HK Stock MarketDetailed Quotes

02218 ANDRE JUICE

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  • 7.980
  • -0.010-0.13%
Market Closed Sep 17 16:08 CST
2.79BMarket Cap11.26P/E (TTM)

ANDRE JUICE 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
Assets
Current assets
Inventory
118.29%582.82M
78.17%735.38M
63.56%900.93M
26.54%442.42M
-14.11%266.99M
-13.66%412.75M
-13.33%550.82M
-26.23%349.63M
-21.58%310.84M
-16.38%478.04M
Accounts receivable
40.95%281.01M
10.41%189.63M
-39.01%134.44M
-37.58%120.04M
-8.98%199.36M
-32.40%171.76M
10.76%220.44M
32.51%192.3M
4.19%219.04M
81.97%254.06M
Notes receivable
386.38%1.13M
26.23%11.02M
57.58%7.35M
-89.82%405.35K
--233.23K
149.37%8.73M
2.29%4.66M
-61.40%3.98M
----
-52.35%3.5M
Advance deposits and other receivables
-56.72%8.57M
225.54%8.65M
181.77%1.74M
-26.02%19.6M
30.77%19.81M
-21.34%2.66M
-70.94%619.04K
92.12%26.5M
86.74%15.15M
19.64%3.38M
Cash and equivalents
17.45%241.23M
-42.72%162.41M
132.21%544.17M
-36.40%208.52M
-60.43%205.38M
-22.00%283.55M
-38.39%234.34M
-22.90%327.87M
48.18%518.99M
37.61%363.53M
Financial assets at fair value-current assets
-28.27%638.9M
-24.72%520.38M
-74.82%146.47M
-2.32%810.67M
34.07%890.64M
51.90%691.28M
83.99%581.81M
106.90%829.91M
61.32%664.31M
36.83%455.1M
Other current assets
-89.36%25.93M
-34.82%188.84M
-92.40%15.37M
417.68%202.95M
1,173.89%243.68M
285.54%289.71M
44.71%202.39M
-69.80%39.2M
-82.33%19.13M
-35.87%75.14M
Total current assets
-2.54%1.78B
-2.39%1.82B
-3.86%1.75B
2.00%1.81B
4.49%1.83B
13.96%1.86B
8.54%1.82B
10.63%1.77B
17.15%1.75B
13.77%1.63B
Non-current assets
Fixed assets
2.84%743.9M
12.24%749.64M
12.32%757.88M
9.28%763.45M
8.93%723.38M
0.18%667.88M
0.34%674.78M
5.24%698.6M
0.78%664.06M
0.26%666.71M
Construction in progress
96.85%5.17M
-49.04%344.46K
2,344.38%1.38M
-97.02%70.86K
-68.00%2.63M
12.09%675.92K
-95.64%56.64K
-90.05%2.38M
-40.07%8.21M
-86.77%603.03K
Development expenditure
--424.32K
----
----
----
----
----
----
----
----
----
long-term investment
----
----
----
----
--12.02M
--11.93M
--11.93M
----
----
----
Intangible assets
-8.48%85.76M
3.96%91.81M
3.98%92.5M
-4.52%93.2M
-4.69%93.71M
-10.83%88.31M
-10.81%88.96M
-2.85%97.6M
-2.83%98.32M
10.60%99.03M
Goodwill
0.00%5.59M
0.00%5.59M
0.00%5.59M
0.00%5.59M
0.00%5.59M
0.00%5.59M
0.00%5.59M
0.00%5.59M
0.00%5.59M
0.00%5.59M
Other illiquid assets
133.46%22.83M
--4.97M
49.51%927.04K
127.52%13.22M
-36.58%9.78M
----
34.74%620.05K
-15.20%5.81M
990.17%15.42M
----
Total non-current assets
1.95%864.25M
9.29%852.91M
9.00%858.85M
7.38%876.16M
6.29%847.73M
0.32%780.38M
0.30%787.94M
1.16%815.98M
1.37%797.6M
-1.48%777.93M
Total assets
-1.12%2.64B
1.06%2.67B
0.02%2.61B
3.69%2.68B
5.06%2.67B
9.56%2.64B
5.91%2.61B
7.45%2.59B
11.70%2.55B
8.36%2.41B
Liabilities
Current liabilities
Accounts payable
-16.13%51.79M
-23.31%28.5M
-23.38%46.04M
