(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 | -24.55%12.74M | -21.06%16.05M | -43.18%16.89M | 17.41%20.34M | 25.60%29.72M | 36.94%17.32M | -36.62%23.66M | -1.81%12.65M | 219.76%37.33M | -3.86%12.88M |
Accounts receivable | 14.22%335.4M | -4.43%304.06M | 41.48%293.65M | 52.92%318.14M | -1.92%207.56M | 4.25%208.05M | 21.09%211.61M | -5.09%199.58M | -14.21%174.76M | 0.28%210.28M |
Interest receivable | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -56.56%149K | -84.81%55K | -74.71%343K |
Advance deposits and other receivables | -1.42%55.96M | -38.56%35.31M | -11.51%56.77M | 4.12%57.47M | 58.68%64.15M | 28.61%55.2M | -27.38%40.43M | -20.15%42.92M | 7.69%55.67M | 52.54%53.74M |
Cash and equivalents | -29.45%55.14M | 28.20%76.2M | 44.85%78.16M | 8.22%59.44M | -9.74%53.96M | -27.86%54.92M | -9.28%59.78M | 56.06%76.13M | 66.07%65.89M | -50.36%48.78M |
Secured deposit | -3.40%25.19M | -3.01%24.78M | 3.20%26.08M | -0.84%25.55M | 423.84%25.27M | 323.07%25.77M | -46.16%4.82M | -80.37%6.09M | 23.01%8.96M | 1,316.99%31.02M |
Financial assets at fair value-current assets | -55.36%4M | -44.08%8.23M | -64.11%8.96M | -4.46%14.72M | 81.40%24.97M | 9.65%15.41M | -9.34%13.76M | -6.96%14.05M | -7.60%15.18M | 273.98%15.11M |
Special items of current assets | ---- | ---- | ---- | ---- | -73.66%595K | -88.17%1.75M | -91.54%2.26M | -45.32%14.78M | -3.09%26.7M | -32.82%27.03M |
Total current assets | 1.65%488.43M | -6.26%464.63M | 18.29%480.5M | 30.98%495.65M | 14.00%406.22M | 3.29%378.41M | -7.34%356.33M | -8.23%366.34M | 7.30%384.56M | -1.30%399.19M |
Non-current assets | ||||||||||
Property, plant and equipment | -3.47%1.56M | -23.61%1.39M | -26.56%1.61M | -8.72%1.82M | 91.37%2.2M | 91.09%2M | -19.79%1.15M | -29.79%1.04M | -25.71%1.43M | -36.75%1.49M |
Investment property | -25.02%64.54M | 1,303.31%77.58M | 904.86%86.08M | --5.53M | --8.57M | ---- | ---- | ---- | ---- | ---- |
Advance payment | ---- | ---- | --9.01M | --15.55M | ---- | ---- | ---- | ---- | ---- | ---- |
Intangible assets | -42.11%27.84M | -34.78%37.96M | -29.63%48.08M | -25.81%58.2M | -22.86%68.33M | -20.51%78.45M | -18.60%88.57M | -17.02%98.69M | -15.69%108.81M | -14.55%118.94M |
Goodwill | 0.00%134.95M | 0.00%134.95M | 0.00%134.95M | 0.00%134.95M | 0.00%134.95M | 0.00%134.95M | 0.00%134.95M | -29.92%134.95M | -29.92%134.95M | 0.00%192.56M |
Deferred tax assets | 9.27%3.84M | 12.31%3.93M | -5.43%3.52M | -5.84%3.5M | 1.86%3.72M | 1.86%3.72M | 21.59%3.65M | 21.59%3.65M | 16.81%3M | 16.81%3M |
Special items of non-current assets | ---- | ---- | ---- | ---- | ---- | ---- | -79.15%595K | -55.30%1.75M | -40.16%2.85M | -31.84%3.91M |
Total non-current assets | -18.18%255.06M | 12.37%281.77M | 21.13%311.73M | -9.48%250.76M | -12.98%257.34M | -21.77%277.02M | -42.10%295.73M | -50.17%354.13M | -46.00%510.74M | -25.61%710.72M |
Total assets | -6.15%743.5M | -0.00%746.4M | 19.39%792.23M | 13.88%746.41M | 1.76%663.56M | -9.03%655.43M | -27.17%652.06M | -35.09%720.47M | -31.35%895.3M | -18.38%1.11B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Accounts payable | -15.26%167.2M | -21.64%168.66M | 6.27%197.31M | 23.11%215.23M | 20.64%185.67M | 8.12%174.83M | -2.06%153.91M | -5.39%161.71M | -11.52%157.15M | 7.06%170.92M |
Notes payable | -24.50%29.2M | --36.7M | --38.68M | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Tax payable | -1.13%22.01M | 8.71%22.81M | 37.68%22.26M | 41.07%20.99M | 39.08%16.17M | 12.74%14.88M | -8.90%11.62M | -6.68%13.2M | 30.30%12.76M | 63.56%14.14M |
Other payables and accrued expenses | 59.68%48.62M | -19.72%30.84M | 51.95%30.45M | 53.39%38.42M | -20.28%20.04M | -29.27%25.05M | -9.95%25.13M | 4.81%35.41M | 22.51%27.91M | -7.36%33.79M |
Bank loans and overdrafts | 78.59%180.42M | 173.10%162.7M | 159.56%101.02M | 63.90%59.57M | -7.47%38.92M | -21.30%36.35M | -35.89%42.06M | -19.91%46.18M | 54.46%65.62M | 55.94%57.66M |
