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01766 CRRC

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  • 5.180
  • +0.100+1.97%
Trading Oct 2 10:39 CST
148.66BMarket Cap10.91P/E (TTM)

CRRC Key Stats

All
YOY yoy
Hide blank lines yoy
(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
Cash flow from operating activities
Earning before tax
21.39%5.51B
----
1.52%14.57B
----
11.34%4.54B
----
15.58%14.35B
----
-16.06%4.08B
----
Profit adjustment
Investment loss (gain)
-1.61%-348.31M
----
-169.25%-1.41B
----
-821.59%-342.8M
----
-115.48%-522.51M
----
133.93%47.51M
----
Impairment and provisions:
-20.88%365.23M
----
101.71%1.87B
----
55.30%461.63M
----
-0.08%926.44M
----
-33.59%297.25M
----
-Other impairments and provisions
-57.28%119.19M
----
304.16%1.26B
----
215.88%279.02M
----
650.11%312.16M
----
-72.62%88.33M
----
Revaluation surplus:
-10.91%-257.95M
----
19.96%-392.04M
----
15.81%-232.57M
----
-58.04%-489.77M
----
-261.07%-276.24M
----
Asset sale loss (gain):
89.78%-27.07M
----
84.85%-384.77M
----
51.81%-264.83M
----
-159.97%-2.54B
----
-11.13%-549.56M
----
-Loss (gain) on sale of property, machinery and equipment
89.78%-27.07M
----
84.85%-384.77M
----
51.81%-264.83M
----
-159.97%-2.54B
----
-11.13%-549.56M
----
Depreciation and amortization:
3.41%3.97B
----
-0.85%7.87B
----
-4.82%3.84B
----
1.66%7.94B
----
5.16%4.03B
----
-Amortization of intangible assets
11.86%565.06M
----
-15.58%1.04B
----
-33.14%505.13M
----
21.38%1.24B
----
61.40%755.48M
----
-Other depreciation and amortization
-32.73%47.1M
----
67.14%196.38M
----
86.58%70.02M
----
41.04%117.5M
----
3.83%37.53M
----
Financial expense
937.09%276.16M
----
3.65%627.12M
----
-81.40%26.63M
----
-45.63%605.05M
----
-67.50%143.19M
----
Change of operating capital
Inventory (increase) decrease
-4.55%-19.56B
----
-106.35%-3.88B
----
-23.32%-18.71B
----
-268.43%-1.88B
----
-26.72%-15.17B
----
Accounts receivable (increase)decrease
138.72%6.01B
----
-210.67%-38.83B
----
-130.94%-15.53B
----
51.93%-12.5B
----
76.61%-6.72B
----
Accounts payable increase (decrease)
-46.28%6.21B
----
93.26%34.77B
----
-5.42%11.56B
----
-27.71%17.99B
----
-40.12%12.22B
----
Special items of business
-137.66%-306.38M
----
-263.60%-104.43M
----
-341.91%-128.92M
----
141.88%63.83M
----
78.64%-29.17M
----
Adjustment items of business operations
114.69%2.15B
300.31%14.49B
-37.94%14.83B
-140.49%-3.99B
-671.15%-14.65B
19.80%-7.23B
15.16%23.89B
795.04%9.86B
83.38%-1.9B
30.24%-9.02B
Net cash from operations
112.48%1.85B
300.31%14.49B
-38.54%14.72B
-140.49%-3.99B
-666.17%-14.78B
19.80%-7.23B
16.32%23.95B
795.04%9.86B
83.33%-1.93B
30.24%-9.02B
Cash flow from investment activities
Dividend received - investment
-43.91%238.49M
-2.30%74.57M
-1.69%995.64M
-17.72%507.19M
32.67%425.21M
-46.57%76.32M
40.89%1.01B
2.95%616.42M
-17.79%320.5M
16.31%142.84M
Sale of fixed assets
-3.08%84.73M
