HK Stock MarketDetailed Quotes

02333 GWMOTOR

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  • 11.220
  • +0.760+7.27%
Market Closed Aug 30 16:08 CST
95.84BMarket Cap6.87P/E (TTM)

GWMOTOR 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
419.52%7.08B
----
-14.90%7.02B
----
-75.63%1.36B
----
22.72%8.25B
----
58.47%5.59B
----
Profit adjustment
Investment loss (gain)
-8.36%-527.36M
----
2.05%-851.57M
----
0.70%-486.66M
----
29.35%-869.43M
----
32.09%-490.11M
----
Impairment and provisions:
-30.73%220.7M
----
51.62%550.08M
----
277.12%318.59M
----
-38.82%362.81M
----
-70.46%84.48M
----
-Other impairments and provisions
-47.34%7.58M
----
142.23%62.47M
----
120.71%14.39M
----
-78.93%25.79M
----
-75.14%6.52M
----
Revaluation surplus:
-152.62%-69.68M
----
151.72%26.04M
----
8.63%132.42M
----
83.57%-50.34M
----
232.89%121.91M
----
Asset sale loss (gain):
708.25%17.41M
----
----
----
-93.16%2.15M
----
----
----
31.01%31.48M
----
-Loss (gain) on sale of property, machinery and equipment
708.25%17.41M
----
----
----
-93.16%2.15M
----
----
----
31.01%31.48M
----
Depreciation and amortization:
26.33%4.7B
----
19.96%7.61B
----
19.47%3.72B
----
24.88%6.35B
----
24.47%3.11B
----
-Amortization of intangible assets
51.70%2.06B
----
50.23%3.18B
----
34.81%1.36B
----
52.77%2.11B
----
66.74%1.01B
----
-Other depreciation and amortization
1,901.89%73M
----
45.13%-106.39M
----
96.82%-4.05M
----
56.48%-193.91M
----
24.95%-127.24M
----
Financial expense
186.32%552.94M
----
1,474.62%730.28M
----
34.48%193.12M
----
-68.82%46.38M
----
681.99%143.6M
----
Change of operating capital
Inventory (increase) decrease
77.21%-365.76M
----
43.81%-4.97B
----
74.93%-1.6B
----
-25.54%-8.84B
----
-179.39%-6.4B
----
Accounts receivable (increase)decrease
199.71%3.94B
----
----
----
---3.95B
----
----
----
----
----
Accounts payable increase (decrease)
-308.26%-6.68B
----
----
----
---1.64B
----
----
----
----
----
Special items of business
211.67%539.37M
----
8.01%7.63B
----
-108.09%-482.99M
----
-77.47%7.06B
----
-49.85%5.97B
----
Adjustment items of business operations
553.96%8.87B
68.10%-2.62B
92.93%10.12B
-140.78%-1.87B
-188.91%-1.95B
28.49%-8.2B
32.20%5.25B
-72.49%4.59B
-31.60%2.2B
-5,482.21%-11.47B
Net cash from operations
486.10%9.41B
68.10%-2.62B
44.21%17.75B
-140.78%-1.87B
-129.84%-2.44B
28.49%-8.2B
-65.14%12.31B
-72.49%4.59B
-45.97%8.16B
-5,482.21%-11.47B
Cash flow from investment activities
Dividend received - investment
-88.34%73.12M
-95.70%11.81M
143.97%1.17B
240.09%980.76M
139.77%627.35M
10.77%274.5M
-13.21%479.02M
-21.03%288.38M
-10.50%261.65M
1.91%247.8M
Sale of fixed assets
58.77%176.22M
-43.85%11.77M
9.61%483.94M
-41.09%124.07M
-42.15%110.99M
2,039.91%20.96M
-28.57%441.51M
50.51%210.62M
