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01375 CC SECURITIES

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  • 1.880
  • +0.030+1.62%
Not Open Dec 12 16:08 CST
8.73BMarket Cap47.00P/E (TTM)

CC SECURITIES Key Stats

All
YOY yoy
Hide blank lines yoy
(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
Cash flow from operating activities
Earning before tax
----
9.57%179.4M
----
87.86%202.22M
----
225.54%163.73M
----
-80.46%107.64M
----
-156.11%-130.42M
Profit adjustment
Interest expense - adjustment
----
-12.29%150.48M
----
-18.49%334.66M
----
-19.78%171.55M
----
-7.36%410.56M
----
-5.27%213.84M
Investment loss (gain)
----
149.48%22.18M
----
42.13%-58.65M
----
-88.97%-44.83M
----
39.75%-101.35M
----
78.58%-23.72M
Impairment and provisions:
----
295.00%26.16M
----
-62.26%55.04M
----
-95.87%6.62M
----
-60.99%145.85M
----
9.84%160.57M
-Other impairments and provisions
----
295.00%26.16M
----
-62.26%55.04M
----
-95.87%6.62M
----
-60.99%145.85M
----
9.84%160.57M
Revaluation surplus:
----
345.31%120.7M
----
-78.09%96.66M
----
-110.64%-49.2M
----
190.14%441.22M
----
382.40%462.65M
Asset sale loss (gain):
----
-43.98%676.24K
----
23.95%1.61M
----
139.44%1.21M
----
-13.73%1.3M
----
97.42%504.18K
-Loss (gain) on sale of property, machinery and equipment
----
-43.98%676.24K
----
23.95%1.61M
----
139.44%1.21M
----
-13.73%1.3M
----
97.42%504.18K
Depreciation and amortization:
----
1.52%93.21M
----
9.42%186.53M
----
10.78%91.81M
----
8.95%170.47M
----
11.52%82.88M
-Amortization of intangible assets
----
23.94%34.84M
----
23.29%59.47M
----
22.15%28.11M
----
27.16%48.23M
----
29.68%23.01M
-Other depreciation and amortization
----
6.82%9.2M
----
13.69%17.42M
----
34.28%8.62M
----
21.86%15.32M
----
4.83%6.42M
Exchange Loss (gain)
----
114.25%167.33K
----
77.42%-387.8K
----
60.72%-1.17M
----
-8.83%-1.72M
----
-1,163.63%-2.99M
Change of operating capital
Accounts receivable (increase)decrease
----
235.82%503.58M
----
-134.29%-415.29M
----
-115.29%-370.78M
----
175.60%1.21B
----
234.87%2.43B
Accounts payable increase (decrease)
----
58.45%-215.75M
----
-187.26%-858.65M
----
-15.26%-519.22M
----
-75.19%-298.91M
----
-326.41%-450.47M
Special items of business
----
-73.24%-23.96M
----
86.81%-11.04M
----
87.69%-13.83M
----
-64.98%-83.66M
----
-27.93%-112.39M
Adjustment items of business operations
538.06%5.22B
260.06%880.8M
139.85%752.02M
-121.87%-456.26M
-48.58%-1.19B
-120.09%-550.29M
-76.14%-1.89B
330.34%2.09B
1.60%-801.95M
329.18%2.74B
Net cash from operations
538.06%5.22B
251.89%856.85M
139.85%752.02M
-123.34%-467.3M
-48.58%-1.19B
-121.48%-564.12M
-76.14%-1.89B
309.38%2B
1.60%-801.95M
304.73%2.63B
Cash flow from investment activities
Dividend received - investment
-49.79%34.21M
-46.10%33.01M
-96.15%706.14K
70.80%90.97M
-7.51%68.14M
124.44%61.24M
139.68%18.35M
-58.27%53.26M
13.47%73.67M
-44.60%27.29M
Sale of fixed assets
11,140.03%4.6M
380.05%1.53M
68.74%385.13K
138.01%719.94K
-88.31%40.92K
41.57%318.1K
-10.56%228.23K
-76.45%302.48K
-32.12%350.03K
18.68%224.69K
Purchase of fixed assets
44.34%-77.04M
50.05%-52M
24.77%-19.77M
34.17%-149.39M
18.67%-138.42M
-11.03%-104.12M
77.30%-26.28M
-2.86%-226.95M
-157.68%-170.2M
-164.69%-93.78M
Recovery of cash from investments
-85.65%220.55M
-91.09%144.73M
-99.82%1.93M
--1.95B
194.05%1.54B
746.77%1.62B
1,292.15%1.07B
----
-43.98%522.6M
-31.36%191.78M
Cash on investment
----
----
----
----
----
----
----
---1.28B
----
----
Net cash from investment operations
