--------
Property, plant and equipment 30.69%26.91B----26.99%23.94B----30.56%20.59B----32.22%18.86B----30.38%15.77B19.25%14.63B
Associated company interest -5.48%2.03B2.06%2.02B6.83%2.04B10.07%2.02B14.76%2.14B3.99%1.98B2.84%1.91B13.04%1.84B17.50%1.87B33.01%1.91B
Interests in Joint Venture -54.71%1.48M-52.55%2.29M-74.64%2.3M-63.17%3.29M-69.73%3.27M-48.85%4.83M-48.69%9.05M-66.80%8.94M-61.71%10.81M-68.17%9.44M
Secured deposits-non-current assets --370.45M--369.47M--256.07M--250.48M----------------343.47%515.13M3.26%117.99M
Financial assets at fair value-non-current assets -11.69%462.38M102.75%473.64M131.37%481.97M182.77%483.42M161.92%523.57M11.20%233.61M-6.60%208.31M-3.14%170.96M18.47%199.9M42.19%210.08M
Derivative financial instruments-non-current assets -55.67%8.93M-65.93%10.37M-63.33%12.09M-44.35%14.21M-62.52%20.14M-56.70%30.45M-35.47%32.96M-31.16%25.54M90.67%53.74M288.74%70.32M
Intangible assets -25.89%28.76M-24.79%31.87M-25.74%33.66M-27.91%35.25M-23.28%38.8M-21.66%42.37M-32.96%45.33M-29.20%48.89M-32.49%50.58M-32.69%54.08M
Deferred tax assets -5.30%13.19M-5.34%13.18M-7.37%13.19M-6.39%13.94M-4.69%13.93M-4.63%13.93M-2.60%14.24M-60.14%14.9M-60.46%14.62M-41.12%14.6M
Other illiquid assets -99.08%246K-99.20%316K-99.60%209K3,466.49%13.52M4,941.78%26.67M2,297.95%39.73M3,032.52%52.88M-78.96%379K-65.63%529K9.23%1.66M
Total non-current assets 21.82%36.13B26.02%35.17B25.50%34.15B38.87%32.04B31.71%29.66B29.61%27.91B30.25%27.21B21.87%23.07B24.69%22.52B27.71%21.53B
Total assets 3.29%47.35B7.00%48.17B9.08%47.79B11.93%46.75B13.26%45.84B20.18%45.02B21.31%43.81B25.59%41.77B25.81%40.48B21.59%37.46B
Liabilities
Current liabilities
Accounts payable 25.25%3.98B35.40%4.21B15.88%3.73B20.04%3.43B10.35%3.18B64.41%3.11B75.75%3.22B87.43%2.86B102.18%2.88B43.46%1.89B
Tax payable -8.27%18.05M16.21%5.9M305.87%10.52M20.38%19.98M78.16%19.68M-80.50%5.08M-90.28%2.59M41.75%16.6M91.01%11.04M141.44%26.04M
Bank loans and overdrafts -41.53%1.36B-16.60%1.49B-4.10%1.22B132.98%2.25B166.81%2.33B123.80%1.79B60.67%1.27B41.95%967.71M118.47%872.47M71.82%798.49M
Derivative financial instrument-current liabilities -39.46%63.87M92.37%104.58M99.44%90.18M208.91%120.22M236.77%105.5M353.87%54.36M411.04%45.22M-7.34%38.92M-36.31%31.33M-77.27%11.98M
Financial lease liabilities-current liabilities -28.59%27.79M-28.37%32.41M-37.63%32.34M-48.85%32.26M-48.57%38.92M-48.72%45.25M-48.54%51.85M-41.85%63.07M-29.80%75.68M-7.41%88.23M
Deferred income-current liabilities -16.04%159.59M8.68%148.71M12.54%173.1M10.31%149.09M28.23%190.08M-32.44%136.83M-24.37%153.81M-53.50%135.16M-35.71%148.23M-21.08%202.52M
Special items of current liabilities 224.73%914.93M2.56%262.07M-3.61%298.02M4.50%286.64M16.76%281.76M46.00%255.53M30.96%309.18M24.23%274.3M6.41%241.31M-14.30%175.02M
Total current liabilities -7.46%7.54B8.97%8.14B8.21%7.6B30.97%8.39B28.61%8.15B56.88%7.47B57.74%7.02B64.12%6.41B83.15%6.34B63.06%4.76B
Net current assets -54.21%3.68B-49.59%4.86B-36.95%6.03B-48.57%6.32B-30.84%8.04B-13.69%9.63B-11.10%9.57B17.92%12.29B9.09%11.62B1.23%11.16B
Total assets less current liabilities 5.61%39.81B6.61%40.02B9.25%40.19B8.48%38.36B10.42%37.7B14.83%37.54B16.19%36.78B20.47%35.36B18.90%34.14B17.24%32.69B
