BJ ENT WATER
00371
CITIC BANK
00998
PETROCHINA
00857
KERRY PPT
00683
CGS
06881
(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 | |
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Cash flow from operating activities | ||||||||||
Earning before tax | -79.21%36.78M | -53.84%210.79M | -22.83%176.92M | -20.55%456.71M | -15.20%229.26M | 9.12%574.84M | 88.32%270.34M | 342.74%526.78M | 395.88%143.56M | -15.25%118.98M |
Profit adjustment | ||||||||||
Interest (income) - adjustment | -16.42%-6.64M | -24.39%-9.51M | -54.61%-5.7M | 5.44%-7.64M | 24.50%-3.69M | 27.71%-8.08M | -2.67%-4.89M | -88.50%-11.18M | -144.75%-4.76M | -171.74%-5.93M |
Attributable subsidiary (profit) loss | 74.40%-1.07M | 37.51%-3.23M | -35.28%-4.18M | -624.68%-5.17M | -94.83%-3.09M | -548.43%-713K | -705.34%-1.59M | 106.49%159K | 384.78%262K | 57.82%-2.45M |
Impairment and provisions: | -103.90%-829K | 18.73%26.04M | 499.29%21.23M | 16.23%21.93M | -76.53%3.54M | -45.89%18.87M | 121.09%15.09M | 1,852.35%34.87M | 397.59%6.83M | -56.77%1.79M |
-Impairmen of inventory (reversal) | -99.51%90K | 63.44%20.24M | 732.54%18.47M | 8.93%12.38M | -76.68%2.22M | -48.96%11.37M | 663.72%9.52M | 13,904.40%22.27M | 1,942.62%1.25M | 130.43%159K |
-Impairment of trade receivables (reversal) | -151.63%-1.03M | -50.52%4.34M | 69.71%1.99M | 17.47%8.76M | -82.67%1.17M | -34.49%7.46M | 27.54%6.76M | 306.61%11.39M | 315.52%5.3M | -25.51%2.8M |
-Other impairments and provisions | -85.97%108K | 86.26%1.46M | 406.58%770K | 1,771.43%786K | 112.84%152K | -96.55%42K | -524.37%-1.18M | 203.75%1.22M | 697.14%279K | -487.13%-1.17M |
Revaluation surplus: | -213.25%-35.33M | -296.24%-20.64M | 936.51%31.2M | 47.08%-5.21M | 143.53%3.01M | 57.64%-9.84M | -112.44%-6.92M | -186.85%-23.24M | 45.64%-3.26M | -991.78%-8.1M |
-Other fair value changes | -213.25%-35.33M | -296.24%-20.64M | 936.51%31.2M | 47.08%-5.21M | 143.53%3.01M | 57.64%-9.84M | -112.44%-6.92M | -186.85%-23.24M | 45.64%-3.26M | -991.78%-8.1M |
Asset sale loss (gain): | -224.73%-1.15M | -697.98%-13.92M | 91,900.00%918K | 304.93%2.33M | 99.91%-1K | 94.95%-1.14M | -124.84%-1.08M | -24,095.70%-22.5M | -1,308.82%-479K | 99.67%-93K |
-Loss (gain) from sale of subsidiary company | ---1.01M | ---15.29M | ---- | ---- | ---- | -216.83%-1.1M | ---1.04M | --939K | ---- | ---- |
-Loss (gain) on sale of property, machinery and equipment | -114.71%-135K | -40.25%1.37M | 91,900.00%918K | 5,992.31%2.3M | 97.30%-1K | -8.33%-39K | -48.00%-37K | 61.29%-36K | 26.47%-25K | 99.43%-93K |
-Loss (gain) from selling other assets | ---- | ---- | ---- | --30K | ---- | ---- | ---- | ---23.41M | ---454K | ---- |
Depreciation and amortization: | -87.22%9.73M | -32.74%86.13M | 26.70%76.08M | 9.65%128.05M | 5.22%60.05M | 11.30%116.77M | 9.14%57.07M | 12.58%104.92M | 18.54%52.29M | 6.51%93.2M |