57.67%191.84M
-93.79%979.35K
Purchase of fixed assets
25.96%-5.74B
24.13%-2.37B
-2.53%-16.71B
-3.67%-9.51B
-9.07%-7.75B
16.72%-3.13B
-24.52%-16.3B
-54.17%-9.18B
-85.49%-7.11B
-87.95%-3.75B
Sale of subsidiaries
----
----
----
----
----
--15.14M
--25.07M
----
----
----
Recovery of cash from investments
186.46%18.59B
-11.34%5.1B
-22.52%18.36B
-46.58%8.68B
-39.35%6.49B
-25.39%5.75B
-36.38%23.7B
-40.99%16.25B
-38.18%10.7B
-42.15%7.71B
Cash on investment
-293.83%-17.95B
-160.41%-5.44B
25.37%-14.14B
46.23%-9.04B
49.09%-4.56B
27.21%-2.09B
47.59%-18.95B
44.41%-16.81B
52.59%-8.96B
69.14%-2.87B
Other items in the investment business
113.45%3.5M
----
299.83%386.41M
-151.40%-51.4M
-126.02%-26.02M
----
-71.96%96.64M
-55.27%100M
88.68%100M
----
Net cash from investment operations
5.08%-4.85B
-416.98%-2.69B
0.52%-10.45B
3.49%-8.82B
-6.25%-5.11B
-36.49%848.01M
5.99%-10.5B
-15.29%-9.14B
2.76%-4.81B
-41.62%1.34B
Net cash before financing
160.38%4.56B
27.88%-5.31B
304.29%7.3B
-134.89%-10.69B
-324.89%-7.55B
27.43%-7.36B
-92.52%1.81B
-152.00%-4.55B
-66.99%3.36B
-505.42%-10.14B
Cash flow from financing activities
New borrowing
-7.24%8.19B
82.83%5.67B
-13.00%19.23B
-23.17%14.08B
-39.94%8.83B
-34.21%3.1B
139.90%22.11B
164.79%18.32B
168.82%14.7B
86.02%4.71B
Refund
-38.19%-9.63B
-79.78%-5.15B
-40.78%-19.23B
-44.79%-12.65B
-6.86%-6.97B
-78.45%-2.87B
6.49%-13.66B
25.19%-8.74B
35.64%-6.52B
61.14%-1.61B
Issuance of bonds
--887M
--405M
9.62%524M
--524M
----
----
-90.98%478M
----
----
51.60%617M
Dividends paid - financing
-679.89%-3B
-0.34%-181.22M
-188.66%-3.54B
-202.70%-3.08B
59.17%-384.44M
-103.81%-180.6M
79.15%-1.23B
64.53%-1.02B
66.33%-941.54M
96.65%-88.61M
Absorb investment income
278.96%695.78M
--698.8M
90.79%681.64M
92.59%663.6M
-43.86%183.6M
----
-55.75%357.26M
-56.84%344.57M
55.89%327.06M
--4.97M
Other items of the financing business
-132.66%-1.54B
-62.50%821.66M
130.23%3.38B
210.31%5.43B
144.57%4.72B
14.79%2.19B
-150.37%-11.19B
-495.50%-4.93B
-4,579.24%-10.59B
916.83%1.91B
Net cash from financing operations
-168.93%-4.4B
0.71%2.26B
133.58%1.05B
24.69%4.97B
310.71%6.38B
-59.54%2.25B
67.47%-3.13B
241.71%3.99B
-14.66%-3.03B
236.42%5.55B
Effect of rate
-530.54%-121.61M
64.38%-30.71M
-94.19%18.44M
-48.11%-256.97M
70.45%-19.29M
25.71%-86.22M
264.92%317.4M
-78.84%-173.5M
-28.01%-65.26M
-290.34%-116.05M
Net Cash
113.59%158.4M
40.44%-3.04B
729.81%8.36B
-917.61%-5.72B
-455.99%-1.17B
-11.41%-5.11B
-109.14%-1.33B
-109.46%-561.65M
-95.65%327.52M
-192.55%-4.59B
Begining period cash
31.13%35.27B
31.13%35.27B
-3.62%26.9B
-3.62%26.9B
-3.62%26.9B
-3.62%26.9B
105.33%27.91B
105.33%27.91B
105.33%27.91B
105.33%27.91B
Cash at the end
37.32%35.31B
48.36%32.2B
31.13%35.27B
-22.99%20.93B
-8.72%25.71B
-6.48%21.7B
-3.62%26.9B
39.85%27.17B
