SANICHI
0133
HPI
03060
TALAMT
2259
MICROLN
0126
GPACKET
0082
(Q2)Jun 30, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q2)Jun 30, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | (Q2)Jun 30, 2022 | (FY)Dec 31, 2021 | (Q4)Dec 31, 2021 | (Q2)Jun 30, 2021 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -3.38%11.31M | 6.11%15.16M | 6.11%15.16M | 0.67%11.71M | -6.38%14.29M | -6.38%14.29M | -23.03%11.63M | 69.20%15.26M | 69.20%15.26M | 86.07%15.11M |
-Cash and cash equivalents | -3.38%11.31M | 6.11%15.16M | 6.11%15.16M | 0.67%11.71M | -6.38%14.29M | -6.38%14.29M | -23.03%11.63M | 69.20%15.26M | 69.20%15.26M | 86.07%15.11M |
-Including:Cash | ---- | 12.48%11.8M | 12.48%11.8M | ---- | --10.49M | --10.49M | ---- | ---- | ---- | ---- |
-Including:Cash equivalents | ---- | -11.49%3.36M | -11.49%3.36M | ---- | --3.8M | --3.8M | ---- | ---- | ---- | ---- |
Receivables | 37.62%2.44M | -67.84%166.65K | -67.84%166.65K | 25.48%1.77M | -4.75%518.15K | -4.75%518.15K | 50.48%1.41M | 250.34%543.97K | 250.34%543.97K | -18.21%939K |
-Accounts receivable | 37.62%2.44M | 17.14%110.3K | 17.14%110.3K | 25.48%1.77M | -75.75%94.16K | -75.75%94.16K | 50.48%1.41M | 181.55%388.31K | 181.55%388.31K | -18.21%939K |
-Gross accounts receivable | ---- | 17.14%110.3K | 17.14%110.3K | ---- | --94.16K | --94.16K | ---- | ---- | ---- | ---- |
-Other receivables | ---- | -86.71%56.36K | -86.71%56.36K | ---- | 172.39%423.99K | 172.39%423.99K | ---- | 797.17%155.66K | 797.17%155.66K | ---- |
Inventory | 20.70%2.14M | 19.38%1.91M | 19.38%1.91M | -3.11%1.77M | 10.18%1.6M | 10.18%1.6M | 82.82%1.83M | 50.73%1.45M | 50.73%1.45M | 11.59%1M |
Prepaid assets | ---- | 11.67%1.04M | 11.67%1.04M | ---- | -42.59%933.7K | -42.59%933.7K | ---- | 19.28%1.63M | 19.28%1.63M | ---- |
Tax assets-Current | -38.36%847K | -5.15%1.19M | -5.15%1.19M | 57.21%1.37M | 421.28%1.25M | 421.28%1.25M | 377.60%874K | 38.11%239.68K | 38.11%239.68K | -22.78%183K |
Total current assets | 0.67%16.74M | 4.71%19.46M | 4.71%19.46M | 5.60%16.63M | -2.80%18.58M | -2.80%18.58M | -8.62%15.75M | 63.79%19.12M | 63.79%19.12M | 65.66%17.23M |
Non current assets | ||||||||||
Net PPE | 2.53%37.47M | 25.93%37.24M | 25.93%37.24M | 18.80%36.55M | 3.89%29.58M | 3.89%29.58M | 22.11%30.77M | 23.75%28.47M | 23.75%28.47M | 17.24%25.2M |
-Gross PP&E | 2.53%37.47M | 29.55%51.46M | 29.55%51.46M | 18.80%36.55M | 11.20%39.72M | 11.20%39.72M | 22.11%30.77M | 26.93%35.72M | 26.93%35.72M | 17.24%25.2M |
-Accumulated depreciation | ---- | -40.12%-14.22M | -40.12%-14.22M | ---- | -39.87%-10.15M | -39.87%-10.15M | ---- | -41.15%-7.25M | -41.15%-7.25M | ---- |
Total investment | 25.34%3.68M | -2.29%3.08M | -2.29%3.08M | 2.52%2.93M | 18.68%3.15M | 18.68%3.15M | -24.00%2.86M | -19.50%2.65M | -19.50%2.65M | 101.77%3.76M |
-Long-term equity investment | ---- | --0 | --0 | ---- | --0 | --0 | ---- | --0 | --0 | ---- |
-Financial asset investment | ---- | -2.29%3.08M | -2.29%3.08M | ---- | 18.68%3.15M | 18.68%3.15M | ---- | -19.50%2.65M | -19.50%2.65M | ---- |
-Including:Financial assets designated as fair value through profit or loss, Total | ---- | -2.29%3.08M | -2.29%3.08M | ---- | 18.68%3.15M | 18.68%3.15M | ---- | -19.50%2.65M | -19.50%2.65M | ---- |
-Other investment | 25.34%3.68M | ---- | ---- | 2.52%2.93M | ---- | ---- | -24.00%2.86M | ---- | ---- | 101.77%3.76M |
Deferred tax assets-non current | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | --0 | 33.33%8K |
Total non current assets | 4.22%41.15M | 23.21%40.32M | 23.21%40.32M | 17.42%39.48M | 5.15%32.72M | 5.15%32.72M | 16.09%33.63M | 18.31%31.12M | 18.31%31.12M | 22.11%28.97M |
Total assets | 3.17%57.89M | 16.51%59.78M | 16.51%59.78M | 13.65%56.11M | 2.13%51.31M | 2.13%51.31M | 6.87%49.37M | 32.29%50.24M | 32.29%50.24M | 35.38%46.2M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Financial liabilities | 54.90%1.9M | 141.29%1.84M | 141.29%1.84M | 97.42%1.22M | 2.09%764.59K | 2.09%764.59K | -6.63%620K | 1.93%748.96K | 1.93%748.96K | 29.94%664K |