-Amortization of intangible assets | -98.73%197K | -37.15%20.06M | 6.40%15.54M | 18.41%31.91M | 6.51%14.6M | 14.27%26.95M | 18.33%13.71M | 2.60%23.59M | 11.76%11.59M | 3.66%22.99M |
-Other depreciation and amortization | -3.55%190K | -7.42%387K | -6.64%197K | -1.65%418K | -0.47%211K | 6.78%425K | 8.72%212K | 0.25%398K | -3.47%195K | -15.17%397K |
Financial expense | -94.26%1.77M | -12.82%41.35M | 85.93%30.79M | 70.05%47.43M | 21.10%16.56M | -65.35%27.89M | -76.86%13.67M | -3.85%80.49M | 34.29%59.08M | 6.95%83.72M |
Exchange Loss (gain) | 155.10%2.39M | -100.50%-5.58M | -192.41%-4.33M | -143.99%-2.78M | 842.95%4.69M | -30.11%6.32M | -121.09%-631K | 6,317.02%9.05M | 66.69%2.99M | 147.32%141K |
Special items | 432.73%45.28M | 27.21%15.58M | 37.32%8.5M | -56.82%12.25M | -62.11%6.19M | -25.37%28.37M | -36.11%16.34M | -52.87%38.02M | 42.02%25.57M | 137.77%80.67M |
Operating profit before the change of operating capital | -84.63%50.93M | -49.53%327.02M | 4.71%331.42M | -13.99%647.89M | -11.44%316.52M | 2.16%753.28M | 26.71%357.42M | 103.74%737.36M | 116.70%282.08M | 17.78%361.91M |
Change of operating capital | ||||||||||
Inventory (increase) decrease | 28.27%-4.67M | -185.16%-105.28M | 88.66%-6.52M | 156.67%123.63M | 61.93%-57.45M | -6.88%-218.16M | -296.04%-150.92M | -370.60%-204.11M | 288.44%76.98M | 45.24%-43.37M |
Accounts receivable (increase)decrease | -5.88%45M | -76.12%-84.86M | -88.06%47.82M | 3.00%-48.19M | 2.33%400.58M | 87.90%-49.67M | 323.81%391.47M | -1,093.53%-410.46M | -59.07%92.37M | 81.68%-34.39M |
Accounts payable increase (decrease) | -20.32%-36.71M | 437.83%232.38M | 90.41%-30.51M | -126.17%-68.79M | 19.41%-318.15M | -104.67%-30.41M | -480.64%-394.8M | 427.57%651.68M | 67.27%-67.99M | -35.32%123.53M |
prepayments (increase)decrease | -51.10%25.93M | 134.79%18.09M | 175.39%53.03M | -468.99%-52.01M | -154.71%-70.34M | 144.35%14.09M | 57.98%-27.62M | -932.76%-31.78M | -597.12%-65.73M | -86.59%3.82M |
Derivative financial instruments (increase) decrease | ---- | ---- | ---- | ---- | --1.01M | ---- | ---- | ---- | ---- | ---- |
Special items for working capital changes | 710.42%3.16M | -57.26%11.15M | -118.93%-518K | 275.94%26.1M | 0.11%2.74M | -2,406.69%-14.83M | 90.45%2.73M | -77.98%643K | 102.12%1.44M | 124.06%2.92M |
Cash from business operations | -78.81%83.65M | -36.61%398.5M | 43.59%394.73M | 38.37%628.63M | 54.19%274.9M | -38.88%454.3M | -44.14%178.29M | 79.37%743.34M | 250.89%319.15M | 67.36%414.41M |
Other taxs | 83.51%-10.99M | 29.15%-95.89M | -6.47%-66.68M | -1.87%-135.35M | 9.59%-62.63M | -30.82%-132.87M | -366.75%-69.27M | -150.45%-101.57M | 13.18%-14.84M | -154.94%-40.55M |