-87.57%182.32M
-91.95%127.27M
-101.57%-16.75M
230.25%1.89B
243.90%1.47B
1,159.90%1.58B
3,584.16%1.07B
-203.95%-1.45B
-54.26%426.43M
-57.22%125.52M
Net cash before financing
1,864.82%5.4B
-3.26%984.11M
189.68%735.27M
158.58%1.42B
173.21%274.94M
-63.03%1.02B
25.60%-819.87M
25.07%550.62M
-420.00%-375.52M
378.13%2.75B
Cash flow from financing activities
New borrowing
-11.02%7M
-11.02%7M
--7M
-91.69%7.87M
-91.79%7.87M
-84.12%7.87M
----
846.97%94.7M
-13.72%95.78M
395.48%49.55M
Refund
48.24%-4.24B
32.25%-3.41B
11.38%-1.68B
30.68%-9.5B
24.42%-8.19B
38.69%-5.04B
52.82%-1.9B
-37.28%-13.7B
-38.75%-10.83B
-82.78%-8.22B
Issuance of bonds
-22.22%6B
-45.10%3.24B
-56.40%1.46B
-28.60%8.72B
-22.98%7.71B
-14.51%5.89B
-33.58%3.35B
2.29%12.22B
11.91%10.01B
-4.64%6.89B
Dividends paid - financing
-9.16%-300.56M
11.04%-190.08M
-6.33%-142.36M
32.32%-357.08M
32.34%-275.34M
19.62%-213.67M
2.22%-133.89M
22.20%-527.63M
-21.60%-406.95M
12.02%-265.82M
Other items of the financing business
61.89%-65.28M
74.97%-38.8M
54.67%-43.64M
1.18%-200.08M
-166.48%-171.31M
-277.23%-154.99M
-428.22%-96.27M
-16.60%-202.46M
3.78%-64.29M
1.51%-41.09M
Net cash from financing operations
252.59%1.4B
-181.37%-400.96M
-132.52%-398.21M
37.51%-1.33B
23.47%-917.09M
131.10%492.74M
40.57%1.22B
-290.44%-2.13B
-241.55%-1.2B
-166.06%-1.58B
Effect of rate
-253.40%-1.1M
-114.25%-167.33K
-81.47%271.78K
-77.42%387.8K
-76.02%716.41K
-60.72%1.17M
-32.73%1.47M
8.83%1.72M
212.04%2.99M
1,163.63%2.99M
Net Cash
1,159.16%6.8B
-61.38%583.16M
-16.74%337.06M
106.09%95.82M
59.20%-642.15M
29.34%1.51B
275.44%404.83M
-201.18%-1.57B
-263.27%-1.57B
-17.13%1.17B
Begining period cash
0.72%13.39B
0.72%13.39B
0.72%13.39B
-10.58%13.3B
-10.58%13.3B
-10.58%13.3B
-10.58%13.3B
11.70%14.87B
11.70%14.87B
11.70%14.87B
Cash at the end
59.56%20.19B
-5.62%13.98B
0.20%13.73B
0.72%13.39B
-4.84%12.66B
-7.68%14.81B
-6.41%13.7B
-10.58%13.3B
-6.85%13.3B
8.96%16.04B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
(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
Cash flow from operating activities
Earning before tax ----9.57%179.4M----87.86%202.22M----225.54%163.73M-----80.46%107.64M-----156.11%-130.42M
Profit adjustment
Interest expense - adjustment -----12.29%150.48M-----18.49%334.66M-----19.78%171.55M-----7.36%410.56M-----5.27%213.84M
Investment loss (gain) ----149.48%22.18M----42.13%-58.65M-----88.97%-44.83M----39.75%-101.35M----78.58%-23.72M
Impairment and provisions: ----295.00%26.16M-----62.26%55.04M-----95.87%6.62M-----60.99%145.85M----9.84%160.57M
-Other impairments and provisions ----295.00%26.16M-----62.26%55.04M-----95.87%6.62M-----60.99%145.85M----9.84%160.57M
Revaluation surplus: ----345.31%120.7M-----78.09%96.66M-----110.64%-49.2M----190.14%441.22M----382.40%462.65M
Asset sale loss (gain): -----43.98%676.24K----23.95%1.61M----139.44%1.21M-----13.73%1.3M----97.42%504.18K
-Loss (gain) on sale of property, machinery and equipment -----43.98%676.24K----23.95%1.61M----139.44%1.21M-----13.73%1.3M----97.42%504.18K
Depreciation and amortization: ----1.52%93.21M----9.42%186.53M----10.78%91.81M----8.95%170.47M----11.52%82.88M
-Amortization of intangible assets ----23.94%34.84M----23.29%59.47M----22.15%28.11M----27.16%48.23M----29.68%23.01M
-Other depreciation and amortization ----6.82%9.2M----13.69%17.42M----34.28%8.62M----21.86%15.32M----4.83%6.42M
Exchange Loss (gain) ----114.25%167.33K----77.42%-387.8K----60.72%-1.17M-----8.83%-1.72M-----1,163.63%-2.99M
