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01114 BRILLIANCE CHI

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  • 2.830
  • +0.070+2.54%
Not Open Nov 6 16:08 CST
14.28BMarket Cap2.38P/E (TTM)

BRILLIANCE CHI Key Stats

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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
104.72%293.56M
-31.19%127.44M
-27.86%143.4M
-37.93%185.2M
-50.26%198.77M
-41.02%298.39M
-42.11%399.61M
-28.25%505.88M
-40.73%690.24M
-30.30%705.1M
Accounts receivable
16.86%316.49M
21.97%344.05M
-4.48%270.84M
-9.26%282.08M
-43.28%283.54M
-65.32%310.86M
-55.56%499.88M
-17.22%896.26M
8.31%1.12B
5.65%1.08B
Notes receivable
51.94%122.21M
5.77%99.92M
-29.46%80.43M
-13.72%94.47M
-20.38%114.03M
0.91%109.49M
-24.13%143.22M
-35.90%108.5M
14.71%188.77M
-46.63%169.27M
Cash and equivalents
11.07%27.35B
8.37%30.85B
37.24%24.62B
2,612.72%28.46B
1,463.72%17.94B
-48.10%1.05B
-66.79%1.15B
-26.84%2.02B
134.56%3.45B
19.61%2.76B
Short-term deposit
--645.87M
----
----
----
----
----
----
-66.67%500M
--3.63B
160.28%1.5B
Deposit  in the Central Bank
46.15%47.5M
76.92%57.5M
0.00%32.5M
0.00%32.5M
-16.75%32.5M
2.97%32.5M
77.55%39.04M
35.21%31.56M
-16.23%21.99M
-28.29%23.34M
Secured deposit
----
-27.76%2.5B
-13.27%3.04B
364.57%3.46B
89.78%3.5B
-50.78%745.2M
-18.46%1.85B
-51.06%1.51B
82.82%2.26B
187.58%3.09B
Other current assets
2,883.60%3.53B
35.77%134.9M
-92.51%118.27M
-95.88%99.36M
-51.85%1.58B
-58.20%2.41B
-52.74%3.28B
-40.41%5.77B
-29.59%6.94B
230.09%9.68B
Special items of current assets
22.38%1.39B
7.42%1.19B
--1.14B
--1.11B
----
----
----
----
----
----
Total current assets
14.43%33.69B
4.67%35.3B
24.49%29.45B
580.40%33.73B
221.59%23.65B
-56.31%4.96B
-59.84%7.36B
-40.34%11.35B
22.41%18.31B
104.91%19.02B
Non-current assets
Property, plant and equipment
216.15%1.25B
-9.58%401.63M
-12.91%394.58M
-38.83%444.19M
-70.71%453.06M
-65.79%726.13M
-21.85%1.55B
-18.58%2.12B
-21.80%1.98B
2.32%2.61B
Construction in progress
----
----
49.38%35.95M
----
-95.35%24.07M
----
21.01%518M
----
105.11%428.05M
----
Advance payment
-2.83%72.85M
368.86%356.47M
-2.75%74.97M
-2.71%76.03M
-2.67%77.09M
-2.64%78.15M
-2.48%79.21M
-2.45%80.27M
-2.54%81.22M
-2.51%82.28M
Long-term receivables
-5.88%1.83B
70.28%2.24B
46.34%1.95B
-13.40%1.31B
-33.13%1.33B
-41.93%1.52B
-42.66%1.99B
-24.12%2.61B
35.05%3.47B
-7.62%3.44B
Associated company interest
-52.97%11.5B
-15.40%16.69B
-3.90%24.45B
1,897.23%19.73B
2,146.47%25.45B
-10.93%987.77M
-25.33%1.13B
-29.42%1.11B
-4.67%1.52B
-6.09%1.57B
Interests in Joint Venture
----
----
----
----
----
38.70%41.55B
39.21%37.14B
38.99%29.96B
18.78%26.68B
-10.46%21.56B
Other investments
-11.68%6.72M
-40.46%5.91M
-21.63%7.6M
4.87%9.92M
1.47%9.7M
37.52%9.46M
69.96%9.56M
6.24%6.88M
-32.14%5.63M
-47.31%6.48M
