HK Stock MarketDetailed Quotes

01789 AK MEDICAL

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  • 5.360
  • -0.020-0.37%
Market Closed Nov 29 16:08 CST
6.02BMarket Cap29.13P/E (TTM)

AK MEDICAL Key Stats

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YOY yoy
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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
11.18%599.11M
48.02%595.51M
55.23%538.85M
-4.90%402.33M
-17.10%347.12M
17.29%423.07M
32.74%418.73M
57.29%360.71M
63.65%315.44M
37.82%229.33M
Accounts receivable
-13.13%520.11M
-3.36%451.4M
51.63%598.72M
20.38%467.08M
-17.95%394.85M
-13.89%387.99M
46.56%481.21M
65.82%450.6M
34.53%328.34M
93.82%271.74M
Notes receivable
-10.05%90.22M
0.64%78.78M
36.86%100.3M
-45.05%78.27M
-33.63%73.28M
39.81%142.46M
19.87%110.42M
21.06%101.89M
--92.12M
91.28%84.17M
Advance deposits and other receivables
146.48%69.33M
153.79%87.21M
17.17%28.13M
21.79%34.36M
-32.24%24.01M
-15.91%28.21M
-12.02%35.43M
-1.07%33.55M
135.93%40.27M
91.95%33.91M
Cash and equivalents
6.86%561.87M
-47.08%331.22M
8.42%525.79M
31.59%625.83M
-10.37%484.94M
-33.30%475.61M
0.54%541.08M
157.88%713.09M
16.41%538.2M
-34.33%276.52M
Fixed time deposit-current assets
--38.49M
-13.81%35.25M
----
--40.89M
----
----
----
----
----
----
Secured deposit
----
----
-86.78%30.3M
----
103.73%229.24M
104.32%111.51M
-40.05%112.52M
991.50%54.58M
--187.69M
--5M
Total current assets
-2.50%2.07B
-4.38%1.97B
9.14%2.13B
6.77%2.07B
0.55%1.95B
1.66%1.93B
5.35%1.94B
70.19%1.9B
93.17%1.84B
35.52%1.12B
Non-current assets
Property, plant and equipment
24.71%643.73M
31.99%574.97M
21.95%516.19M
13.92%435.63M
16.20%423.27M
4.96%382.4M
9.32%364.24M
28.12%364.34M
54.72%333.2M
71.78%284.38M
Fixed time deposit-non-current assets
--190.03M
--184.6M
----
----
----
----
----
----
----
----
Secured deposits-non-current assets
----
----
--183.7M
----
----
----
----
----
----
----
Intangible assets
3.29%83.4M
3.16%87.97M
-11.27%80.75M
6.61%85.28M
5.61%91M
5.19%79.99M
10.32%86.17M
113.75%76.05M
118.06%78.11M
-6.74%35.58M
Goodwill
0.00%113.41M
0.00%113.41M
-13.69%113.41M
-14.37%113.41M
-1.37%131.41M
-0.47%132.45M
-5.75%133.24M
353.47%133.08M
405.98%141.36M
5.46%29.35M
Deferred tax assets
-12.12%68.93M
-10.10%67.26M
27.23%78.44M
-1.65%74.82M
12.25%61.65M
50.27%76.07M
15.54%54.93M
240.66%50.63M
240.02%47.54M
15.13%14.86M
Total non-current assets
13.06%1.1B
44.99%1.03B
37.49%972.49M
5.70%709.14M
10.77%707.33M
7.50%670.91M
6.39%638.57M
71.37%624.09M
80.84%600.21M
35.98%364.17M
Total assets
2.38%3.17B
8.24%3B
16.69%3.1B
6.49%2.77B
3.09%2.66B
3.10%2.61B
5.61%2.58B
70.48%2.53B
89.99%2.44B
35.64%1.48B
Liabilities
Current liabilities
Accounts payable
-62.51%104.1M
-2.39%151.45M
191.76%277.64M
67.26%155.17M
-9.45%95.16M
-36.36%92.77M
-8.41%105.09M
84.50%145.77M
68.47%114.74M
41.41%79M
Notes payable
--34.73M
--23.47M
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----
----
----
----
----
----
----
Tax payable
-15.84%20.76M
-22.73%17.6M