-3.24%84.01M
-11.17%61.75M
-30.75%37.17M
-37.30%60.08M
31.48%86.82M
88.97%69.52M
10.96%53.67M
Tax payable
-42.76%11.38M
-31.56%24.43M
-68.61%6.17M
-47.26%12.87M
-20.99%19.89M
168.12%35.69M
280.87%19.67M
103.33%24.4M
889.74%25.18M
53.10%13.31M
Other payables and accrued expenses
-95.56%1.72M
128.75%14.54M
37.05%2.04M
41.61%5.63M
85.25%38.67M
195.04%6.36M
-47.29%1.49M
-83.89%3.98M
-38.26%20.87M
-79.48%2.15M
Short-term borrowing
----
----
----
-66.64%30.02M
-69.99%30.02M
9.99%110.06M
30.01%130.09M
80.00%90M
--100.06M
--100.06M
Other current liabilities
407.23%408.32K
71.00%274.79K
-37.38%184.88K
4.41%182.82K
-77.24%80.5K
-40.61%160.69K
-18.75%295.23K
--175.11K
--353.73K
--270.56K
Total current liabilities
-52.29%80.33M
-58.89%82.91M
-66.88%76.99M
-32.93%148.42M
-27.27%168.38M
9.23%201.67M
-1.88%232.47M
-3.72%221.29M
56.31%231.52M
101.25%184.62M
Net current assets
2.51%1.7B
4.47%1.73B
5.35%1.67B
6.99%1.66B
9.34%1.66B
14.56%1.66B
10.25%1.59B
13.03%1.55B
12.83%1.52B
7.80%1.45B
Total assets less current liabilities
2.32%2.56B
6.01%2.59B
6.56%2.53B
7.12%2.53B
8.29%2.51B
9.58%2.44B
6.74%2.38B
8.63%2.36B
8.60%2.31B
4.36%2.23B
Non-current liabilities
Long-term accounts payable
2.21%1.71M
2.24%1.69M
2.24%1.69M
-80.14%1.67M
-80.14%1.67M
2.29%1.66M
2.29%1.66M
426.74%8.43M
426.74%8.43M
2.34%1.62M
Deferred income-non-current liabilities
-56.84%3.18M
-67.44%2.4M
-67.54%2.04M
--7.38M
--7.38M
--7.38M
--6.28M
----
----
----
Total non-current liabilities
-45.92%4.9M
-54.67%4.1M
-52.98%3.73M
7.42%9.05M
7.42%9.05M
458.19%9.03M
390.23%7.93M
-38.81%8.43M
-38.81%8.43M
-88.23%1.62M
Total liabilities
-51.97%85.23M
-58.71%87.01M
-66.42%80.72M
-31.45%157.47M
-26.05%177.43M
13.14%210.71M
0.78%240.4M
-5.70%229.72M
48.22%239.94M
76.54%186.24M
Total assets less total liabilities
2.49%2.56B
6.24%2.58B
6.76%2.53B
7.12%2.52B
8.29%2.5B
9.26%2.43B
6.46%2.37B
8.93%2.36B
8.91%2.31B
4.96%2.23B
Total equity and non-current liabilities
2.32%2.56B
6.01%2.59B
6.56%2.53B
7.12%2.53B
8.29%2.51B
9.58%2.44B
6.74%2.38B
8.63%2.36B
8.60%2.31B
4.36%2.23B
Equity
Share capital
-2.43%349M
-2.43%349M
-2.43%349M
0.00%357.7M
0.00%357.7M
0.00%357.7M
-2.61%357.7M
-2.61%357.7M
-2.61%357.7M
-2.61%357.7M
Capital reserve
----
----
----
0.00%4.64M
0.00%4.64M
0.00%4.64M
-91.00%4.64M
-91.00%4.64M
-91.00%4.64M
-91.00%4.64M
Undistributed profit
7.24%2.13B
10.73%2.12B
11.54%2.07B
9.83%2.03B
10.09%1.98B
11.43%1.92B
9.90%1.86B
13.55%1.85B
13.65%1.8B
10.03%1.72B
Shareholders' Equity
2.49%2.56B
6.24%2.58B
6.76%2.53B
7.12%2.52B
8.29%2.5B
9.26%2.43B
6.46%2.37B
8.93%2.36B
8.91%2.31B
4.96%2.23B
Total equity
2.49%2.56B
6.24%2.58B
6.76%2.53B
7.12%2.52B
8.29%2.5B
9.26%2.43B
6.46%2.37B
8.93%2.36B
8.91%2.31B
4.96%2.23B
Total equity and total liabilities
-1.12%2.64B
1.06%2.67B
0.02%2.61B
3.69%2.68B
5.06%2.67B
9.56%2.64B
5.91%2.61B
7.45%2.59B
11.70%2.55B
8.36%2.41B
