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02139 BANK OF GANSU

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  • 0.260
  • 0.0000.00%
Market Closed Dec 13 16:08 CST
3.92BMarket Cap5.65P/E (TTM)

BANK OF GANSU 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
Cash flow from operating activities
Earning before tax
-8.81%338.73M
-0.15%569.54M
27.33%371.44M
3.65%570.41M
-20.21%291.71M
30.87%550.35M
-7.67%365.59M
-25.54%420.53M
-36.58%395.95M
-87.82%564.77M
Profit adjustment
Interest (income) - adjustment
2.97%-1.36B
4.26%-2.71B
-4.17%-1.4B
-10.58%-2.83B
0.98%-1.35B
34.70%-2.56B
26.63%-1.36B
-18.16%-3.92B
-14.26%-1.85B
12.90%-3.32B
Interest expense - adjustment
12.03%329.4M
-27.33%593.7M
-38.58%294.02M
-6.41%817M
14.62%478.71M
-28.77%872.99M
-42.86%417.66M
-22.74%1.23B
-11.51%730.92M
1.27%1.59B
Investment loss (gain)
-203.88%-35.1M
-124.62%-116.59M
67.92%-11.55M
72.98%-51.91M
44.07%-36M
-13,618.23%-192.09M
-815.53%-64.36M
101.08%1.42M
54.52%-7.03M
-207.30%-131.18M
Attributable subsidiary (profit) loss
66.56%-104K
-229.29%-181K
-326.03%-311K
259.09%140K
77.95%-73K
93.34%-88K
46.35%-331K
-2,044.12%-1.32M
-126.66%-617K
-92.92%68K
Impairment and provisions:
-15.54%1.74B
2.45%3.71B
18.56%2.06B
5.23%3.62B
2.82%1.74B
-8.42%3.44B
-10.45%1.69B
-12.93%3.75B
-17.46%1.89B
119.73%4.31B
-Other impairments and provisions
-15.54%1.74B
2.45%3.71B
18.56%2.06B
5.23%3.62B
2.82%1.74B
-8.42%3.44B
-10.45%1.69B
-12.93%3.75B
-17.46%1.89B
119.73%4.31B
Revaluation surplus:
51.90%-37.45M
-230.79%-207.83M
-196.43%-77.85M
790.25%158.91M
176.73%80.73M
-111.14%-23.02M
--29.17M
117.14%206.63M
----
--95.16M
-Other fair value changes
51.90%-37.45M
-230.79%-207.83M
-196.43%-77.85M
790.25%158.91M
176.73%80.73M
-111.14%-23.02M
--29.17M
117.14%206.63M
----
--95.16M
Asset sale loss (gain):
-95.88%465K
221.82%21.86M
1,507.83%11.29M
805.93%6.79M
340.41%702K
-109.37%-962K
-2,346.15%-292K
280.02%10.27M
-99.65%13K
1,600.00%2.7M
-Loss (gain) on sale of property, machinery and equipment
583.93%383K
41.93%1.09M
-92.02%56K
27.36%768K
340.41%702K
2,053.57%603K
-14,700.00%-292K
-98.96%28K
-99.95%2K
1,600.00%2.7M
-Loss (gain) from selling other assets
-99.27%82K
244.76%20.77M
--11.23M
484.86%6.02M
----
-115.28%-1.57M
----
--10.24M
--11K
----
Depreciation and amortization:
-11.95%184.86M
-4.36%416.31M
1.15%209.93M
8.64%435.3M
11.62%207.55M
-22.53%400.67M
-32.56%185.95M
2.46%517.21M
20.74%275.75M
47.08%504.78M
-Depreciation
-10.15%116.87M
7.15%260.82M
6.75%130.07M
7.72%243.42M
11.76%121.85M
-39.33%225.97M
-45.39%109.03M
-3.74%372.47M
10.41%199.64M
17.41%386.96M
-Amortization of intangible assets
-56.42%3.81M
-64.21%11.11M
21.93%8.74M
80.58%31.04M