-14.81%24.66M
-55.80%22.77M
-39.86%28.95M
22.43%51.52M
38.75%48.13M
32.71%42.08M
44.62%34.69M
107.63%31.71M
Other payables and accrued expenses
21.25%272.89M
11.89%184.72M
0.81%225.06M
-1.01%165.1M
13.88%223.25M
-3.14%166.78M
-23.28%196.03M
0.94%172.18M
63.77%255.5M
64.25%170.57M
Bank loans and overdrafts
174.27%30.38M
--21.39M
--11.08M
----
----
----
----
----
----
--1.7M
Financial lease liabilities-current liabilities
-10.43%13.95M
5.47%14.24M
19.47%15.58M
23.27%13.5M
41.59%13.04M
-4.04%10.95M
-47.38%9.21M
189.67%11.41M
189.96%17.5M
557.76%3.94M
Total current liabilities
-10.58%571.88M
14.16%498.17M
52.83%639.57M
-10.84%436.38M
1.79%418.47M
17.14%489.44M
-11.24%411.1M
27.44%417.84M
57.15%463.18M
43.50%327.88M
Net current assets
0.97%1.5B
-9.35%1.48B
-2.80%1.49B
12.74%1.63B
0.22%1.53B
-2.70%1.44B
10.93%1.53B
87.93%1.48B
109.32%1.38B
32.47%790.18M
Total assets less current liabilities
5.75%2.6B
7.13%2.5B
9.93%2.46B
10.50%2.34B
3.33%2.24B
0.32%2.12B
9.55%2.17B
82.71%2.11B
99.77%1.98B
33.56%1.15B
Non-current liabilities
Long-term bank loan
50.17%33.04M
--32.26M
--22M
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----
----
----
----
----
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Financial lease liabilities-non-current liabilities
-42.44%13.49M
-35.48%16.31M
-27.24%23.44M
-17.40%25.28M
122.52%32.21M
98.30%30.61M
128.85%14.48M
145.19%15.44M
-4.69%6.33M
1,714.12%6.3M
Deferred tax liability
-8.71%45.91M
1.30%48.03M
13.37%50.29M
14.69%47.41M
4.94%44.36M
6.46%41.34M
21.30%42.27M
105.99%38.83M
125.29%34.85M
61.30%18.85M
Deferred income-non-current liabilities
19.77%16.37M
-21.80%10.43M
9.24%13.67M
7.93%13.33M
1.75%12.51M
2.70%12.35M
5.47%12.3M
-8.85%12.03M
-13.71%11.66M
25.38%13.19M
Special items of non-current liabilities
-51.08%2.83M
-28.81%5.93M
-33.40%5.79M
--8.32M
--8.7M
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----
----
----
----
Total non-current liabilities
-3.08%111.64M
19.72%112.95M
17.80%115.18M
11.92%94.35M
41.62%97.78M
27.16%84.3M
30.69%69.04M
72.91%66.29M
48.34%52.83M
69.97%38.34M
Total liabilities
-9.44%683.52M
15.15%611.12M
46.20%754.75M
-7.50%530.73M
7.52%516.24M
18.51%573.73M
-6.95%480.14M
32.20%484.13M
56.20%516.01M
45.88%366.22M
Total assets less total liabilities
6.19%2.49B
6.60%2.39B
9.57%2.35B
10.45%2.24B
2.07%2.14B
-0.55%2.03B
8.97%2.1B
83.04%2.04B
101.69%1.92B
32.58%1.12B
Total equity and non-current liabilities
5.75%2.6B
7.13%2.5B
9.93%2.46B
10.50%2.34B
3.33%2.24B
0.32%2.12B
9.55%2.17B
82.71%2.11B
99.77%1.98B
33.56%1.15B
Equity
Share capital
0.12%9.51M
0.58%9.51M
0.51%9.5M
0.00%9.45M
0.02%9.45M
0.02%9.45M
0.14%9.45M
6.33%9.45M
7.20%9.44M
1.24%8.89M
Reserve
6.21%2.48B
6.63%2.38B
9.61%2.34B
10.49%2.23B
2.08%2.13B
-0.55%2.02B
9.02%2.09B
83.66%2.03B
102.57%1.91B
32.91%1.11B
Shareholders' Equity
6.19%2.49B
6.60%2.39B
9.57%2.35B
10.45%2.24B
2.07%2.14B
-0.55%2.03B
8.97%2.1B
83.04%2.04B
101.69%1.92B
32.58%1.12B
Total equity
6.19%2.49B
6.60%2.39B
9.57%2.35B
10.45%2.24B