33.73%28.17B
93.47%23.2B
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
--
--
Deloitte & Touche Certified Public Accountants Limited
--
--
--
Deloitte & Touche Certified Public Accountants Limited
--
--
--
(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 419.52%7.08B-----14.90%7.02B-----75.63%1.36B----22.72%8.25B----58.47%5.59B----
Profit adjustment
Investment loss (gain) -8.36%-527.36M----2.05%-851.57M----0.70%-486.66M----29.35%-869.43M----32.09%-490.11M----
Impairment and provisions: -30.73%220.7M----51.62%550.08M----277.12%318.59M-----38.82%362.81M-----70.46%84.48M----
-Other impairments and provisions -47.34%7.58M----142.23%62.47M----120.71%14.39M-----78.93%25.79M-----75.14%6.52M----
Revaluation surplus: -152.62%-69.68M----151.72%26.04M----8.63%132.42M----83.57%-50.34M----232.89%121.91M----
Asset sale loss (gain): 708.25%17.41M-------------93.16%2.15M------------31.01%31.48M----
-Loss (gain) on sale of property, machinery and equipment 708.25%17.41M-------------93.16%2.15M------------31.01%31.48M----
Depreciation and amortization: 26.33%4.7B----19.96%7.61B----19.47%3.72B----24.88%6.35B----24.47%3.11B----
-Amortization of intangible assets 51.70%2.06B----50.23%3.18B----34.81%1.36B----52.77%2.11B----66.74%1.01B----
-Other depreciation and amortization 1,901.89%73M----45.13%-106.39M----96.82%-4.05M----56.48%-193.91M----24.95%-127.24M----
Financial expense 186.32%552.94M----1,474.62%730.28M----34.48%193.12M-----68.82%46.38M----681.99%143.6M----
Change of operating capital
Inventory (increase) decrease 77.21%-365.76M----43.81%-4.97B----74.93%-1.6B-----25.54%-8.84B-----179.39%-6.4B----
Accounts receivable (increase)decrease 199.71%3.94B---------------3.95B--------------------
Accounts payable increase (decrease) -308.26%-6.68B---------------1.64B--------------------
Special items of business 211.67%539.37M----8.01%7.63B-----108.09%-482.99M-----77.47%7.06B-----49.85%5.97B----
Adjustment items of business operations 553.96%8.87B68.10%-2.62B92.93%10.12B-140.78%-1.87B-188.91%-1.95B28.49%-8.2B32.20%5.25B-72.49%4.59B-31.60%2.2B-5,482.21%-11.47B
Net cash from operations 486.10%9.41B68.10%-2.62B44.21%17.75B-140.78%-1.87B-129.84%-2.44B28.49%-8.2B-65.14%12.31B-72.49%4.59B-45.97%8.16B-5,482.21%-11.47B
Cash flow from investment activities
Dividend received - investment -88.34%73.12M-95.70%11.81M143.97%1.17B240.09%980.76M139.77%627.35M10.77%274.5M-13.21%479.02M-21.03%288.38M-10.50%261.65M1.91%247.8M
Sale of fixed assets 58.77%176.22M-43.85%11.77M9.61%483.94M-41.09%124.07M-42.15%110.99M2,039.91%20.96M-28.57%441.51M50.51%210.62M57.67%191.84M-93.79%979.35K
Purchase of fixed assets 25.96%-5.74B24.13%-2.37B-2.53%-16.71B-3.67%-9.51B-9.07%-7.75B16.72%-3.13B-24.52%-16.3B-54.17%-9.18B-85.49%-7.11B-87.95%-3.75B
