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02238 GAC GROUP

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  • 3.650
  • +0.020+0.55%
Market Closed Dec 13 16:08 CST
37.67BMarket Cap912.50P/E (TTM)

GAC GROUP Key Stats

All
YOY yoy
Hide blank lines yoy
(Q9)Sep 30, 2024
(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
Assets
Current assets
Inventory
36.05%17.63B
47.67%17.89B
23.75%17.5B
35.26%16.72B
13.04%12.96B
27.62%12.11B
59.22%14.14B
52.41%12.36B
82.43%11.46B
64.34%9.49B
Accounts receivable
-30.27%3.73B
-25.53%25.36B
-27.96%5.55B
-14.74%26.78B
-29.41%5.35B
32.63%34.06B
-5.12%7.71B
25.08%31.41B
42.37%7.58B
22.68%25.68B
Notes receivable
1,495.06%2.36B
----
331.95%594.67M
----
50.80%147.99M
----
49.66%137.67M
----
-95.12%98.14M
----
Advance deposits and other receivables
2.43%1.64B
----
-16.80%1.7B
----
-2.27%1.6B
----
171.82%2.05B
----
-6.28%1.64B
----
Cash and equivalents
-10.26%42.73B
-20.42%27.54B
14.07%39.51B
15.49%39.52B
35.90%47.61B
75.62%34.6B
69.96%34.64B
98.56%34.22B
49.27%35.04B
42.11%19.7B
Fixed time deposit-current assets
----
88.29%12.09B
----
105.23%6.83B
----
93.09%6.42B
----
-35.75%3.33B
----
-50.76%3.32B
Secured deposit
----
-32.63%2.29B
----
43.62%2.84B
----
121.96%3.39B
----
21.68%1.98B
----
-14.31%1.53B
Financial assets at fair value-current assets
4.25%3B
-18.09%2.78B
-35.97%2.65B
-33.86%2.79B
-5.07%2.88B
-1.64%3.4B
29.81%4.14B
30.82%4.22B
43.73%3.03B
71.01%3.46B
Other current assets
-14.46%19.33B
----
17.78%16.44B
----
131.33%22.6B
----
79.52%13.96B
----
101.25%9.77B
----
Special items of current assets
33.96%6.83B
73.98%12.91B
-27.79%4.67B
37.77%5.63B
38.87%5.1B
10,414.02%7.42B
96.95%6.47B
476.77%4.09B
27.87%3.67B
-61.61%70.56M
Total current assets
-0.21%102.54B
-0.55%100.85B
2.65%91.9B
10.38%101.11B
38.03%102.75B
60.32%101.4B
53.31%89.52B
49.70%91.6B
48.35%74.45B
23.27%63.25B
Non-current assets
Fixed assets
27.24%23.61B
----
17.71%22.22B
----
5.24%18.56B
----
9.96%18.87B
----
-3.14%17.63B
----
Property, plant and equipment
----
24.56%26.01B
----
20.08%24.93B
----
7.09%20.88B
----
6.60%20.76B
----
-2.42%19.5B
Investment property
3.49%1.1B
5.35%1.14B
6.43%1.08B
4.09%1.06B
-38.30%1.07B
-38.30%1.08B
-42.95%1.01B
-45.51%1.02B
-4.77%1.73B
19.66%1.75B
Construction in progress
13.93%3.44B
----
92.14%2.84B
----
82.87%3.02B
----
-24.24%1.48B
----
37.45%1.65B
----
Advance payment
----
13.39%16.66B
----
80.91%17.38B
----
64.23%14.69B
----
19.96%9.61B
----
39.70%8.95B
Long-term receivables
6.82%6.61B
----
-0.99%6.25B
----
21.48%6.19B
----
24.94%6.31B
----
35.88%5.09B
----
Development expenditure
13.32%5.4B
----
-5.47%3.41B
----
25.04%4.77B
----
-12.52%3.6B
----
25.33%3.81B
----
Interests in Joint Venture
----
-6.42%30.02B
----
-1.72%37.16B
----
-13.60%32.08B
----
2.39%37.81B
----
8.11%37.12B
long-term investment
-13.32%29.5B
----
-5.27%39.06B
----
-16.77%34.04B
----
0.70%41.24B
----
9.43%40.9B
----
Financial assets at fair value-non-current assets
----
-0.87%2.36B
----
8.96%2.36B
----
27.38%2.38B
----
11.49%2.17B
----
-58.05%1.87B
Intangible assets
14.57%18.86B