113.02%7.16M
168.78%17.19M
15.41%3.36M
46.02%6.39M
33.12%2.91M
252.86%4.38M
Special items
----
95.25%-2.04M
67.05%-627K
-142.53%-42.93M
-143.97%-1.9M
-173.56%-17.7M
-102.63%-780K
-13.37%-6.47M
-68.69%29.63M
98.01%-5.71M
Operating profit before the change of operating capital
-20.21%1.16B
-15.29%2.27B
2.95%1.46B
8.61%2.68B
11.84%1.42B
11.87%2.47B
-13.41%1.27B
-38.89%2.2B
-39.90%1.46B
-17.41%3.61B
Change of operating capital
Buy and sell back financial assets (increase) decrease
278.89%1.99M
-475.96%-3.33M
---1.11M
-87.79%886K
----
--7.26M
----
----
----
----
Special items for working capital changes
1,746.11%1.59B
180.50%3.51B
101.37%86.31M
-213.15%-4.36B
-189.61%-6.28B
199.18%3.85B
76.13%-2.17B
-17.00%-3.89B
20.39%-9.08B
-115.91%-3.32B
Loans and payments (increase) decrese
-16.45%-18.01B
29.89%-10.55B
-55.32%-15.46B
23.39%-15.05B
27.17%-9.96B
-33.42%-19.65B
-171.97%-13.67B
-1.13%-14.72B
57.37%-5.03B
53.67%-14.56B
Financial assets at fair value (increase)decrease
-100.25%-21.4M
210.17%6.27B
319.01%8.66B
-51.92%-5.69B
-21.91%-3.96B
-135.05%-3.74B
-197.84%-3.24B
63.49%10.69B
160.91%3.32B
120.26%6.54B
Special items of changes in operating assets
-235.48%-4.48B
-171.70%-6.87B
-34.73%-1.34B
329.69%9.58B
31.08%-991.65M
74.57%2.23B
60.59%-1.44B
162.79%1.28B
-362.32%-3.65B
-155.61%-2.03B
Borrowing from the central bank increase (decrese)
128.10%267.31M
-201.18%-562.39M
-258.47%-951.42M
28.34%555.81M
-193.33%-265.41M
-89.94%433.07M
146.06%284.38M
146.11%4.3B
88.71%-617.4M
-246.76%-9.33B
Customer's deposits increase (decrese)
83.56%26.12B
4.50%16.52B
-15.56%14.23B
158.51%15.81B
245.53%16.85B
-52.27%6.11B
-70.47%4.88B
-51.01%12.81B
-33.65%16.52B
41.38%26.15B
Special items for changes in operating liabilities
451.06%475.54M
----
-50.48%86.3M
----
--174.27M
----
----
----
----
----
Cash  from business operations
-79.02%1.96B
200.65%10.58B
410.84%9.33B
142.46%3.52B
78.70%-3B
-165.40%-8.29B
-582.76%-14.09B
79.98%12.67B
20.53%2.92B
197.60%7.04B
Other taxs
-612.47%-137.52M
-34.24%26.52M
-34.01%26.84M
1,109.79%40.33M
1,235.29%40.67M
95.76%-3.99M
-428.32%-3.58M
80.77%-94.21M
99.93%-678K
62.99%-489.94M
Net cash from operations
-80.55%1.82B
197.99%10.61B
416.02%9.36B
142.93%3.56B
78.99%-2.96B
-165.92%-8.29B
-583.00%-14.1B
92.01%12.58B
100.57%2.92B
176.73%6.55B
Cash flow from investment activities
Interest received - investment
-12.59%1.51B
5.95%2.86B
25.97%1.73B
4.10%2.7B
26.41%1.37B
-6.72%2.6B
31.92%1.09B
-6.36%2.78B
-42.89%823.27M
-15.99%2.97B
Sale of fixed assets
-92.10%388K
61.43%10.1M
258.54%4.91M
287.61%6.26M
-31.74%1.37M
259.47%1.61M
1,033.90%2.01M
-99.44%449K
-99.77%177K
2,027.13%79.9M
Purchase of fixed assets
18.33%-35.62M