-41.70%27.52M
-87.40%152.03M
-86.30%101.03M
-82.47%87.42M
-92.81%47.19M
-11.65%1.21B
-1.40%737.64M
286.83%498.59M
3,802.84%656.57M
Purchase of fixed assets
-47.18%-3.58B
17.43%-905.09M
-9.25%-8.1B
-33.07%-4.15B
-21.50%-2.43B
-20.88%-1.1B
-25.58%-7.42B
24.32%-3.12B
16.28%-2B
18.90%-906.83M
Recovery of cash from investments
-14.78%11.39B
-44.94%4.32B
-22.82%32.78B
-32.37%17.71B
-29.17%13.37B
17.35%7.85B
-13.20%42.47B
-26.61%26.19B
-9.94%18.87B
14.36%6.69B
Cash on investment
-18.47%-20.56B
46.06%-6.47B
22.46%-35.7B
31.26%-20.92B
23.46%-17.35B
1.80%-12B
21.91%-46.04B
38.73%-30.44B
37.62%-22.67B
16.42%-12.22B
Other items in the investment business
----
----
-5,737.52%-1.31B
----
----
----
-454.39%-22.38M
---247K
---247K
----
Net cash from investment operations
-110.33%-12.42B
42.34%-2.95B
-27.29%-11.18B
-12.29%-6.75B
-18.48%-5.91B
9.14%-5.12B
35.84%-8.78B
63.81%-6.01B
71.12%-4.99B
42.16%-5.64B
Net cash before financing
48.86%-10.58B
193.34%11.53B
-76.64%3.54B
-379.41%-10.75B
-199.18%-20.69B
15.69%-12.36B
119.65%15.17B
121.32%3.85B
76.02%-6.91B
35.37%-14.66B
Cash flow from financing activities
New borrowing
-44.96%5.36B
-28.81%2.52B
9.13%28.97B
58.11%23.95B
-33.39%9.74B
-64.38%3.54B
-46.81%26.55B
-54.87%15.15B
-45.61%14.62B
-40.94%9.93B
Refund
18.40%-11.79B
45.69%-2.89B
14.64%-47.51B
-16.16%-32.76B
-16.00%-14.45B
5.22%-5.32B
43.69%-55.65B
54.95%-28.21B
66.31%-12.45B
63.54%-5.62B
Issuance of bonds
----
----
-12.21%23B
-15.84%17B
161.90%11B
--7B
-52.54%26.2B
-56.28%20.2B
-86.00%4.2B
----
Dividends paid - financing
15.76%-686.06M
44.68%-251.22M
-31.49%-9.62B
-15.61%-7.73B
2.31%-814.45M
17.70%-454.13M
-3.90%-7.32B
-5.84%-6.68B
2.88%-833.68M
-113.40%-551.8M
Absorb investment income
353.15%4.62B
-98.33%11.5M
166.50%1.2B
246.01%1.03B
241.14%1.02B
433.89%687.03M
-94.52%450.69M
-96.33%298.86M
-51.95%298.86M
-73.95%128.68M
Other items of the financing business
-90.03%-382.46M
-143.79%-144.8M
2.07%-1.41B
73.15%-269.48M
77.04%-201.26M
8.41%-59.4M
-309.52%-1.44B
-232.97%-1B
-199.88%-876.59M
-105.79%-64.85M
Net cash from financing operations
-145.69%-2.88B
-114.06%-757.65M
52.13%-5.37B
598.11%1.22B
27.07%6.3B
40.86%5.39B
-257.67%-11.21B
-101.24%-245.69M
-75.90%4.95B
-79.62%3.82B
Effect of rate
-151.90%-126.11M
-106.02%-61.55M
-23.65%281.86M
-71.88%116.81M
43.04%242.97M
-468.96%-29.88M
163.57%369.15M
248.40%415.36M
276.48%169.87M
93.95%-5.25M
Net Cash
6.50%-13.46B
254.62%10.78B
-146.02%-1.82B
-364.48%-9.52B
-634.20%-14.39B
35.66%-6.97B
-71.75%3.96B
110.58%3.6B
76.32%-1.96B
-176.69%-10.83B
Begining period cash
-3.24%46.07B
-3.24%46.07B
10.00%47.61B
10.00%47.61B
10.00%47.61B
10.00%47.61B
45.03%43.28B
45.03%43.28B
45.03%43.28B
45.03%43.28B
Cash at the end
-2.91%32.49B
39.83%56.78B
-3.24%46.07B
-19.22%38.2B
-19.35%33.46B
25.18%40.61B
10.00%47.61B
51.24%47.29B
93.26%41.49B
25.55%32.44B
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)