Special items of current liabilities | --27.41M | --26.36M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total current liabilities | 18.29%499.18M | 22.06%467.01M | 51.61%422M | 38.16%382.62M | 1.77%278.34M | -1.02%276.94M | -4.48%273.51M | -7.18%279.79M | 11.24%286.34M | 1.28%301.44M |
Net current assets | -118.38%-10.75M | -102.11%-2.39M | -54.25%58.5M | 11.39%113.03M | 54.40%127.88M | 17.23%101.47M | -15.68%82.82M | -11.45%86.56M | -2.74%98.22M | -8.47%97.75M |
Total assets less current liabilities | -34.01%244.31M | -23.20%279.39M | -3.89%370.23M | -3.88%363.79M | 1.76%385.22M | -14.11%378.49M | -37.84%378.55M | -45.49%440.68M | -41.83%608.96M | -23.88%808.47M |
Non-current liabilities | ||||||||||
Long-term bank loan | -85.25%4.18M | -33.67%6.86M | 165.06%28.34M | -19.94%10.35M | -2.84%10.69M | 548.97%12.92M | 135.93%11M | -71.42%1.99M | -51.10%4.66M | 22.10%6.97M |
Deferred tax liability | -42.11%4.18M | -34.79%5.69M | -29.63%7.21M | -25.82%8.73M | -22.85%10.25M | -20.51%11.77M | -18.61%13.29M | -17.02%14.81M | -21.65%16.32M | -26.01%17.84M |
Convertible notes and bonds | ---- | ---- | 15.21%26.15M | 13.62%24.62M | --22.7M | --21.67M | ---- | ---- | ---- | ---- |
Special items of non-current liabilities | ---- | ---- | --6.39M | ---- | ---- | -15.34%2.83M | 62.51%6.53M | 45.64%3.34M | --4.02M | --2.3M |
Total non-current liabilities | -87.73%8.35M | -71.27%12.56M | 56.04%68.1M | -11.17%43.7M | 41.62%43.64M | 144.25%49.19M | 23.25%30.82M | -25.69%20.14M | -31.54%25M | -56.51%27.1M |
Total liabilities | 3.56%507.54M | 12.49%479.57M | 52.21%490.1M | 30.72%426.32M | 5.80%321.99M | 8.74%326.13M | -2.25%304.33M | -8.71%299.93M | 5.92%311.34M | -8.73%328.54M |
Total assets less total liabilities | -21.90%235.96M | -16.64%266.83M | -11.55%302.13M | -2.80%320.09M | -1.77%341.58M | -21.70%329.3M | -40.45%347.73M | -46.18%420.54M | -42.20%583.96M | -21.85%781.36M |
Total equity and non-current liabilities | -34.01%244.31M | -23.20%279.39M | -3.89%370.23M | -3.88%363.79M | 1.76%385.22M | -14.11%378.49M | -37.84%378.55M | -45.49%440.68M | -41.83%608.96M | -23.88%808.47M |
Equity | ||||||||||
Share capital | 77.77%13.43M | 22.08%9.22M | 0.00%7.55M | 38.23%7.55M | -96.00%7.55M | -97.10%5.46M | 0.00%188.71M | 0.00%188.71M | 0.00%188.71M | 20.25%188.71M |
Reserve | -20.30%222.53M | -14.61%257.61M | -14.35%279.22M | -4.92%301.68M | 190.45%325.99M | 73.96%317.29M | -67.37%112.24M | -66.19%182.39M | -55.19%343.94M | -31.39%539.38M |
Shareholders' Equity | -17.72%235.96M | -13.71%266.83M | -14.02%286.78M | -4.19%309.24M | 10.83%333.54M | -13.03%322.75M | -43.50%300.95M | -49.03%371.1M | -44.30%532.65M | -22.80%728.09M |
Non-controlling interest | ---- | ---- | 91.15%15.35M | 65.73%10.86M | -82.83%8.03M | -86.75%6.55M | -8.82%46.78M | -7.18%49.45M | -5.01%51.31M | -6.11%53.27M |
Total equity | -21.90%235.96M | -16.64%266.83M | -11.55%302.13M | -2.80%320.09M | -1.77%341.58M | -21.70%329.3M | -40.45%347.73M | -46.18%420.54M | -42.20%583.96M | -21.85%781.36M |
Total equity and total liabilities | -6.15%743.5M | -0.00%746.4M | 19.39%792.23M | 13.88%746.41M | 1.76%663.56M | -9.03%655.43M | -27.17%652.06M | -35.09%720.47M | -31.35%895.3M | -18.38%1.11B |
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 | -- | Unqualified Opinion | -- | Unqualified Opinion |
Auditor | -- | Hong Kong Lixin Dehao Certified Public Accountants Limited | -- | Hong Kong Lixin Dehao Certified Public Accountants Limited | -- | Hong Kong Lixin Dehao Certified Public Accountants Limited | -- | Hong Kong Lixin Dehao Certified Public Accountants Limited | -- | 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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