29.64%-169.94M
52.10%-43.61M
25.10%-241.54M
25.50%-91.05M
-22.50%-322.5M
-227.06%-122.21M
11.12%-263.27M
22.28%-37.37M
78.87%-296.21M
Selling intangible assets
----
----
----
----
----
--10.9M
----
----
----
----
Recovery of cash from investments
194.67%32.88B
0.18%26.97B
-43.90%11.16B
11.41%26.92B
-13.80%19.89B
-15.45%24.16B
84.72%23.08B
-57.46%28.58B
64.62%12.49B
-50.27%67.18B
Cash on investment
-879.59%-42.83B
24.89%-30.36B
86.13%-4.37B
-66.88%-40.42B
-88.51%-31.53B
17.33%-24.22B
-23.99%-16.73B
64.10%-29.3B
27.41%-13.49B
38.33%-81.6B
Net cash from investment operations
-199.90%-8.47B
93.82%-681.39M
181.85%8.48B
-594.35%-11.03B
-241.62%-10.36B
23.57%2.23B
3,540.87%7.31B
115.47%1.81B
97.77%-212.57M
-337.62%-11.67B
Net cash before financing
-137.27%-6.65B
232.85%9.92B
233.92%17.84B
-23.28%-7.47B
-96.38%-13.32B
-142.13%-6.06B
-350.65%-6.78B
380.97%14.38B
133.53%2.71B
-41.17%-5.12B
Cash flow from financing activities
Refund
2.45%-22.7B
17.26%-48.9B
19.81%-23.27B
-2.53%-59.1B
-12.57%-29.02B
-20.01%-57.64B
-15.81%-25.78B
-31.37%-48.03B
-20.32%-22.26B
-27.21%-36.56B
Issuance of bonds
70.89%32.83B
-18.86%45B
-43.44%19.21B
-10.81%55.46B
15.27%33.97B
98.98%62.18B
62.09%29.47B
-8.07%31.25B
-10.67%18.18B
-25.98%33.99B
Interest paid - financing
-37,131.84%-571.88M
-914.83%-560.34M
97.06%-1.54M
56.66%-55.22M
58.40%-52.31M
72.37%-127.4M
43.33%-125.74M
59.46%-461.04M
72.42%-221.89M
-4.65%-1.14B
Dividends paid - financing
92.86%-2K
89.04%-55K
94.40%-28K
41.83%-502K
44.01%-500K
56.39%-863K
52.60%-893K
99.80%-1.98M
-6,877.78%-1.88M
-48,380.63%-1.01B
Absorb investment income
1,457.89%296K
-54.17%88K
-82.41%19K
-79.55%192K
-79.55%108K
-99.99%939K
-9.28%528K
299,382.31%6.3B
-44.99%582K
-99.96%2.1M
Issuance expenses and redemption of securities expenses
----
----
----
----
----
----
----
---3.05M
----
----
Other items of the financing business
----
-95.25%2.04M
-67.05%627K
142.53%42.93M
143.97%1.9M
173.56%17.7M
-79.18%780K
13.37%6.47M
-22.81%3.75M
-75.99%5.71M
Net cash from financing operations
330.82%9.51B
-20.68%-4.6B
-185.51%-4.12B
-189.04%-3.81B
37.85%4.82B
138.65%4.28B
180.13%3.49B
-127.95%-11.07B
-534.16%-4.36B
-122.54%-4.86B
Net Cash
-79.17%2.86B
147.20%5.32B
261.33%13.72B
-534.10%-11.28B
-158.55%-8.5B
-153.79%-1.78B
-98.80%-3.29B
133.16%3.31B
76.59%-1.65B
-155.65%-9.98B
Begining period cash
34.53%20.74B
-42.25%15.42B
-42.25%15.42B
-6.25%26.7B
-6.25%26.7B
13.14%28.48B
13.14%28.48B
-28.38%25.17B
-28.38%25.17B
104.10%35.15B
Cash at the end
-19.00%23.6B
34.53%20.74B
60.14%29.14B
-42.25%15.42B
-27.76%18.2B
-6.25%26.7B
7.11%25.19B
13.14%28.48B
-16.25%23.52B
-28.38%25.17B
Cash balance analysis
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