Non-current liabilities
Long-term bank loan 26.63%8.42B19.01%8.18B24.06%8.33B6.97%6.72B18.20%6.65B34.50%6.87B36.06%6.72B35.03%6.28B23.85%5.63B19.14%5.11B
Financial lease liabilities-non-current liabilities -65.58%14.69M-63.45%18.16M-54.44%26.28M-47.63%34.39M-46.77%42.68M-47.64%49.68M-47.30%57.68M-48.96%65.66M-47.92%80.18M-24.86%94.88M
Deferred tax liability -16.37%40.39M13.23%43.89M11.24%38.91M73.69%39.9M78.12%48.3M36.87%38.76M8.67%34.98M18.20%22.97M52.75%27.12M579.49%28.32M
Convertible notes and bonds ----0.12%599.3M0.12%599.12M0.12%598.93M0.12%598.74M0.12%598.56M0.12%598.38M0.12%598.2M-0.21%598.02M-0.21%597.84M
Derivative financial instruments-non-current liabilities 38.32%55.96M169.62%51.95M126.00%34.55M32.49%49.18M1,527.39%40.46M-35.51%19.27M377.24%15.29M77.81%37.12M-87.74%2.49M-6.66%29.88M
Special items of non-current liabilities -6.38%306.79M-19.36%305.35M-22.73%306.61M-22.92%342.06M-30.80%327.7M-26.59%378.65M-26.38%396.8M-15.60%443.77M-20.58%473.52M-20.72%515.77M
Total non-current liabilities 14.67%8.84B15.58%9.2B19.42%9.34B4.49%7.78B13.23%7.71B24.79%7.96B25.76%7.82B25.31%7.45B14.80%6.81B11.85%6.38B
Total liabilities 3.30%16.38B12.38%17.34B14.11%16.94B16.74%16.17B20.64%15.86B38.51%15.43B39.10%14.85B40.70%13.85B39.97%13.15B29.20%11.14B
Total assets less total liabilities 3.28%30.97B4.20%30.83B6.51%30.85B9.54%30.58B9.71%29.99B12.41%29.58B13.85%28.96B19.24%27.92B19.97%27.33B18.63%26.32B
Total equity and non-current liabilities 5.61%39.81B6.61%40.02B9.25%40.19B8.48%38.36B10.42%37.7B14.83%37.54B16.19%36.78B20.47%35.36B18.90%34.14B17.24%32.69B
Equity
Share capital 0.38%31.83M0.39%31.8M0.43%31.79M0.54%31.78M0.30%31.7M0.15%31.67M0.11%31.65M-0.01%31.61M0.01%31.61M0.09%31.63M
Reserve ------------------------------388.88M--412.98M----
Share premium 1.06%14.14B1.06%14.12B1.10%14.12B1.64%14.11B1.16%13.99B0.75%13.97B0.92%13.96B0.36%13.89B-0.02%13.83B0.29%13.87B
Other reserves -51.24%149.82M-49.24%197.76M-23.91%286.92M--266.54M--307.27M11.24%389.61M--377.06M--------361.19%350.23M
Retained profit 9.33%5.92B14.84%5.75B18.89%5.68B25.35%5.51B38.00%5.41B47.01%5.01B61.42%4.78B81.04%4.39B86.31%3.92B140.46%3.41B
Shareholders' Equity 2.51%20.24B3.61%20.1B5.05%20.12B6.64%19.92B8.49%19.74B9.88%19.4B11.66%19.15B13.19%18.68B13.29%18.2B15.01%17.66B
Non-controlling interest 4.76%10.73B5.33%10.72B9.36%10.73B15.41%10.67B12.16%10.25B17.57%10.18B18.37%9.81B33.66%9.24B35.92%9.13B26.75%8.66B
Total equity 3.28%30.97B4.20%30.83B6.51%30.85B9.54%30.58B9.71%29.99B12.41%29.58B13.85%28.96B19.24%27.92B19.97%27.33B18.63%26.32B
Total equity and total liabilities 3.29%47.35B7.00%48.17B9.08%47.79B11.93%46.75B13.26%45.84B20.18%45.02B21.31%43.81B25.59%41.77B25.81%40.48B21.59%37.46B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ----Unqualified Opinion------Unqualified Opinion------
Auditor ----Ernst & Young (Special General Partnership), Ernst & Young------Ernst & Young (Special General Partnership), Ernst & Young------

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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