2.07%2.14B
-0.55%2.03B
8.97%2.1B
83.04%2.04B
101.69%1.92B
32.58%1.12B
Total equity and total liabilities
2.38%3.17B
8.24%3B
16.69%3.1B
6.49%2.77B
3.09%2.66B
3.10%2.61B
5.61%2.58B
70.48%2.53B
89.99%2.44B
35.64%1.48B
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
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
(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 11.18%599.11M48.02%595.51M55.23%538.85M-4.90%402.33M-17.10%347.12M17.29%423.07M32.74%418.73M57.29%360.71M63.65%315.44M37.82%229.33M
Accounts receivable -13.13%520.11M-3.36%451.4M51.63%598.72M20.38%467.08M-17.95%394.85M-13.89%387.99M46.56%481.21M65.82%450.6M34.53%328.34M93.82%271.74M
Notes receivable -10.05%90.22M0.64%78.78M36.86%100.3M-45.05%78.27M-33.63%73.28M39.81%142.46M19.87%110.42M21.06%101.89M--92.12M91.28%84.17M
Advance deposits and other receivables 146.48%69.33M153.79%87.21M17.17%28.13M21.79%34.36M-32.24%24.01M-15.91%28.21M-12.02%35.43M-1.07%33.55M135.93%40.27M91.95%33.91M
Cash and equivalents 6.86%561.87M-47.08%331.22M8.42%525.79M31.59%625.83M-10.37%484.94M-33.30%475.61M0.54%541.08M157.88%713.09M16.41%538.2M-34.33%276.52M
Fixed time deposit-current assets --38.49M-13.81%35.25M------40.89M------------------------
Secured deposit ---------86.78%30.3M----103.73%229.24M104.32%111.51M-40.05%112.52M991.50%54.58M--187.69M--5M
Total current assets -2.50%2.07B-4.38%1.97B9.14%2.13B6.77%2.07B0.55%1.95B1.66%1.93B5.35%1.94B70.19%1.9B93.17%1.84B35.52%1.12B
Non-current assets
Property, plant and equipment 24.71%643.73M31.99%574.97M21.95%516.19M13.92%435.63M16.20%423.27M4.96%382.4M9.32%364.24M28.12%364.34M54.72%333.2M71.78%284.38M
Fixed time deposit-non-current assets --190.03M--184.6M--------------------------------
Secured deposits-non-current assets ----------183.7M----------------------------
Intangible assets 3.29%83.4M3.16%87.97M-11.27%80.75M6.61%85.28M5.61%91M5.19%79.99M10.32%86.17M113.75%76.05M118.06%78.11M-6.74%35.58M
Goodwill 0.00%113.41M0.00%113.41M-13.69%113.41M-14.37%113.41M-1.37%131.41M-0.47%132.45M-5.75%133.24M353.47%133.08M405.98%141.36M5.46%29.35M
Deferred tax assets -12.12%68.93M-10.10%67.26M27.23%78.44M-1.65%74.82M12.25%61.65M50.27%76.07M15.54%54.93M240.66%50.63M240.02%47.54M15.13%14.86M
Total non-current assets 13.06%1.1B44.99%1.03B37.49%972.49M5.70%709.14M10.77%707.33M7.50%670.91M6.39%638.57M71.37%624.09M80.84%600.21M35.98%364.17M
Total assets 2.38%3.17B8.24%3B16.69%3.1B6.49%2.77B3.09%2.66B3.10%2.61B5.61%2.58B70.48%2.53B89.99%2.44B35.64%1.48B
Liabilities
Current liabilities
Accounts payable -62.51%104.1M-2.39%151.45M191.76%277.64M67.26%155.17M-9.45%95.16M-36.36%92.77M-8.41%105.09M84.50%145.77M68.47%114.74M41.41%79M
Notes payable --34.73M--23.47M--------------------------------
Tax payable -15.84%20.76M-22.73%17.6M-14.81%24.66M-55.80%22.77M-39.86%28.95M22.43%51.52M38.75%48.13M32.71%42.08M44.62%34.69M107.63%31.71M
Other payables and accrued expenses 21.25%272.89M11.89%184.72M0.81%225.06M-1.01%165.1M13.88%223.25M-3.14%166.78M-23.28%196.03M0.94%172.18M63.77%255.5M64.25%170.57M