--
Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)
--
Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)
--
Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)
--
Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)
--
Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)
(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
Cash flow from operating activities
Earning before tax -8.81%338.73M-0.15%569.54M27.33%371.44M3.65%570.41M-20.21%291.71M30.87%550.35M-7.67%365.59M-25.54%420.53M-36.58%395.95M-87.82%564.77M
Profit adjustment
Interest (income) - adjustment 2.97%-1.36B4.26%-2.71B-4.17%-1.4B-10.58%-2.83B0.98%-1.35B34.70%-2.56B26.63%-1.36B-18.16%-3.92B-14.26%-1.85B12.90%-3.32B
Interest expense - adjustment 12.03%329.4M-27.33%593.7M-38.58%294.02M-6.41%817M14.62%478.71M-28.77%872.99M-42.86%417.66M-22.74%1.23B-11.51%730.92M1.27%1.59B
Investment loss (gain) -203.88%-35.1M-124.62%-116.59M67.92%-11.55M72.98%-51.91M44.07%-36M-13,618.23%-192.09M-815.53%-64.36M101.08%1.42M54.52%-7.03M-207.30%-131.18M
Attributable subsidiary (profit) loss 66.56%-104K-229.29%-181K-326.03%-311K259.09%140K77.95%-73K93.34%-88K46.35%-331K-2,044.12%-1.32M-126.66%-617K-92.92%68K
Impairment and provisions: -15.54%1.74B2.45%3.71B18.56%2.06B5.23%3.62B2.82%1.74B-8.42%3.44B-10.45%1.69B-12.93%3.75B-17.46%1.89B119.73%4.31B
-Other impairments and provisions -15.54%1.74B2.45%3.71B18.56%2.06B5.23%3.62B2.82%1.74B-8.42%3.44B-10.45%1.69B-12.93%3.75B-17.46%1.89B119.73%4.31B
Revaluation surplus: 51.90%-37.45M-230.79%-207.83M-196.43%-77.85M790.25%158.91M176.73%80.73M-111.14%-23.02M--29.17M117.14%206.63M------95.16M
-Other fair value changes 51.90%-37.45M-230.79%-207.83M-196.43%-77.85M790.25%158.91M176.73%80.73M-111.14%-23.02M--29.17M117.14%206.63M------95.16M
Asset sale loss (gain): -95.88%465K221.82%21.86M1,507.83%11.29M805.93%6.79M340.41%702K-109.37%-962K-2,346.15%-292K280.02%10.27M-99.65%13K1,600.00%2.7M
-Loss (gain) on sale of property, machinery and equipment 583.93%383K41.93%1.09M-92.02%56K27.36%768K340.41%702K2,053.57%603K-14,700.00%-292K-98.96%28K-99.95%2K1,600.00%2.7M
-Loss (gain) from selling other assets -99.27%82K244.76%20.77M--11.23M484.86%6.02M-----115.28%-1.57M------10.24M--11K----
Depreciation and amortization: -11.95%184.86M-4.36%416.31M1.15%209.93M8.64%435.3M11.62%207.55M-22.53%400.67M-32.56%185.95M2.46%517.21M20.74%275.75M47.08%504.78M
-Depreciation -10.15%116.87M7.15%260.82M6.75%130.07M7.72%243.42M11.76%121.85M-39.33%225.97M-45.39%109.03M-3.74%372.47M10.41%199.64M17.41%386.96M
-Amortization of intangible assets -56.42%3.81M-64.21%11.11M21.93%8.74M80.58%31.04M113.02%7.16M168.78%17.19M15.41%3.36M46.02%6.39M33.12%2.91M252.86%4.38M