Interest received - operating | 75.42%6.64M | 24.39%9.51M | 2.60%3.78M | -5.44%7.64M | -24.50%3.69M | -27.71%8.08M | 2.67%4.89M | 88.50%11.18M | 144.75%4.76M | 171.74%5.93M |
Net cash from operations | -76.10%79.3M | -37.69%312.12M | 53.66%331.84M | 52.02%500.93M | 89.60%215.96M | -49.53%329.52M | -63.15%113.91M | 71.93%652.95M | 307.72%309.07M | 62.38%379.78M |
Cash flow from investment activities | ||||||||||
Dividend received - investment | -96.10%8K | 123.51%4.69M | -80.70%205K | 276.48%2.1M | 1,830.91%1.06M | -86.35%557K | -98.15%55K | -61.31%4.08M | -42.08%2.97M | -36.27%10.55M |
Decrease in deposits (increase) | 91.04%-3.23M | -237.24%-21.39M | -16.76%-36.11M | -239.44%-6.34M | 44.59%-30.92M | -85.96%4.55M | -38.61%-55.81M | 187.16%32.41M | ---40.26M | ---37.19M |
Sale of fixed assets | -6.58%667K | 8,916.07%5.05M | 78.95%714K | -62.42%56K | 256.25%399K | -99.17%149K | 36.59%112K | 5,716.61%17.86M | -79.19%82K | -98.90%307K |
Purchase of fixed assets | 83.08%-8.12M | 27.17%-69.62M | -37.92%-48.01M | -48.22%-95.59M | -10.82%-34.81M | -2.59%-64.49M | -52.93%-31.41M | 15.23%-62.86M | 23.23%-20.54M | -10.23%-74.15M |
Selling intangible assets | --55K | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Purchase of intangible assets | 98.93%-211K | 53.37%-25.4M | 24.86%-19.65M | -7.44%-54.47M | -251.09%-26.15M | -222.96%-50.7M | -13.42%-7.45M | -19.05%-15.7M | -4.32%-6.57M | 16.92%-13.19M |
Sale of subsidiaries | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --3.64M |
Acquisition of subsidiaries | ---13.78M | ---886K | ---- | ---- | ---- | 89.32%-1.8M | 89.32%-1.8M | ---16.86M | ---16.86M | ---- |
Recovery of cash from investments | -96.28%5.36M | 228.95%211.06M | 181.99%144.33M | -83.86%64.16M | -86.81%51.18M | -18.96%397.58M | 228.18%388.13M | 67.08%490.62M | 41.09%118.27M | 56.63%293.63M |
Cash on investment | 97.62%-3.74M | -745.48%-197.15M | -185.51%-157.47M | 94.54%-23.32M | 82.80%-55.15M | 35.40%-426.8M | -19.79%-320.58M | -118.62%-660.67M | -124.88%-267.63M | -77.14%-302.2M |
Other items in the investment business | ---- | ---244.62M | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -74.86%887K |
Net cash from investment operations | 80.17%-23M | -198.29%-338.27M | -22.87%-115.98M | 19.54%-113.4M | -228.28%-94.39M | 33.24%-140.95M | 87.53%-28.75M | -79.36%-211.12M | -267.60%-230.54M | -1,094.40%-117.71M |
Net cash before financing | -73.92%56.3M | -106.75%-26.15M | 77.56%215.86M | 105.51%387.52M | 42.77%121.57M | -57.32%188.57M | 8.44%85.15M | 68.59%441.83M | 499.95%78.52M | 16.98%262.08M |
Cash flow from financing activities | ||||||||||
New borrowing | ---- | 215.38%796.01M | -103.75%-7.49M | 58.81%252.4M | --200M | -86.88%158.93M | ---- | 12.62%1.21B | 195.80%1.21B | 1,027.33%1.08B |