7.60%16.39B
16.96%19.52B
13.81%16.47B
4.16%16.46B
8.98%15.23B
11.61%16.69B
6.55%14.47B
2.62%15.8B
7.01%13.97B
Goodwill
-45.15%56.59M
----
-45.15%56.59M
----
-1.27%103.18M
----
-1.27%103.18M
----
0.00%104.5M
----
Deferred tax assets
27.35%5.4B
18.57%4.92B
18.18%4.68B
17.51%4.37B
28.11%4.24B
33.19%4.15B
28.48%3.96B
31.11%3.72B
40.00%3.31B
29.04%3.12B
Other illiquid assets
1.29%6.99B
----
11.87%6.83B
----
542.34%6.9B
----
646.34%6.1B
----
36.53%1.07B
----
Special items of non-current assets
-20.51%2.53B
----
319.94%4.14B
----
104.25%3.18B
----
-63.71%986.59M
----
-34.21%1.56B
----
Total non-current assets
12.21%120.53B
14.83%115.49B
12.23%120.57B
19.39%117.34B
8.46%107.41B
6.18%100.58B
9.76%107.42B
5.61%98.28B
6.28%99.03B
5.30%94.73B
Total assets
6.14%223.07B
7.11%216.34B
7.88%212.46B
15.04%218.45B
21.15%210.16B
27.85%201.98B
26.04%196.94B
23.10%189.89B
21.00%173.47B
11.83%157.98B
Liabilities
Current liabilities
Accounts payable
-12.15%18.08B
9.68%48.44B
-19.99%15.14B
38.82%55.74B
17.12%20.58B
36.67%44.16B
25.73%18.93B
11.97%40.16B
49.35%17.57B
17.45%32.31B
Notes payable
37.25%10.02B
----
36.14%4.73B
----
728.01%7.3B
----
344.79%3.47B
----
23.08%881.25M
----
Tax payable
21.13%1.15B
72.19%139.21M
21.14%854.67M
10.20%203.86M
23.16%951.64M
-54.42%80.85M
25.74%705.53M
-8.43%185M
23.32%772.68M
58.04%177.36M
Other payables and accrued expenses
17.65%12.41B
----
14.08%10.79B
----
-3.65%10.55B
----
10.56%9.46B
----
15.92%10.95B
----
Advance payment
----
----
--0
----
--0
----
--0
----
--0
----
Short-term borrowing
84.58%19.04B
----
84.40%14.95B
----
17.66%10.32B
----
221.90%8.11B
----
305.76%8.77B
----
Bank loans and overdrafts
----
46.33%22.2B
----
28.37%17.73B
----
36.05%15.17B
----
39.68%13.81B
----
29.60%11.15B
Provision-current liabilities
----
30.75%433.08M
----
58.35%545.91M
----
3.26%331.22M
----
-3.67%344.74M
----
170.27%320.78M
Financial lease liabilities-current liabilities
----
204.24%422.09M
----
62.44%449.69M
----
-32.13%138.73M
----
43.05%276.84M
----
81.08%204.4M
Other current liabilities
43.30%3.79B
----
97.46%3.91B
----
31.45%2.64B
----
-1.37%1.98B
----
2.90%2.01B
----
Special items of current liabilities
10.03%11.91B
----
1.04%12.61B
----
-22.53%10.82B
----
8.80%12.48B
----
51.58%13.97B
----
Total current liabilities
19.78%82.35B
15.24%73.63B
14.20%68.5B
36.10%77.19B
14.38%68.75B
38.20%63.89B
29.74%59.99B
15.44%56.72B
50.05%60.11B
19.57%46.23B
Net current assets
-40.63%20.19B
-27.44%27.22B
-20.80%23.39B
-31.44%23.92B
137.15%34B
120.38%37.51B
142.96%29.53B
189.28%34.88B
41.65%14.34B
34.59%17.02B
Total assets less current liabilities
-0.49%140.71B
3.35%142.71B
5.11%143.96B
6.07%141.25B
24.74%141.41B
23.57%138.09B
24.48%136.96B
26.68%133.17B
9.74%113.37B
8.91%111.75B
Non-current liabilities
Long-term bank loan
14.64%10.6B
20.22%11.12B
46.63%10.04B
82.27%10.38B
235.30%9.25B
102.84%9.25B
205.66%6.85B
-24.31%5.7B
-31.56%2.76B
-32.49%4.56B
Long-term accounts payable
----
14.64%1.48B
--0
87.03%1.42B
--0
139.16%1.29B
--0
-1.46%761.73M
--0
-53.35%538.19M
Long-term remuneration payable to staff and workers