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
--
--
Dahua Certified Public Accountants (Special General Partnership)
--
--
--
Dahua 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
Assets
Current assets
Inventory 118.29%582.82M78.17%735.38M63.56%900.93M26.54%442.42M-14.11%266.99M-13.66%412.75M-13.33%550.82M-26.23%349.63M-21.58%310.84M-16.38%478.04M
Accounts receivable 40.95%281.01M10.41%189.63M-39.01%134.44M-37.58%120.04M-8.98%199.36M-32.40%171.76M10.76%220.44M32.51%192.3M4.19%219.04M81.97%254.06M
Notes receivable 386.38%1.13M26.23%11.02M57.58%7.35M-89.82%405.35K--233.23K149.37%8.73M2.29%4.66M-61.40%3.98M-----52.35%3.5M
Advance deposits and other receivables -56.72%8.57M225.54%8.65M181.77%1.74M-26.02%19.6M30.77%19.81M-21.34%2.66M-70.94%619.04K92.12%26.5M86.74%15.15M19.64%3.38M
Cash and equivalents 17.45%241.23M-42.72%162.41M132.21%544.17M-36.40%208.52M-60.43%205.38M-22.00%283.55M-38.39%234.34M-22.90%327.87M48.18%518.99M37.61%363.53M
Financial assets at fair value-current assets -28.27%638.9M-24.72%520.38M-74.82%146.47M-2.32%810.67M34.07%890.64M51.90%691.28M83.99%581.81M106.90%829.91M61.32%664.31M36.83%455.1M
Other current assets -89.36%25.93M-34.82%188.84M-92.40%15.37M417.68%202.95M1,173.89%243.68M285.54%289.71M44.71%202.39M-69.80%39.2M-82.33%19.13M-35.87%75.14M
Total current assets -2.54%1.78B-2.39%1.82B-3.86%1.75B2.00%1.81B4.49%1.83B13.96%1.86B8.54%1.82B10.63%1.77B17.15%1.75B13.77%1.63B
Non-current assets
Fixed assets 2.84%743.9M12.24%749.64M12.32%757.88M9.28%763.45M8.93%723.38M0.18%667.88M0.34%674.78M5.24%698.6M0.78%664.06M0.26%666.71M
Construction in progress 96.85%5.17M-49.04%344.46K2,344.38%1.38M-97.02%70.86K-68.00%2.63M12.09%675.92K-95.64%56.64K-90.05%2.38M-40.07%8.21M-86.77%603.03K
Development expenditure --424.32K------------------------------------
long-term investment ------------------12.02M--11.93M--11.93M------------
Intangible assets -8.48%85.76M3.96%91.81M3.98%92.5M-4.52%93.2M-4.69%93.71M-10.83%88.31M-10.81%88.96M-2.85%97.6M-2.83%98.32M10.60%99.03M
Goodwill 0.00%5.59M0.00%5.59M0.00%5.59M0.00%5.59M0.00%5.59M0.00%5.59M0.00%5.59M0.00%5.59M0.00%5.59M0.00%5.59M
Other illiquid assets 133.46%22.83M--4.97M49.51%927.04K127.52%13.22M-36.58%9.78M----34.74%620.05K-15.20%5.81M990.17%15.42M----
Total non-current assets 1.95%864.25M9.29%852.91M9.00%858.85M7.38%876.16M6.29%847.73M0.32%780.38M0.30%787.94M1.16%815.98M1.37%797.6M-1.48%777.93M
Total assets -1.12%2.64B1.06%2.67B0.02%2.61B3.69%2.68B5.06%2.67B9.56%2.64B5.91%2.61B7.45%2.59B11.70%2.55B8.36%2.41B
Liabilities
Current liabilities
Accounts payable -16.13%51.79M-23.31%28.5M-23.38%46.04M-3.24%84.01M-11.17%61.75M-30.75%37.17M-37.30%60.08M31.48%86.82M88.97%69.52M10.96%53.67M
Tax payable -42.76%11.38M-31.56%24.43M-68.61%6.17M-47.26%12.87M-20.99%19.89M168.12%35.69M280.87%19.67M103.33%24.4M889.74%25.18M53.10%13.31M