Refund | ---- | -52.48%-862.89M | 47.70%-88.7M | -253.69%-565.9M | -339.68%-169.61M | 88.50%-160M | 96.64%-38.58M | -15.80%-1.39B | -52.02%-1.15B | -891.89%-1.2B |
Issuing shares | ---- | ---- | ---- | ---- | ---- | -98.68%1.83M | ---- | -63.10%138.22M | ---- | --374.58M |
Interest paid - financing | ---- | -45.61%-41.07M | -92.27%-22.99M | -37.63%-28.2M | -16.01%-11.96M | 47.37%-20.49M | 56.22%-10.31M | 37.45%-38.94M | 43.43%-23.55M | 20.21%-62.25M |
Dividends paid - financing | 64.25%-5.99M | 88.00%-28.24M | 56.55%-16.75M | -51.67%-235.36M | ---38.54M | 41.54%-155.17M | ---- | -179.75%-265.42M | -494.92%-263.14M | -14.12%-94.88M |
Issuance expenses and redemption of securities expenses | ---- | 57.26%-35.2M | 34.62%-36.64M | -339.24%-82.37M | -599.69%-56.04M | 91.42%-18.75M | 91.98%-8.01M | -117.68%-218.55M | -350.78%-99.92M | -193.48%-100.4M |
Pledged bank deposit (increase) decrease | ---- | ---- | ---- | ---- | ---- | ---- | ---- | 200.00%114.91M | ---- | -456.26%-114.91M |
Other items of the financing business | ---1.53M | -103.05%-9.41M | ---- | 1,871.04%308.49M | -50.95%7.66M | -89.60%15.65M | -89.06%15.62M | 23.05%150.47M | -73.67%142.81M | 2,454.33%122.28M |
Net cash from financing operations | 94.36%-10.27M | 46.50%-199.61M | -126.85%-182.17M | -84.97%-373.11M | -55.34%-80.3M | 36.34%-201.71M | 72.79%-51.69M | -1,647.91%-316.84M | -350.02%-189.96M | 93.05%-18.13M |
Effect of rate | 78.04%-3.53M | 163.03%41.43M | 64.94%-16.07M | -2,878.30%-65.73M | -987.40%-45.83M | -109.01%-2.21M | 151.39%5.17M | 799.37%24.51M | -1,484.30%-10.05M | -152.91%-3.5M |
Net Cash | 36.64%46.04M | -1,666.61%-225.76M | -18.36%33.69M | 209.62%14.41M | 23.34%41.27M | -110.52%-13.15M | 130.02%33.46M | -48.76%124.99M | -282.64%-111.44M | 763.75%243.95M |
Begining period cash | -36.56%319.8M | -9.24%504.14M | -9.24%504.14M | -2.69%555.46M | -2.69%555.46M | 35.48%570.81M | 35.48%570.81M | 132.94%421.32M | 132.94%421.32M | -14.28%180.87M |
Cash at the end | -30.56%362.31M | -36.56%319.8M | -5.29%521.76M | -9.24%504.14M | -9.61%550.89M | -2.69%555.46M | 103.26%609.43M | 35.48%570.81M | 96.64%299.83M | 132.94%421.32M |
Cash balance analysis | ||||||||||
Cash and bank balance | -8.61%160.34M | ---- | -45.97%175.45M | ---- | --324.71M | ---- | ---- | ---- | ---- | ---- |
Cash and cash equivalent balance | -30.56%362.31M | ---- | -5.29%521.76M | ---- | --550.89M | ---- | ---- | --570.81M | ---- | ---- |
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 | -- | Unqualified Opinion | -- | Unqualified Opinion | -- | Unqualified Opinion |
Auditor | -- | Ernst & Young | -- | Ernst & Young | -- | Ernst & Young | -- | Ernst & Young | -- | 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.