34.99%117.29M
----
24.47%109.49M
----
9.64%86.89M
----
-1.76%87.96M
----
-2.63%79.25M
----
Financial lease liabilities-non-current liabilities
17.52%1.78B
13.64%1.71B
14.64%1.7B
14.44%1.48B
2.04%1.51B
14.32%1.5B
3.54%1.48B
2.14%1.3B
5.58%1.48B
-4.94%1.31B
Deferred tax liability
231.99%474.66M
157.95%368.05M
56.92%228.4M
81.27%240.01M
5.45%142.98M
1.48%142.68M
24.71%145.55M
-8.32%132.4M
33.23%135.58M
9.17%140.59M
Deferred income-non-current liabilities
4.62%2.27B
----
1.99%2.32B
----
-11.29%2.17B
----
-6.87%2.28B
----
-7.43%2.45B
----
Provision-non-current liabilities
----
61.87%1.04B
----
51.04%1.03B
----
-13.95%643.37M
----
21.98%682.27M
----
13.05%747.65M
Other non-current liabilities
-26.46%2.13B
----
80.51%2.69B
----
96.35%2.89B
----
-26.69%1.49B
----
17.22%1.47B
----
Special items of non-current liabilities
36.82%1.27B
0.11%2.19B
30.70%1.29B
-1.24%2.24B
-13.73%931.29M
1.75%2.19B
5.27%983.55M
3.15%2.26B
-71.57%1.08B
-12.54%2.15B
Total non-current liabilities
9.76%18.65B
19.25%17.9B
38.02%18.38B
55.05%16.8B
79.60%16.99B
58.86%15.01B
43.27%13.32B
-13.10%10.84B
-28.98%9.46B
-24.63%9.45B
Total liabilities
17.80%101B
16.01%91.52B
18.53%86.88B
39.14%93.99B
23.25%85.74B
41.70%78.9B
32.00%73.3B
9.66%67.55B
30.33%69.57B
8.75%55.68B
Total assets less total liabilities
-1.89%122.07B
1.41%124.82B
1.57%125.58B
1.73%124.45B
19.74%124.42B
20.31%123.08B
22.74%123.64B
32.04%122.33B
15.47%103.91B
13.58%102.3B
Total equity and non-current liabilities
-0.49%140.71B
3.35%142.71B
5.11%143.96B
6.07%141.25B
24.74%141.41B
23.57%138.09B
24.48%136.96B
26.68%133.17B
9.74%113.37B
8.91%111.75B
Equity
Share capital
-1.18%10.36B
0.03%10.49B
0.04%10.49B
0.03%10.49B
0.21%10.49B
0.19%10.48B
0.18%10.48B
1.12%10.49B
1.03%10.46B
1.07%10.46B
Other equity instruments
----
----
--0
----
--0
----
--0
----
--0
----
Reserve
----
1.12%47.39B
----
1.21%47.32B
----
40.09%46.87B
----
59.31%46.75B
----
13.40%33.45B
Capital reserve
-0.56%41.08B
----
0.37%41.39B
----
43.40%41.31B
----
46.15%41.24B
----
22.58%28.81B
----
Retained profit
----
2.28%58.43B
----
3.39%57.97B
----
4.17%57.13B
----
10.81%56.07B
----
14.54%54.84B
Undistributed profit
-2.46%56.39B
----
2.79%58.85B
----
3.65%57.81B
----
7.65%57.25B
----
16.05%55.78B
----
Special items of shareholders' rights and interests
20.54%733.41M
----
21.69%724.09M
----
26.38%608.44M
----
23.63%595.05M
----
5.05%481.42M
----
Shareholders' Equity
-1.45%113.81B
1.60%116.31B
1.89%117.03B
2.18%115.77B
15.01%115.49B
15.92%114.48B
18.11%114.85B
25.46%113.3B
14.47%100.41B
12.57%98.76B
Non-controlling interest
-7.56%8.26B
-1.16%8.5B
-2.66%8.55B
-3.85%8.68B
155.81%8.93B
142.80%8.6B
152.01%8.79B
286.52%9.03B
54.45%3.49B
51.80%3.54B
Total equity
-1.89%122.07B
1.41%124.82B
1.57%125.58B
1.73%124.45B
19.74%124.42B
20.31%123.08B
22.74%123.64B
32.04%122.33B
15.47%103.91B
13.58%102.3B
Total equity and total liabilities
6.14%223.07B
7.11%216.34B
7.88%212.46B
15.04%218.45B
21.15%210.16B
27.85%201.98B
26.04%196.94B
23.10%189.89B
21.00%173.47B
11.83%157.98B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