Special items ----95.25%-2.04M67.05%-627K-142.53%-42.93M-143.97%-1.9M-173.56%-17.7M-102.63%-780K-13.37%-6.47M-68.69%29.63M98.01%-5.71M
Operating profit before the change of operating capital -20.21%1.16B-15.29%2.27B2.95%1.46B8.61%2.68B11.84%1.42B11.87%2.47B-13.41%1.27B-38.89%2.2B-39.90%1.46B-17.41%3.61B
Change of operating capital
Buy and sell back financial assets (increase) decrease 278.89%1.99M-475.96%-3.33M---1.11M-87.79%886K------7.26M----------------
Special items for working capital changes 1,746.11%1.59B180.50%3.51B101.37%86.31M-213.15%-4.36B-189.61%-6.28B199.18%3.85B76.13%-2.17B-17.00%-3.89B20.39%-9.08B-115.91%-3.32B
Loans and payments (increase) decrese -16.45%-18.01B29.89%-10.55B-55.32%-15.46B23.39%-15.05B27.17%-9.96B-33.42%-19.65B-171.97%-13.67B-1.13%-14.72B57.37%-5.03B53.67%-14.56B
Financial assets at fair value (increase)decrease -100.25%-21.4M210.17%6.27B319.01%8.66B-51.92%-5.69B-21.91%-3.96B-135.05%-3.74B-197.84%-3.24B63.49%10.69B160.91%3.32B120.26%6.54B
Special items of changes in operating assets -235.48%-4.48B-171.70%-6.87B-34.73%-1.34B329.69%9.58B31.08%-991.65M74.57%2.23B60.59%-1.44B162.79%1.28B-362.32%-3.65B-155.61%-2.03B
Borrowing from the central bank increase (decrese) 128.10%267.31M-201.18%-562.39M-258.47%-951.42M28.34%555.81M-193.33%-265.41M-89.94%433.07M146.06%284.38M146.11%4.3B88.71%-617.4M-246.76%-9.33B
Customer's deposits increase (decrese) 83.56%26.12B4.50%16.52B-15.56%14.23B158.51%15.81B245.53%16.85B-52.27%6.11B-70.47%4.88B-51.01%12.81B-33.65%16.52B41.38%26.15B
Special items for changes in operating liabilities 451.06%475.54M-----50.48%86.3M------174.27M--------------------
Cash  from business operations -79.02%1.96B200.65%10.58B410.84%9.33B142.46%3.52B78.70%-3B-165.40%-8.29B-582.76%-14.09B79.98%12.67B20.53%2.92B197.60%7.04B
Other taxs -612.47%-137.52M-34.24%26.52M-34.01%26.84M1,109.79%40.33M1,235.29%40.67M95.76%-3.99M-428.32%-3.58M80.77%-94.21M99.93%-678K62.99%-489.94M
Net cash from operations -80.55%1.82B197.99%10.61B416.02%9.36B142.93%3.56B78.99%-2.96B-165.92%-8.29B-583.00%-14.1B92.01%12.58B100.57%2.92B176.73%6.55B
Cash flow from investment activities
Interest received - investment -12.59%1.51B5.95%2.86B25.97%1.73B4.10%2.7B26.41%1.37B-6.72%2.6B31.92%1.09B-6.36%2.78B-42.89%823.27M-15.99%2.97B
Sale of fixed assets -92.10%388K61.43%10.1M258.54%4.91M287.61%6.26M-31.74%1.37M259.47%1.61M1,033.90%2.01M-99.44%449K-99.77%177K2,027.13%79.9M
Purchase of fixed assets 18.33%-35.62M29.64%-169.94M52.10%-43.61M25.10%-241.54M25.50%-91.05M-22.50%-322.5M-227.06%-122.21M11.12%-263.27M22.28%-37.37M78.87%-296.21M
Selling intangible assets ----------------------10.9M----------------