Other payables and accrued expenses -95.56%1.72M128.75%14.54M37.05%2.04M41.61%5.63M85.25%38.67M195.04%6.36M-47.29%1.49M-83.89%3.98M-38.26%20.87M-79.48%2.15M
Short-term borrowing -------------66.64%30.02M-69.99%30.02M9.99%110.06M30.01%130.09M80.00%90M--100.06M--100.06M
Other current liabilities 407.23%408.32K71.00%274.79K-37.38%184.88K4.41%182.82K-77.24%80.5K-40.61%160.69K-18.75%295.23K--175.11K--353.73K--270.56K
Total current liabilities -52.29%80.33M-58.89%82.91M-66.88%76.99M-32.93%148.42M-27.27%168.38M9.23%201.67M-1.88%232.47M-3.72%221.29M56.31%231.52M101.25%184.62M
Net current assets 2.51%1.7B4.47%1.73B5.35%1.67B6.99%1.66B9.34%1.66B14.56%1.66B10.25%1.59B13.03%1.55B12.83%1.52B7.80%1.45B
Total assets less current liabilities 2.32%2.56B6.01%2.59B6.56%2.53B7.12%2.53B8.29%2.51B9.58%2.44B6.74%2.38B8.63%2.36B8.60%2.31B4.36%2.23B
Non-current liabilities
Long-term accounts payable 2.21%1.71M2.24%1.69M2.24%1.69M-80.14%1.67M-80.14%1.67M2.29%1.66M2.29%1.66M426.74%8.43M426.74%8.43M2.34%1.62M
Deferred income-non-current liabilities -56.84%3.18M-67.44%2.4M-67.54%2.04M--7.38M--7.38M--7.38M--6.28M------------
Total non-current liabilities -45.92%4.9M-54.67%4.1M-52.98%3.73M7.42%9.05M7.42%9.05M458.19%9.03M390.23%7.93M-38.81%8.43M-38.81%8.43M-88.23%1.62M
Total liabilities -51.97%85.23M-58.71%87.01M-66.42%80.72M-31.45%157.47M-26.05%177.43M13.14%210.71M0.78%240.4M-5.70%229.72M48.22%239.94M76.54%186.24M
Total assets less total liabilities 2.49%2.56B6.24%2.58B6.76%2.53B7.12%2.52B8.29%2.5B9.26%2.43B6.46%2.37B8.93%2.36B8.91%2.31B4.96%2.23B
Total equity and non-current liabilities 2.32%2.56B6.01%2.59B6.56%2.53B7.12%2.53B8.29%2.51B9.58%2.44B6.74%2.38B8.63%2.36B8.60%2.31B4.36%2.23B
Equity
Share capital -2.43%349M-2.43%349M-2.43%349M0.00%357.7M0.00%357.7M0.00%357.7M-2.61%357.7M-2.61%357.7M-2.61%357.7M-2.61%357.7M
Capital reserve ------------0.00%4.64M0.00%4.64M0.00%4.64M-91.00%4.64M-91.00%4.64M-91.00%4.64M-91.00%4.64M
Undistributed profit 7.24%2.13B10.73%2.12B11.54%2.07B9.83%2.03B10.09%1.98B11.43%1.92B9.90%1.86B13.55%1.85B13.65%1.8B10.03%1.72B
Shareholders' Equity 2.49%2.56B6.24%2.58B6.76%2.53B7.12%2.52B8.29%2.5B9.26%2.43B6.46%2.37B8.93%2.36B8.91%2.31B4.96%2.23B
Total equity 2.49%2.56B6.24%2.58B6.76%2.53B7.12%2.52B8.29%2.5B9.26%2.43B6.46%2.37B8.93%2.36B8.91%2.31B4.96%2.23B
Total equity and total liabilities -1.12%2.64B1.06%2.67B0.02%2.61B3.69%2.68B5.06%2.67B9.56%2.64B5.91%2.61B7.45%2.59B11.70%2.55B8.36%2.41B
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 ----Dahua Certified Public Accountants (Special General Partnership)------Dahua 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

Analyst Rating

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Price Target

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Heat List
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