Bank loans and overdrafts 174.27%30.38M--21.39M--11.08M--------------------------1.7M
Financial lease liabilities-current liabilities -10.43%13.95M5.47%14.24M19.47%15.58M23.27%13.5M41.59%13.04M-4.04%10.95M-47.38%9.21M189.67%11.41M189.96%17.5M557.76%3.94M
Total current liabilities -10.58%571.88M14.16%498.17M52.83%639.57M-10.84%436.38M1.79%418.47M17.14%489.44M-11.24%411.1M27.44%417.84M57.15%463.18M43.50%327.88M
Net current assets 0.97%1.5B-9.35%1.48B-2.80%1.49B12.74%1.63B0.22%1.53B-2.70%1.44B10.93%1.53B87.93%1.48B109.32%1.38B32.47%790.18M
Total assets less current liabilities 5.75%2.6B7.13%2.5B9.93%2.46B10.50%2.34B3.33%2.24B0.32%2.12B9.55%2.17B82.71%2.11B99.77%1.98B33.56%1.15B
Non-current liabilities
Long-term bank loan 50.17%33.04M--32.26M--22M----------------------------
Financial lease liabilities-non-current liabilities -42.44%13.49M-35.48%16.31M-27.24%23.44M-17.40%25.28M122.52%32.21M98.30%30.61M128.85%14.48M145.19%15.44M-4.69%6.33M1,714.12%6.3M
Deferred tax liability -8.71%45.91M1.30%48.03M13.37%50.29M14.69%47.41M4.94%44.36M6.46%41.34M21.30%42.27M105.99%38.83M125.29%34.85M61.30%18.85M
Deferred income-non-current liabilities 19.77%16.37M-21.80%10.43M9.24%13.67M7.93%13.33M1.75%12.51M2.70%12.35M5.47%12.3M-8.85%12.03M-13.71%11.66M25.38%13.19M
Special items of non-current liabilities -51.08%2.83M-28.81%5.93M-33.40%5.79M--8.32M--8.7M--------------------
Total non-current liabilities -3.08%111.64M19.72%112.95M17.80%115.18M11.92%94.35M41.62%97.78M27.16%84.3M30.69%69.04M72.91%66.29M48.34%52.83M69.97%38.34M
Total liabilities -9.44%683.52M15.15%611.12M46.20%754.75M-7.50%530.73M7.52%516.24M18.51%573.73M-6.95%480.14M32.20%484.13M56.20%516.01M45.88%366.22M
Total assets less total liabilities 6.19%2.49B6.60%2.39B9.57%2.35B10.45%2.24B2.07%2.14B-0.55%2.03B8.97%2.1B83.04%2.04B101.69%1.92B32.58%1.12B
Total equity and non-current liabilities 5.75%2.6B7.13%2.5B9.93%2.46B10.50%2.34B3.33%2.24B0.32%2.12B9.55%2.17B82.71%2.11B99.77%1.98B33.56%1.15B
Equity
Share capital 0.12%9.51M0.58%9.51M0.51%9.5M0.00%9.45M0.02%9.45M0.02%9.45M0.14%9.45M6.33%9.45M7.20%9.44M1.24%8.89M
Reserve 6.21%2.48B6.63%2.38B9.61%2.34B10.49%2.23B2.08%2.13B-0.55%2.02B9.02%2.09B83.66%2.03B102.57%1.91B32.91%1.11B
Shareholders' Equity 6.19%2.49B6.60%2.39B9.57%2.35B10.45%2.24B2.07%2.14B-0.55%2.03B8.97%2.1B83.04%2.04B101.69%1.92B32.58%1.12B
Total equity 6.19%2.49B6.60%2.39B9.57%2.35B10.45%2.24B2.07%2.14B-0.55%2.03B8.97%2.1B83.04%2.04B101.69%1.92B32.58%1.12B
Total equity and total liabilities 2.38%3.17B8.24%3B16.69%3.1B6.49%2.77B3.09%2.66B3.10%2.61B5.61%2.58B70.48%2.53B89.99%2.44B35.64%1.48B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --KPMG--KPMG--KPMG--KPMG--KPMG

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

Analyst Rating

No Data

Price Target

No Data

Heat List
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Overall
Symbol
Latest Price
% Chg

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