HKAS
CAS (2007)
HKAS
CAS (2007)
HKAS
CAS (2007)
HKAS
CAS (2007)
HKAS
Audit Opinions
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Unqualified Opinion
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Unqualified Opinion
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Auditor
--
--
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Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)
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Shinaga Zhonghe Certified Public Accountants Co., Ltd. (Special General Partnership)
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(Q9)Sep 30, 2024(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
Assets
Current assets
Inventory 36.05%17.63B47.67%17.89B23.75%17.5B35.26%16.72B13.04%12.96B27.62%12.11B59.22%14.14B52.41%12.36B82.43%11.46B64.34%9.49B
Accounts receivable -30.27%3.73B-25.53%25.36B-27.96%5.55B-14.74%26.78B-29.41%5.35B32.63%34.06B-5.12%7.71B25.08%31.41B42.37%7.58B22.68%25.68B
Notes receivable 1,495.06%2.36B----331.95%594.67M----50.80%147.99M----49.66%137.67M-----95.12%98.14M----
Advance deposits and other receivables 2.43%1.64B-----16.80%1.7B-----2.27%1.6B----171.82%2.05B-----6.28%1.64B----
Cash and equivalents -10.26%42.73B-20.42%27.54B14.07%39.51B15.49%39.52B35.90%47.61B75.62%34.6B69.96%34.64B98.56%34.22B49.27%35.04B42.11%19.7B
Fixed time deposit-current assets ----88.29%12.09B----105.23%6.83B----93.09%6.42B-----35.75%3.33B-----50.76%3.32B
Secured deposit -----32.63%2.29B----43.62%2.84B----121.96%3.39B----21.68%1.98B-----14.31%1.53B
Financial assets at fair value-current assets 4.25%3B-18.09%2.78B-35.97%2.65B-33.86%2.79B-5.07%2.88B-1.64%3.4B29.81%4.14B30.82%4.22B43.73%3.03B71.01%3.46B
Other current assets -14.46%19.33B----17.78%16.44B----131.33%22.6B----79.52%13.96B----101.25%9.77B----
Special items of current assets 33.96%6.83B73.98%12.91B-27.79%4.67B37.77%5.63B38.87%5.1B10,414.02%7.42B96.95%6.47B476.77%4.09B27.87%3.67B-61.61%70.56M
Total current assets -0.21%102.54B-0.55%100.85B2.65%91.9B10.38%101.11B38.03%102.75B60.32%101.4B53.31%89.52B49.70%91.6B48.35%74.45B23.27%63.25B
Non-current assets
Fixed assets 27.24%23.61B----17.71%22.22B----5.24%18.56B----9.96%18.87B-----3.14%17.63B----
Property, plant and equipment ----24.56%26.01B----20.08%24.93B----7.09%20.88B----6.60%20.76B-----2.42%19.5B
Investment property 3.49%1.1B5.35%1.14B6.43%1.08B4.09%1.06B-38.30%1.07B-38.30%1.08B-42.95%1.01B-45.51%1.02B-4.77%1.73B19.66%1.75B
Construction in progress 13.93%3.44B----92.14%2.84B----82.87%3.02B-----24.24%1.48B----37.45%1.65B----
Advance payment ----13.39%16.66B----80.91%17.38B----64.23%14.69B----19.96%9.61B----39.70%8.95B
Long-term receivables 6.82%6.61B-----0.99%6.25B----21.48%6.19B----24.94%6.31B----35.88%5.09B----
Development expenditure 13.32%5.4B-----5.47%3.41B----25.04%4.77B-----12.52%3.6B----25.33%3.81B----
Interests in Joint Venture -----6.42%30.02B-----1.72%37.16B-----13.60%32.08B----2.39%37.81B----8.11%37.12B
long-term investment -13.32%29.5B-----5.27%39.06B-----16.77%34.04B----0.70%41.24B----9.43%40.9B----