-Current debt and capital lease obligation | 54.90%1.9M | 141.29%1.84M | 141.29%1.84M | 97.42%1.22M | 2.09%764.59K | 2.09%764.59K | -6.63%620K | 1.93%748.96K | 1.93%748.96K | 29.94%664K |
-Including:Current debt | ---- | ---- | ---- | ---- | ---- | ---- | ---- | --0 | --0 | 86.76%254K |
-Including:Current capital Lease obligation | 54.90%1.9M | 141.29%1.84M | 141.29%1.84M | 97.42%1.22M | 2.09%764.59K | 2.09%764.59K | 51.22%620K | 68.41%748.96K | 68.41%748.96K | 9.33%410K |
Payables | -10.02%3.76M | -18.63%3.6M | -18.63%3.6M | -7.14%4.17M | 14.26%4.42M | 14.26%4.42M | -23.43%4.49M | 37.01%3.87M | 37.01%3.87M | 82.78%5.87M |
-accounts payable | -9.61%3.75M | -33.69%627.2K | -33.69%627.2K | 1.17%4.15M | -1.70%945.93K | -1.70%945.93K | -10.22%4.1M | 40.29%962.31K | 40.29%962.31K | 47.50%4.57M |
-Total tax payable | -90.48%2K | --0 | --0 | -94.62%21K | -93.76%35.59K | -93.76%35.59K | -69.95%390K | 41.58%570.74K | 41.58%570.74K | 1,058.93%1.3M |
-Other payable | ---- | -13.64%2.97M | -13.64%2.97M | ---- | 47.23%3.44M | 47.23%3.44M | ---- | 34.65%2.34M | 34.65%2.34M | ---- |
Accrued and deferred income | ---- | -18.04%322.73K | -18.04%322.73K | ---- | -7.28%393.78K | -7.28%393.78K | ---- | -35.57%424.7K | -35.57%424.7K | ---- |
Current liabilities | 4.71%5.65M | 3.33%5.77M | 3.33%5.77M | 5.53%5.4M | 10.64%5.58M | 10.64%5.58M | -21.72%5.11M | 19.56%5.04M | 19.56%5.04M | 75.52%6.53M |
Non current liabilities | ||||||||||
Non current financial liabilities | -4.99%15.08M | 69.33%15.98M | 69.33%15.98M | 45.64%15.88M | -9.18%9.44M | -9.18%9.44M | 5.75%10.9M | -2.46%10.39M | -2.46%10.39M | -3.39%10.31M |
-Long term debt and capital lease obligation | -4.99%15.08M | 69.33%15.98M | 69.33%15.98M | 45.64%15.88M | -9.18%9.44M | -9.18%9.44M | 5.75%10.9M | -2.46%10.39M | -2.46%10.39M | -3.39%10.31M |
-Including:Long term debt | ---- | --0 | --0 | --0 | -92.43%32.09K | -92.43%32.09K | -86.82%424K | -87.42%423.84K | -87.42%423.84K | -10.54%3.22M |
-Including:Long term capital lease obligation | -4.99%15.08M | 69.91%15.98M | 69.91%15.98M | 51.53%15.88M | -5.64%9.41M | -5.64%9.41M | 47.75%10.48M | 36.83%9.97M | 36.83%9.97M | 0.24%7.09M |
Non current deferred liabilities | -34.55%682K | -37.15%655.21K | -37.15%655.21K | 123.13%1.04M | 123.19%1.04M | 123.19%1.04M | -10.54%467K | 12.23%467.1K | 12.23%467.1K | -5.43%522K |
Total non current liabilities | -6.82%15.77M | 58.74%16.64M | 58.74%16.64M | 48.82%16.92M | -3.48%10.48M | -3.48%10.48M | 4.97%11.37M | -1.90%10.86M | -1.90%10.86M | -3.49%10.83M |
Total liabilities | -4.03%21.42M | 39.49%22.4M | 39.49%22.4M | 35.39%22.32M | 0.99%16.06M | 0.99%16.06M | -5.07%16.48M | 4.02%15.9M | 4.02%15.9M | 16.19%17.36M |
Shareholders'equity | ||||||||||
Share capital | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 20.75%18.16M | 20.75%18.16M | 20.25%18.16M |
-common stock | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 0.00%18.16M | 20.75%18.16M | 20.75%18.16M | 20.25%18.16M |
Retained earnings | 17.12%18.31M | 15.09%19.21M | 15.09%19.21M | 9.30%15.63M | 6.00%16.69M | 6.00%16.69M | 34.03%14.3M | 105.96%15.75M | 105.96%15.75M | 161.94%10.67M |
Other equity interest | ---- | ---- | ---- | ---- | -8.25%389.94K | -8.25%389.94K | --425K | --425.03K | --425.03K | ---- |
Total stockholders'equity | 7.92%36.47M | 6.04%37.38M | 6.04%37.38M | 2.75%33.79M | 2.65%35.25M | 2.65%35.25M | 14.07%32.89M | 51.34%34.34M | 51.34%34.34M | 50.34%28.83M |
Total equity | 7.92%36.47M | 6.04%37.38M | 6.04%37.38M | 2.75%33.79M | 2.65%35.25M | 2.65%35.25M | 14.07%32.89M | 51.34%34.34M | 51.34%34.34M | 50.34%28.83M |
Accounting Standards | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP | NonUS-GAAP |
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.