Sale of subsidiaries ----------------------15.14M--25.07M------------
Recovery of cash from investments 186.46%18.59B-11.34%5.1B-22.52%18.36B-46.58%8.68B-39.35%6.49B-25.39%5.75B-36.38%23.7B-40.99%16.25B-38.18%10.7B-42.15%7.71B
Cash on investment -293.83%-17.95B-160.41%-5.44B25.37%-14.14B46.23%-9.04B49.09%-4.56B27.21%-2.09B47.59%-18.95B44.41%-16.81B52.59%-8.96B69.14%-2.87B
Other items in the investment business 113.45%3.5M----299.83%386.41M-151.40%-51.4M-126.02%-26.02M-----71.96%96.64M-55.27%100M88.68%100M----
Net cash from investment operations 5.08%-4.85B-416.98%-2.69B0.52%-10.45B3.49%-8.82B-6.25%-5.11B-36.49%848.01M5.99%-10.5B-15.29%-9.14B2.76%-4.81B-41.62%1.34B
Net cash before financing 160.38%4.56B27.88%-5.31B304.29%7.3B-134.89%-10.69B-324.89%-7.55B27.43%-7.36B-92.52%1.81B-152.00%-4.55B-66.99%3.36B-505.42%-10.14B
Cash flow from financing activities
New borrowing -7.24%8.19B82.83%5.67B-13.00%19.23B-23.17%14.08B-39.94%8.83B-34.21%3.1B139.90%22.11B164.79%18.32B168.82%14.7B86.02%4.71B
Refund -38.19%-9.63B-79.78%-5.15B-40.78%-19.23B-44.79%-12.65B-6.86%-6.97B-78.45%-2.87B6.49%-13.66B25.19%-8.74B35.64%-6.52B61.14%-1.61B
Issuance of bonds --887M--405M9.62%524M--524M---------90.98%478M--------51.60%617M
Dividends paid - financing -679.89%-3B-0.34%-181.22M-188.66%-3.54B-202.70%-3.08B59.17%-384.44M-103.81%-180.6M79.15%-1.23B64.53%-1.02B66.33%-941.54M96.65%-88.61M
Absorb investment income 278.96%695.78M--698.8M90.79%681.64M92.59%663.6M-43.86%183.6M-----55.75%357.26M-56.84%344.57M55.89%327.06M--4.97M
Other items of the financing business -132.66%-1.54B-62.50%821.66M130.23%3.38B210.31%5.43B144.57%4.72B14.79%2.19B-150.37%-11.19B-495.50%-4.93B-4,579.24%-10.59B916.83%1.91B
Net cash from financing operations -168.93%-4.4B0.71%2.26B133.58%1.05B24.69%4.97B310.71%6.38B-59.54%2.25B67.47%-3.13B241.71%3.99B-14.66%-3.03B236.42%5.55B
Effect of rate -530.54%-121.61M64.38%-30.71M-94.19%18.44M-48.11%-256.97M70.45%-19.29M25.71%-86.22M264.92%317.4M-78.84%-173.5M-28.01%-65.26M-290.34%-116.05M
Net Cash 113.59%158.4M40.44%-3.04B729.81%8.36B-917.61%-5.72B-455.99%-1.17B-11.41%-5.11B-109.14%-1.33B-109.46%-561.65M-95.65%327.52M-192.55%-4.59B
Begining period cash 31.13%35.27B31.13%35.27B-3.62%26.9B-3.62%26.9B-3.62%26.9B-3.62%26.9B105.33%27.91B105.33%27.91B105.33%27.91B105.33%27.91B
Cash at the end 37.32%35.31B48.36%32.2B31.13%35.27B-22.99%20.93B-8.72%25.71B-6.48%21.7B-3.62%26.9B39.85%27.17B33.73%28.17B93.47%23.2B
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 ----Deloitte & Touche Certified Public Accountants Limited------Deloitte & Touche Certified Public Accountants Limited------

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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