Intangible assets
300.34%143.93M
-15.42%32.08M
-4.90%35.95M
-8.52%37.94M
-94.34%37.81M
-93.29%41.47M
-29.07%668.16M
-34.70%618.06M
12.18%941.95M
54.68%946.56M
Other illiquid assets
18.84%130.27M
45.82%128.07M
35.81%109.62M
12.10%87.83M
-33.30%80.72M
-32.93%78.35M
-17.06%121.02M
-18.25%116.83M
38.95%145.92M
66.03%142.92M
Total non-current assets
-44.81%14.93B
-8.51%19.85B
-1.45%27.06B
-51.78%21.7B
-36.44%27.46B
22.84%44.99B
22.57%43.2B
20.66%36.63B
15.95%35.25B
-7.50%30.36B
Total assets
-13.94%48.63B
-0.49%55.15B
10.55%56.51B
10.96%55.43B
1.09%51.11B
4.12%49.95B
-5.60%50.56B
-2.84%47.97B
18.08%53.56B
17.28%49.37B
Liabilities
Current liabilities
Accounts payable
11.52%265.56M
-18.96%297.28M
-33.86%238.14M
-66.26%366.83M
-70.14%360.05M
-25.49%1.09B
-13.13%1.21B
-5.25%1.46B
-18.94%1.39B
-17.19%1.54B
Notes payable
2.77%245.89M
28.90%219.33M
-8.16%239.26M
-49.12%170.15M
-83.33%260.53M
-82.78%334.39M
-52.98%1.56B
-60.84%1.94B
63.11%3.32B
204.13%4.96B
Tax payable
15.76%4.25M
-71.56%2.94M
-44.11%3.67M
288.46%10.34M
846.75%6.56M
-81.23%2.66M
-93.72%693K
-65.11%14.18M
-18.17%11.03M
198.21%40.63M
Short-term borrowing
-41.12%570M
164.14%924.5M
-6.43%968M
-83.85%350M
-70.31%1.03B
-52.14%2.17B
-47.59%3.48B
-28.02%4.53B
49.00%6.65B
36.09%6.29B
Bank loans and overdrafts
----
----
-71.88%2.7M
-98.08%7.5M
-98.19%9.6M
79.83%390.6M
260.48%529.9M
986.00%217.2M
635.00%147M
0.00%20M
Provision-current liabilities
-69.04%593.51M
-23.32%1.47B
0.00%1.92B
0.00%1.92B
0.00%1.92B
0.00%1.92B
--1.92B
--1.92B
----
----
Other current liabilities
7,384.06%20.66B
-9.46%264.67M
-37.30%276.02M
-89.23%292.32M
-71.56%440.23M
-32.17%2.71B
-18.80%1.55B
104.86%4B
-12.86%1.91B
-1.57%1.95B
Total current liabilities
512.83%22.34B
2.07%3.18B
-9.52%3.64B
-63.84%3.11B
-60.69%4.03B
-38.83%8.61B
-23.66%10.25B
-4.90%14.08B
28.67%13.42B
46.12%14.81B
Net current assets
-55.98%11.36B
4.93%32.12B
31.47%25.8B
937.40%30.61B
778.36%19.62B
-33.81%-3.66B
-159.15%-2.89B
-164.83%-2.73B
8.00%4.89B
595.60%4.21B
Total assets less current liabilities
-50.26%26.29B
-0.64%51.98B
12.27%52.86B
26.55%52.31B
16.80%47.08B
21.96%41.34B
0.43%40.31B
-1.95%33.9B
14.92%40.14B
8.14%34.57B
Non-current liabilities
Long-term bank loan
----
----
----
----
--2.7M
-98.03%7.5M
----
1,805.00%381M
1,626.67%518M
-50.00%20M
Other non-current liabilities
4.65%96.09M
-11.25%84.82M
-12.45%91.82M
-38.77%95.58M
-29.65%104.87M
-0.70%156.09M
-10.54%149.07M
-7.23%157.18M
-5.82%166.64M
64.38%169.43M
Total non-current liabilities
4.65%96.09M
-11.25%84.82M
-14.65%91.82M
-41.57%95.58M
-27.84%107.57M
-69.60%163.59M
-78.23%149.07M
184.11%538.18M
230.84%684.64M
32.40%189.43M
Total liabilities
500.34%22.43B
1.67%3.26B
-9.66%3.74B
-63.43%3.21B
-60.22%4.14B
-39.96%8.78B
-26.31%10.4B
-2.51%14.62B
32.60%14.11B
45.93%14.99B