Audit Opinions
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
Auditor
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
(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
Cash flow from operating activities
Earning before tax 21.39%5.51B----1.52%14.57B----11.34%4.54B----15.58%14.35B-----16.06%4.08B----
Profit adjustment
Investment loss (gain) -1.61%-348.31M-----169.25%-1.41B-----821.59%-342.8M-----115.48%-522.51M----133.93%47.51M----
Impairment and provisions: -20.88%365.23M----101.71%1.87B----55.30%461.63M-----0.08%926.44M-----33.59%297.25M----
-Other impairments and provisions -57.28%119.19M----304.16%1.26B----215.88%279.02M----650.11%312.16M-----72.62%88.33M----
Revaluation surplus: -10.91%-257.95M----19.96%-392.04M----15.81%-232.57M-----58.04%-489.77M-----261.07%-276.24M----
Asset sale loss (gain): 89.78%-27.07M----84.85%-384.77M----51.81%-264.83M-----159.97%-2.54B-----11.13%-549.56M----
-Loss (gain) on sale of property, machinery and equipment 89.78%-27.07M----84.85%-384.77M----51.81%-264.83M-----159.97%-2.54B-----11.13%-549.56M----
Depreciation and amortization: 3.41%3.97B-----0.85%7.87B-----4.82%3.84B----1.66%7.94B----5.16%4.03B----
-Amortization of intangible assets 11.86%565.06M-----15.58%1.04B-----33.14%505.13M----21.38%1.24B----61.40%755.48M----
-Other depreciation and amortization -32.73%47.1M----67.14%196.38M----86.58%70.02M----41.04%117.5M----3.83%37.53M----
Financial expense 937.09%276.16M----3.65%627.12M-----81.40%26.63M-----45.63%605.05M-----67.50%143.19M----
Change of operating capital
Inventory (increase) decrease -4.55%-19.56B-----106.35%-3.88B-----23.32%-18.71B-----268.43%-1.88B-----26.72%-15.17B----
Accounts receivable (increase)decrease 138.72%6.01B-----210.67%-38.83B-----130.94%-15.53B----51.93%-12.5B----76.61%-6.72B----
Accounts payable increase (decrease) -46.28%6.21B----93.26%34.77B-----5.42%11.56B-----27.71%17.99B-----40.12%12.22B----
Special items of business -137.66%-306.38M-----263.60%-104.43M-----341.91%-128.92M----141.88%63.83M----78.64%-29.17M----
Adjustment items of business operations 114.69%2.15B300.31%14.49B-37.94%14.83B-140.49%-3.99B-671.15%-14.65B19.80%-7.23B15.16%23.89B795.04%9.86B83.38%-1.9B30.24%-9.02B
Net cash from operations 112.48%1.85B300.31%14.49B-38.54%14.72B-140.49%-3.99B-666.17%-14.78B19.80%-7.23B16.32%23.95B795.04%9.86B83.33%-1.93B30.24%-9.02B
Cash flow from investment activities
Dividend received - investment -43.91%238.49M-2.30%74.57M-1.69%995.64M-17.72%507.19M32.67%425.21M-46.57%76.32M40.89%1.01B2.95%616.42M-17.79%320.5M16.31%142.84M
Sale of fixed assets -3.08%84.73M-41.70%27.52M-87.40%152.03M-86.30%101.03M-82.47%87.42M-92.81%47.19M-11.65%1.21B-1.40%737.64M286.83%498.59M3,802.84%656.57M
Purchase of fixed assets -47.18%-3.58B17.43%-905.09M-9.25%-8.1B-33.07%-4.15B-21.50%-2.43B-20.88%-1.1B-25.58%-7.42B24.32%-3.12B16.28%-2B18.90%-906.83M