Financial assets at fair value-non-current assets -----0.87%2.36B----8.96%2.36B----27.38%2.38B----11.49%2.17B-----58.05%1.87B
Intangible assets 14.57%18.86B7.60%16.39B16.96%19.52B13.81%16.47B4.16%16.46B8.98%15.23B11.61%16.69B6.55%14.47B2.62%15.8B7.01%13.97B
Goodwill -45.15%56.59M-----45.15%56.59M-----1.27%103.18M-----1.27%103.18M----0.00%104.5M----
Deferred tax assets 27.35%5.4B18.57%4.92B18.18%4.68B17.51%4.37B28.11%4.24B33.19%4.15B28.48%3.96B31.11%3.72B40.00%3.31B29.04%3.12B
Other illiquid assets 1.29%6.99B----11.87%6.83B----542.34%6.9B----646.34%6.1B----36.53%1.07B----
Special items of non-current assets -20.51%2.53B----319.94%4.14B----104.25%3.18B-----63.71%986.59M-----34.21%1.56B----
Total non-current assets 12.21%120.53B14.83%115.49B12.23%120.57B19.39%117.34B8.46%107.41B6.18%100.58B9.76%107.42B5.61%98.28B6.28%99.03B5.30%94.73B
Total assets 6.14%223.07B7.11%216.34B7.88%212.46B15.04%218.45B21.15%210.16B27.85%201.98B26.04%196.94B23.10%189.89B21.00%173.47B11.83%157.98B
Liabilities
Current liabilities
Accounts payable -12.15%18.08B9.68%48.44B-19.99%15.14B38.82%55.74B17.12%20.58B36.67%44.16B25.73%18.93B11.97%40.16B49.35%17.57B17.45%32.31B
Notes payable 37.25%10.02B----36.14%4.73B----728.01%7.3B----344.79%3.47B----23.08%881.25M----
Tax payable 21.13%1.15B72.19%139.21M21.14%854.67M10.20%203.86M23.16%951.64M-54.42%80.85M25.74%705.53M-8.43%185M23.32%772.68M58.04%177.36M
Other payables and accrued expenses 17.65%12.41B----14.08%10.79B-----3.65%10.55B----10.56%9.46B----15.92%10.95B----
Advance payment ----------0------0------0------0----
Short-term borrowing 84.58%19.04B----84.40%14.95B----17.66%10.32B----221.90%8.11B----305.76%8.77B----
Bank loans and overdrafts ----46.33%22.2B----28.37%17.73B----36.05%15.17B----39.68%13.81B----29.60%11.15B
Provision-current liabilities ----30.75%433.08M----58.35%545.91M----3.26%331.22M-----3.67%344.74M----170.27%320.78M
Financial lease liabilities-current liabilities ----204.24%422.09M----62.44%449.69M-----32.13%138.73M----43.05%276.84M----81.08%204.4M
Other current liabilities 43.30%3.79B----97.46%3.91B----31.45%2.64B-----1.37%1.98B----2.90%2.01B----
Special items of current liabilities 10.03%11.91B----1.04%12.61B-----22.53%10.82B----8.80%12.48B----51.58%13.97B----
Total current liabilities 19.78%82.35B15.24%73.63B14.20%68.5B36.10%77.19B14.38%68.75B38.20%63.89B29.74%59.99B15.44%56.72B50.05%60.11B19.57%46.23B
Net current assets -40.63%20.19B-27.44%27.22B-20.80%23.39B-31.44%23.92B137.15%34B120.38%37.51B142.96%29.53B189.28%34.88B41.65%14.34B34.59%17.02B
Total assets less current liabilities -0.49%140.71B3.35%142.71B5.11%143.96B6.07%141.25B24.74%141.41B23.57%138.09B24.48%136.96B26.68%133.17B9.74%113.37B8.91%111.75B
Non-current liabilities
Long-term bank loan 14.64%10.6B20.22%11.12B46.63%10.04B82.27%10.38B235.30%9.25B102.84%9.25B205.66%6.85B-24.31%5.7B-31.56%2.76B-32.49%4.56B
Long-term accounts payable ----14.64%1.48B--087.03%1.42B--0139.16%1.29B--0-1.46%761.73M--0-53.35%538.19M
Long-term remuneration payable to staff and workers 34.99%117.29M----24.47%109.49M----9.64%86.89M-----1.76%87.96M-----2.63%79.25M----