Change of operating capital
Accounts receivable (increase)decrease ----235.82%503.58M-----134.29%-415.29M-----115.29%-370.78M----175.60%1.21B----234.87%2.43B
Accounts payable increase (decrease) ----58.45%-215.75M-----187.26%-858.65M-----15.26%-519.22M-----75.19%-298.91M-----326.41%-450.47M
Special items of business -----73.24%-23.96M----86.81%-11.04M----87.69%-13.83M-----64.98%-83.66M-----27.93%-112.39M
Adjustment items of business operations 538.06%5.22B260.06%880.8M139.85%752.02M-121.87%-456.26M-48.58%-1.19B-120.09%-550.29M-76.14%-1.89B330.34%2.09B1.60%-801.95M329.18%2.74B
Net cash from operations 538.06%5.22B251.89%856.85M139.85%752.02M-123.34%-467.3M-48.58%-1.19B-121.48%-564.12M-76.14%-1.89B309.38%2B1.60%-801.95M304.73%2.63B
Cash flow from investment activities
Dividend received - investment -49.79%34.21M-46.10%33.01M-96.15%706.14K70.80%90.97M-7.51%68.14M124.44%61.24M139.68%18.35M-58.27%53.26M13.47%73.67M-44.60%27.29M
Sale of fixed assets 11,140.03%4.6M380.05%1.53M68.74%385.13K138.01%719.94K-88.31%40.92K41.57%318.1K-10.56%228.23K-76.45%302.48K-32.12%350.03K18.68%224.69K
Purchase of fixed assets 44.34%-77.04M50.05%-52M24.77%-19.77M34.17%-149.39M18.67%-138.42M-11.03%-104.12M77.30%-26.28M-2.86%-226.95M-157.68%-170.2M-164.69%-93.78M
Recovery of cash from investments -85.65%220.55M-91.09%144.73M-99.82%1.93M--1.95B194.05%1.54B746.77%1.62B1,292.15%1.07B-----43.98%522.6M-31.36%191.78M
Cash on investment -------------------------------1.28B--------
Net cash from investment operations -87.57%182.32M-91.95%127.27M-101.57%-16.75M230.25%1.89B243.90%1.47B1,159.90%1.58B3,584.16%1.07B-203.95%-1.45B-54.26%426.43M-57.22%125.52M
Net cash before financing 1,864.82%5.4B-3.26%984.11M189.68%735.27M158.58%1.42B173.21%274.94M-63.03%1.02B25.60%-819.87M25.07%550.62M-420.00%-375.52M378.13%2.75B
Cash flow from financing activities
New borrowing -11.02%7M-11.02%7M--7M-91.69%7.87M-91.79%7.87M-84.12%7.87M----846.97%94.7M-13.72%95.78M395.48%49.55M
Refund 48.24%-4.24B32.25%-3.41B11.38%-1.68B30.68%-9.5B24.42%-8.19B38.69%-5.04B52.82%-1.9B-37.28%-13.7B-38.75%-10.83B-82.78%-8.22B
Issuance of bonds -22.22%6B-45.10%3.24B-56.40%1.46B-28.60%8.72B-22.98%7.71B-14.51%5.89B-33.58%3.35B2.29%12.22B11.91%10.01B-4.64%6.89B
Dividends paid - financing -9.16%-300.56M11.04%-190.08M-6.33%-142.36M32.32%-357.08M32.34%-275.34M19.62%-213.67M2.22%-133.89M22.20%-527.63M-21.60%-406.95M12.02%-265.82M
Other items of the financing business 61.89%-65.28M74.97%-38.8M54.67%-43.64M1.18%-200.08M-166.48%-171.31M-277.23%-154.99M-428.22%-96.27M-16.60%-202.46M3.78%-64.29M1.51%-41.09M
Net cash from financing operations 252.59%1.4B-181.37%-400.96M-132.52%-398.21M37.51%-1.33B23.47%-917.09M131.10%492.74M40.57%1.22B-290.44%-2.13B-241.55%-1.2B-166.06%-1.58B
Effect of rate -253.40%-1.1M-114.25%-167.33K-81.47%271.78K-77.42%387.8K-76.02%716.41K-60.72%1.17M-32.73%1.47M8.83%1.72M212.04%2.99M1,163.63%2.99M
Net Cash 1,159.16%6.8B-61.38%583.16M-16.74%337.06M106.09%95.82M59.20%-642.15M29.34%1.51B275.44%404.83M-201.18%-1.57B-263.27%-1.57B-17.13%1.17B
Begining period cash 0.72%13.39B0.72%13.39B0.72%13.39B-10.58%13.3B-10.58%13.3B-10.58%13.3B-10.58%13.3B11.70%14.87B11.70%14.87B11.70%14.87B
Cash at the end 59.56%20.19B-5.62%13.98B0.20%13.73B0.72%13.39B-4.84%12.66B-7.68%14.81B-6.41%13.7B-10.58%13.3B-6.85%13.3B8.96%16.04B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)

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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