Recovery of cash from investments -14.78%11.39B-44.94%4.32B-22.82%32.78B-32.37%17.71B-29.17%13.37B17.35%7.85B-13.20%42.47B-26.61%26.19B-9.94%18.87B14.36%6.69B
Cash on investment -18.47%-20.56B46.06%-6.47B22.46%-35.7B31.26%-20.92B23.46%-17.35B1.80%-12B21.91%-46.04B38.73%-30.44B37.62%-22.67B16.42%-12.22B
Other items in the investment business ---------5,737.52%-1.31B-------------454.39%-22.38M---247K---247K----
Net cash from investment operations -110.33%-12.42B42.34%-2.95B-27.29%-11.18B-12.29%-6.75B-18.48%-5.91B9.14%-5.12B35.84%-8.78B63.81%-6.01B71.12%-4.99B42.16%-5.64B
Net cash before financing 48.86%-10.58B193.34%11.53B-76.64%3.54B-379.41%-10.75B-199.18%-20.69B15.69%-12.36B119.65%15.17B121.32%3.85B76.02%-6.91B35.37%-14.66B
Cash flow from financing activities
New borrowing -44.96%5.36B-28.81%2.52B9.13%28.97B58.11%23.95B-33.39%9.74B-64.38%3.54B-46.81%26.55B-54.87%15.15B-45.61%14.62B-40.94%9.93B
Refund 18.40%-11.79B45.69%-2.89B14.64%-47.51B-16.16%-32.76B-16.00%-14.45B5.22%-5.32B43.69%-55.65B54.95%-28.21B66.31%-12.45B63.54%-5.62B
Issuance of bonds ---------12.21%23B-15.84%17B161.90%11B--7B-52.54%26.2B-56.28%20.2B-86.00%4.2B----
Dividends paid - financing 15.76%-686.06M44.68%-251.22M-31.49%-9.62B-15.61%-7.73B2.31%-814.45M17.70%-454.13M-3.90%-7.32B-5.84%-6.68B2.88%-833.68M-113.40%-551.8M
Absorb investment income 353.15%4.62B-98.33%11.5M166.50%1.2B246.01%1.03B241.14%1.02B433.89%687.03M-94.52%450.69M-96.33%298.86M-51.95%298.86M-73.95%128.68M
Other items of the financing business -90.03%-382.46M-143.79%-144.8M2.07%-1.41B73.15%-269.48M77.04%-201.26M8.41%-59.4M-309.52%-1.44B-232.97%-1B-199.88%-876.59M-105.79%-64.85M
Net cash from financing operations -145.69%-2.88B-114.06%-757.65M52.13%-5.37B598.11%1.22B27.07%6.3B40.86%5.39B-257.67%-11.21B-101.24%-245.69M-75.90%4.95B-79.62%3.82B
Effect of rate -151.90%-126.11M-106.02%-61.55M-23.65%281.86M-71.88%116.81M43.04%242.97M-468.96%-29.88M163.57%369.15M248.40%415.36M276.48%169.87M93.95%-5.25M
Net Cash 6.50%-13.46B254.62%10.78B-146.02%-1.82B-364.48%-9.52B-634.20%-14.39B35.66%-6.97B-71.75%3.96B110.58%3.6B76.32%-1.96B-176.69%-10.83B
Begining period cash -3.24%46.07B-3.24%46.07B10.00%47.61B10.00%47.61B10.00%47.61B10.00%47.61B45.03%43.28B45.03%43.28B45.03%43.28B45.03%43.28B
Cash at the end -2.91%32.49B39.83%56.78B-3.24%46.07B-19.22%38.2B-19.35%33.46B25.18%40.61B10.00%47.61B51.24%47.29B93.26%41.49B25.55%32.44B
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)
Audit Opinions ----Unqualified Opinion------Unqualified Opinion------
Auditor ----KPMG Huazhen Certified Public Accountants (Special General Partnership)------KPMG Huazhen Certified Public Accountants (Special General Partnership)------

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.

Analysis

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Price Target

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