Financial lease liabilities-non-current liabilities 17.52%1.78B13.64%1.71B14.64%1.7B14.44%1.48B2.04%1.51B14.32%1.5B3.54%1.48B2.14%1.3B5.58%1.48B-4.94%1.31B
Deferred tax liability 231.99%474.66M157.95%368.05M56.92%228.4M81.27%240.01M5.45%142.98M1.48%142.68M24.71%145.55M-8.32%132.4M33.23%135.58M9.17%140.59M
Deferred income-non-current liabilities 4.62%2.27B----1.99%2.32B-----11.29%2.17B-----6.87%2.28B-----7.43%2.45B----
Provision-non-current liabilities ----61.87%1.04B----51.04%1.03B-----13.95%643.37M----21.98%682.27M----13.05%747.65M
Other non-current liabilities -26.46%2.13B----80.51%2.69B----96.35%2.89B-----26.69%1.49B----17.22%1.47B----
Special items of non-current liabilities 36.82%1.27B0.11%2.19B30.70%1.29B-1.24%2.24B-13.73%931.29M1.75%2.19B5.27%983.55M3.15%2.26B-71.57%1.08B-12.54%2.15B
Total non-current liabilities 9.76%18.65B19.25%17.9B38.02%18.38B55.05%16.8B79.60%16.99B58.86%15.01B43.27%13.32B-13.10%10.84B-28.98%9.46B-24.63%9.45B
Total liabilities 17.80%101B16.01%91.52B18.53%86.88B39.14%93.99B23.25%85.74B41.70%78.9B32.00%73.3B9.66%67.55B30.33%69.57B8.75%55.68B
Total assets less total liabilities -1.89%122.07B1.41%124.82B1.57%125.58B1.73%124.45B19.74%124.42B20.31%123.08B22.74%123.64B32.04%122.33B15.47%103.91B13.58%102.3B
Total equity and non-current liabilities -0.49%140.71B3.35%142.71B5.11%143.96B6.07%141.25B24.74%141.41B23.57%138.09B24.48%136.96B26.68%133.17B9.74%113.37B8.91%111.75B
Equity
Share capital -1.18%10.36B0.03%10.49B0.04%10.49B0.03%10.49B0.21%10.49B0.19%10.48B0.18%10.48B1.12%10.49B1.03%10.46B1.07%10.46B
Other equity instruments ----------0------0------0------0----
Reserve ----1.12%47.39B----1.21%47.32B----40.09%46.87B----59.31%46.75B----13.40%33.45B
Capital reserve -0.56%41.08B----0.37%41.39B----43.40%41.31B----46.15%41.24B----22.58%28.81B----
Retained profit ----2.28%58.43B----3.39%57.97B----4.17%57.13B----10.81%56.07B----14.54%54.84B
Undistributed profit -2.46%56.39B----2.79%58.85B----3.65%57.81B----7.65%57.25B----16.05%55.78B----
Special items of shareholders' rights and interests 20.54%733.41M----21.69%724.09M----26.38%608.44M----23.63%595.05M----5.05%481.42M----
Shareholders' Equity -1.45%113.81B1.60%116.31B1.89%117.03B2.18%115.77B15.01%115.49B15.92%114.48B18.11%114.85B25.46%113.3B14.47%100.41B12.57%98.76B
Non-controlling interest -7.56%8.26B-1.16%8.5B-2.66%8.55B-3.85%8.68B155.81%8.93B142.80%8.6B152.01%8.79B286.52%9.03B54.45%3.49B51.80%3.54B
Total equity -1.89%122.07B1.41%124.82B1.57%125.58B1.73%124.45B19.74%124.42B20.31%123.08B22.74%123.64B32.04%122.33B15.47%103.91B13.58%102.3B
Total equity and total liabilities 6.14%223.07B7.11%216.34B7.88%212.46B15.04%218.45B21.15%210.16B27.85%201.98B26.04%196.94B23.10%189.89B21.00%173.47B11.83%157.98B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)HKASCAS (2007)HKASCAS (2007)HKASCAS (2007)HKASCAS (2007)HKAS
Audit Opinions ------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)----

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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