Recovery of cash from investments 194.67%32.88B0.18%26.97B-43.90%11.16B11.41%26.92B-13.80%19.89B-15.45%24.16B84.72%23.08B-57.46%28.58B64.62%12.49B-50.27%67.18B
Cash on investment -879.59%-42.83B24.89%-30.36B86.13%-4.37B-66.88%-40.42B-88.51%-31.53B17.33%-24.22B-23.99%-16.73B64.10%-29.3B27.41%-13.49B38.33%-81.6B
Net cash from investment operations -199.90%-8.47B93.82%-681.39M181.85%8.48B-594.35%-11.03B-241.62%-10.36B23.57%2.23B3,540.87%7.31B115.47%1.81B97.77%-212.57M-337.62%-11.67B
Net cash before financing -137.27%-6.65B232.85%9.92B233.92%17.84B-23.28%-7.47B-96.38%-13.32B-142.13%-6.06B-350.65%-6.78B380.97%14.38B133.53%2.71B-41.17%-5.12B
Cash flow from financing activities
Refund 2.45%-22.7B17.26%-48.9B19.81%-23.27B-2.53%-59.1B-12.57%-29.02B-20.01%-57.64B-15.81%-25.78B-31.37%-48.03B-20.32%-22.26B-27.21%-36.56B
Issuance of bonds 70.89%32.83B-18.86%45B-43.44%19.21B-10.81%55.46B15.27%33.97B98.98%62.18B62.09%29.47B-8.07%31.25B-10.67%18.18B-25.98%33.99B
Interest paid - financing -37,131.84%-571.88M-914.83%-560.34M97.06%-1.54M56.66%-55.22M58.40%-52.31M72.37%-127.4M43.33%-125.74M59.46%-461.04M72.42%-221.89M-4.65%-1.14B
Dividends paid - financing 92.86%-2K89.04%-55K94.40%-28K41.83%-502K44.01%-500K56.39%-863K52.60%-893K99.80%-1.98M-6,877.78%-1.88M-48,380.63%-1.01B
Absorb investment income 1,457.89%296K-54.17%88K-82.41%19K-79.55%192K-79.55%108K-99.99%939K-9.28%528K299,382.31%6.3B-44.99%582K-99.96%2.1M
Issuance expenses and redemption of securities expenses -------------------------------3.05M--------
Other items of the financing business -----95.25%2.04M-67.05%627K142.53%42.93M143.97%1.9M173.56%17.7M-79.18%780K13.37%6.47M-22.81%3.75M-75.99%5.71M
Net cash from financing operations 330.82%9.51B-20.68%-4.6B-185.51%-4.12B-189.04%-3.81B37.85%4.82B138.65%4.28B180.13%3.49B-127.95%-11.07B-534.16%-4.36B-122.54%-4.86B
Net Cash -79.17%2.86B147.20%5.32B261.33%13.72B-534.10%-11.28B-158.55%-8.5B-153.79%-1.78B-98.80%-3.29B133.16%3.31B76.59%-1.65B-155.65%-9.98B
Begining period cash 34.53%20.74B-42.25%15.42B-42.25%15.42B-6.25%26.7B-6.25%26.7B13.14%28.48B13.14%28.48B-28.38%25.17B-28.38%25.17B104.10%35.15B
Cash at the end -19.00%23.6B34.53%20.74B60.14%29.14B-42.25%15.42B-27.76%18.2B-6.25%26.7B7.11%25.19B13.14%28.48B-16.25%23.52B-28.38%25.17B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)--Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)--Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)--Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)--Shinaga Zhonghe Certified Public Accountants Co., Ltd. (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.

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