Total assets less total liabilities
-50.36%26.2B
-0.62%51.89B
12.33%52.77B
26.82%52.22B
16.97%46.98B
23.43%41.17B
1.80%40.16B
-2.98%33.36B
13.64%39.45B
8.03%34.38B
Total equity and non-current liabilities
-50.26%26.29B
-0.64%51.98B
12.27%52.86B
26.55%52.31B
16.80%47.08B
21.96%41.34B
0.43%40.31B
-1.95%33.9B
14.92%40.14B
8.14%34.57B
Equity
Share capital
0.00%397.18M
0.00%397.18M
0.00%397.18M
0.00%397.18M
0.00%397.18M
0.00%397.18M
0.00%397.18M
0.00%397.18M
0.00%397.18M
0.00%397.18M
Reserve
-52.11%24.71B
-0.64%50.72B
12.64%51.6B
21.74%51.05B
15.86%45.81B
27.50%41.93B
3.20%39.54B
-1.63%32.89B
13.53%38.31B
8.96%33.43B
Shareholders' Equity
-51.71%25.11B
-0.64%51.12B
12.54%52B
21.54%51.45B
15.70%46.21B
27.17%42.33B
3.17%39.93B
-1.61%33.29B
13.38%38.71B
8.85%33.83B
Non-controlling interest
40.34%1.08B
0.19%773.03M
0.15%772.92M
166.84%771.57M
239.04%771.77M
-1,717.91%-1.15B
-69.40%227.63M
-87.03%71.35M
28.88%743.93M
-26.19%549.92M
Total equity
-50.36%26.2B
-0.62%51.89B
12.33%52.77B
26.82%52.22B
16.97%46.98B
23.43%41.17B
1.80%40.16B
-2.98%33.36B
13.64%39.45B
8.03%34.38B
Total equity and total liabilities
-13.94%48.63B
-0.49%55.15B
10.55%56.51B
10.96%55.43B
1.09%51.11B
4.12%49.95B
-5.60%50.56B
-2.84%47.97B
18.08%53.56B
17.28%49.37B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
Unqualified Opinion
Auditor
--
Grant Thornton (Hong Kong) Certified Public Accountants Limited
--
Grant Thornton (Hong Kong) Certified Public Accountants Limited
--
Grant Thornton (Hong Kong) Certified Public Accountants Limited
--
Grant Thornton (Hong Kong) Certified Public Accountants Limited
--
Grant Thornton (Hong Kong) Certified Public Accountants Limited
(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 104.72%293.56M-31.19%127.44M-27.86%143.4M-37.93%185.2M-50.26%198.77M-41.02%298.39M-42.11%399.61M-28.25%505.88M-40.73%690.24M-30.30%705.1M
Accounts receivable 16.86%316.49M21.97%344.05M-4.48%270.84M-9.26%282.08M-43.28%283.54M-65.32%310.86M-55.56%499.88M-17.22%896.26M8.31%1.12B5.65%1.08B
Notes receivable 51.94%122.21M5.77%99.92M-29.46%80.43M-13.72%94.47M-20.38%114.03M0.91%109.49M-24.13%143.22M-35.90%108.5M14.71%188.77M-46.63%169.27M
Cash and equivalents 11.07%27.35B8.37%30.85B37.24%24.62B2,612.72%28.46B1,463.72%17.94B-48.10%1.05B-66.79%1.15B-26.84%2.02B134.56%3.45B19.61%2.76B
Short-term deposit --645.87M-------------------------66.67%500M--3.63B160.28%1.5B
Deposit  in the Central Bank 46.15%47.5M76.92%57.5M0.00%32.5M0.00%32.5M-16.75%32.5M2.97%32.5M77.55%39.04M35.21%31.56M-16.23%21.99M-28.29%23.34M
Secured deposit -----27.76%2.5B-13.27%3.04B364.57%3.46B89.78%3.5B-50.78%745.2M-18.46%1.85B-51.06%1.51B82.82%2.26B187.58%3.09B
Other current assets 2,883.60%3.53B35.77%134.9M-92.51%118.27M-95.88%99.36M-51.85%1.58B-58.20%2.41B-52.74%3.28B-40.41%5.77B-29.59%6.94B230.09%9.68B
Special items of current assets 22.38%1.39B7.42%1.19B--1.14B--1.11B------------------------
Total current assets 14.43%33.69B4.67%35.3B24.49%29.45B580.40%33.73B221.59%23.65B-56.31%4.96B-59.84%7.36B-40.34%11.35B22.41%18.31B104.91%19.02B
Non-current assets
Property, plant and equipment 216.15%1.25B-9.58%401.63M-12.91%394.58M-38.83%444.19M-70.71%453.06M-65.79%726.13M-21.85%1.55B-18.58%2.12B-21.80%1.98B2.32%2.61B
Construction in progress --------49.38%35.95M-----95.35%24.07M----21.01%518M----105.11%428.05M----
Advance payment -2.83%72.85M368.86%356.47M-2.75%74.97M-2.71%76.03M-2.67%77.09M-2.64%78.15M-2.48%79.21M-2.45%80.27M-2.54%81.22M-2.51%82.28M
Long-term receivables -5.88%1.83B70.28%2.24B46.34%1.95B-13.40%1.31B-33.13%1.33B-41.93%1.52B-42.66%1.99B-24.12%2.61B35.05%3.47B-7.62%3.44B
Associated company interest -52.97%11.5B-15.40%16.69B-3.90%24.45B1,897.23%19.73B2,146.47%25.45B-10.93%987.77M-25.33%1.13B-29.42%1.11B-4.67%1.52B-6.09%1.57B
Interests in Joint Venture --------------------38.70%41.55B39.21%37.14B38.99%29.96B18.78%26.68B-10.46%21.56B
Other investments -11.68%6.72M-40.46%5.91M-21.63%7.6M4.87%9.92M1.47%9.7M37.52%9.46M69.96%9.56M6.24%6.88M-32.14%5.63M-47.31%6.48M
Intangible assets 300.34%143.93M-15.42%32.08M-4.90%35.95M-8.52%37.94M-94.34%37.81M-93.29%41.47M-29.07%668.16M-34.70%618.06M12.18%941.95M54.68%946.56M
Other illiquid assets 18.84%130.27M45.82%128.07M35.81%109.62M12.10%87.83M-33.30%80.72M-32.93%78.35M-17.06%121.02M-18.25%116.83M38.95%145.92M66.03%142.92M
Total non-current assets -44.81%14.93B-8.51%19.85B-1.45%27.06B-51.78%21.7B-36.44%27.46B22.84%44.99B22.57%43.2B20.66%36.63B15.95%35.25B-7.50%30.36B
Total assets -13.94%48.63B-0.49%55.15B10.55%56.51B10.96%55.43B1.09%51.11B4.12%49.95B-5.60%50.56B-2.84%47.97B18.08%53.56B17.28%49.37B
Liabilities
Current liabilities
Accounts payable 11.52%265.56M-18.96%297.28M-33.86%238.14M-66.26%366.83M-70.14%360.05M-25.49%1.09B-13.13%1.21B-5.25%1.46B-18.94%1.39B-17.19%1.54B
Notes payable 2.77%245.89M28.90%219.33M-8.16%239.26M-49.12%170.15M-83.33%260.53M-82.78%334.39M-52.98%1.56B-60.84%1.94B63.11%3.32B204.13%4.96B
Tax payable 15.76%4.25M-71.56%2.94M-44.11%3.67M288.46%10.34M846.75%6.56M-81.23%2.66M-93.72%693K-65.11%14.18M-18.17%11.03M198.21%40.63M
Short-term borrowing -41.12%570M164.14%924.5M-6.43%968M-83.85%350M-70.31%1.03B-52.14%2.17B-47.59%3.48B-28.02%4.53B49.00%6.65B36.09%6.29B
Bank loans and overdrafts ---------71.88%2.7M-98.08%7.5M-98.19%9.6M79.83%390.6M260.48%529.9M986.00%217.2M635.00%147M0.00%20M
Provision-current liabilities -69.04%593.51M-23.32%1.47B0.00%1.92B0.00%1.92B0.00%1.92B0.00%1.92B--1.92B--1.92B--------
Other current liabilities 7,384.06%20.66B-9.46%264.67M-37.30%276.02M-89.23%292.32M-71.56%440.23M-32.17%2.71B-18.80%1.55B104.86%4B-12.86%1.91B-1.57%1.95B
Total current liabilities 512.83%22.34B2.07%3.18B-9.52%3.64B-63.84%3.11B-60.69%4.03B-38.83%8.61B-23.66%10.25B-4.90%14.08B28.67%13.42B46.12%14.81B
Net current assets -55.98%11.36B4.93%32.12B31.47%25.8B937.40%30.61B778.36%19.62B-33.81%-3.66B-159.15%-2.89B-164.83%-2.73B8.00%4.89B595.60%4.21B
Total assets less current liabilities -50.26%26.29B-0.64%51.98B12.27%52.86B26.55%52.31B16.80%47.08B21.96%41.34B0.43%40.31B-1.95%33.9B14.92%40.14B8.14%34.57B
Non-current liabilities
Long-term bank loan ------------------2.7M-98.03%7.5M----1,805.00%381M1,626.67%518M-50.00%20M
Other non-current liabilities 4.65%96.09M-11.25%84.82M-12.45%91.82M-38.77%95.58M-29.65%104.87M-0.70%156.09M-10.54%149.07M-7.23%157.18M-5.82%166.64M64.38%169.43M
Total non-current liabilities 4.65%96.09M-11.25%84.82M-14.65%91.82M-41.57%95.58M-27.84%107.57M-69.60%163.59M-78.23%149.07M184.11%538.18M230.84%684.64M32.40%189.43M
Total liabilities 500.34%22.43B1.67%3.26B-9.66%3.74B-63.43%3.21B-60.22%4.14B-39.96%8.78B-26.31%10.4B-2.51%14.62B32.60%14.11B45.93%14.99B
Total assets less total liabilities -50.36%26.2B-0.62%51.89B12.33%52.77B26.82%52.22B16.97%46.98B23.43%41.17B1.80%40.16B-2.98%33.36B13.64%39.45B8.03%34.38B
Total equity and non-current liabilities -50.26%26.29B-0.64%51.98B12.27%52.86B26.55%52.31B16.80%47.08B21.96%41.34B0.43%40.31B-1.95%33.9B14.92%40.14B8.14%34.57B
Equity
Share capital 0.00%397.18M0.00%397.18M0.00%397.18M0.00%397.18M0.00%397.18M0.00%397.18M0.00%397.18M0.00%397.18M0.00%397.18M0.00%397.18M
Reserve -52.11%24.71B-0.64%50.72B12.64%51.6B21.74%51.05B15.86%45.81B27.50%41.93B3.20%39.54B-1.63%32.89B13.53%38.31B8.96%33.43B
Shareholders' Equity -51.71%25.11B-0.64%51.12B12.54%52B21.54%51.45B15.70%46.21B27.17%42.33B3.17%39.93B-1.61%33.29B13.38%38.71B8.85%33.83B
Non-controlling interest 40.34%1.08B0.19%773.03M0.15%772.92M166.84%771.57M239.04%771.77M-1,717.91%-1.15B-69.40%227.63M-87.03%71.35M28.88%743.93M-26.19%549.92M
Total equity -50.36%26.2B-0.62%51.89B12.33%52.77B26.82%52.22B16.97%46.98B23.43%41.17B1.80%40.16B-2.98%33.36B13.64%39.45B8.03%34.38B
Total equity and total liabilities -13.94%48.63B-0.49%55.15B10.55%56.51B10.96%55.43B1.09%51.11B4.12%49.95B-5.60%50.56B-2.84%47.97B18.08%53.56B17.28%49.37B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--------------Unqualified Opinion
Auditor --Grant Thornton (Hong Kong) Certified Public Accountants Limited--Grant Thornton (Hong Kong) Certified Public Accountants Limited--Grant Thornton (Hong Kong) Certified Public Accountants Limited--Grant Thornton (Hong Kong) Certified Public Accountants Limited--Grant Thornton (Hong Kong) Certified Public Accountants Limited

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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