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03347 TIGERMED

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  • 27.350
  • -0.050-0.18%
Not Open Jul 16 16:08 CST
23.66BMarket Cap12.67P/E (TTM)

TIGERMED Key Stats

All
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2021
Assets
Current assets
Inventory
2.37%23.67M
5.38%23.4M
-22.38%27.24M
56.39%26.53M
202.62%23.13M
264.30%22.2M
496.07%35.09M
207.06%16.97M
45.22%7.64M
29.10%6.1M
Developing and for sale properties
----
----
----
----
--3.1M
----
----
----
----
----
Accounts receivable
12.23%1.21B
20.39%1.43B
32.69%1.18B
32.71%1.4B
32.07%1.08B
24.61%1.19B
37.98%886.25M
51.84%1.05B
61.90%815.75M
49.06%952.02M
Notes receivable
-84.62%793.92K
----
128.76%22.16M
----
5.15%5.16M
----
-25.53%9.69M
----
8.07%4.91M
----
Insurance and other receivables-current assets
11.64%84.39M
----
54.76%86.83M
----
8.74%75.59M
----
-41.36%56.11M
----
-39.48%69.51M
----
Withholding and tax receivable
----
65.02%24.98M
----
-54.74%29.36M
----
-56.35%15.14M
----
127.12%64.86M
----
28.36%34.68M
Cash and equivalents
-2.29%7.44B
-4.92%7.4B
-4.29%7.42B
5.18%8.1B
-4.62%7.62B
-7.11%7.78B
-7.83%7.75B
-18.13%7.7B
-17.79%7.99B
-15.88%8.38B
Fixed time deposit-current assets
----
-79.65%11.03M
----
-51.56%32.69M
----
-65.14%54.19M
----
-56.27%67.48M
----
-4.00%155.44M
Secured deposit
----
-63.98%6.89M
----
-14.44%6.88M
----
122.63%19.12M
----
664.83%8.05M
----
16,411.54%8.59M
Financial assets at fair value-current assets
----
68.92%42.14M
----
--20M
----
-14.51%24.95M
----
----
----
--29.18M
Other current assets
48.85%61.9M
--41M
-67.03%34.54M
----
2.68%41.58M
----
196.55%104.77M
----
5.34%40.5M
----
Special items of current assets
-73.50%8.7M
18.19%2.36B
-19.35%25M
31.24%2.36B
-10.03%32.84M
55.63%2B
-37.60%31M
53.81%1.8B
-75.10%36.5M
51.11%1.29B
Total current assets
3.98%11.66B
2.13%11.34B
3.91%11.47B
11.81%11.97B
6.84%11.22B
2.35%11.11B
5.52%11.03B
-6.52%10.71B
-8.70%10.5B
-6.82%10.85B
Non-current assets
Fixed assets
11.57%619.26M
----
14.20%648.67M
----
27.78%555.02M
----
30.01%568.01M
----
36.87%434.36M
----
Property, plant and equipment
----
21.94%1.19B
----
27.29%1.05B
----
39.16%976.68M
----
55.02%824.67M
----
75.26%701.86M
Construction in progress
83.83%407.76M
----
55.16%249.88M
----
-14.01%221.81M
----
-1.30%161.05M
----
154.89%257.96M
----
Associated company interest
----
65.41%2.98B
----
96.62%2.41B
----
143.61%1.8B
----
1,836.22%1.23B
----
1,125.82%738.8M
Secured deposits-non-current assets
----
2.30%2.14M
----
7.70%2.17M
----
9.20%2.09M
----
3.87%2.01M
----
-2.25%1.91M
long-term investment
29.43%2.98B
----
67.46%2.9B
----
89.13%2.3B
----
200.69%1.73B
----
1,994.55%1.22B
----
Financial assets at fair value-non-current assets
----
2.69%10.23B
----
9.63%10.61B
----
13.92%9.96B
----
38.63%9.68B
----
65.27%8.75B
Intangible assets
4.07%349.32M
12.21%309.85M
0.16%313.05M
-0.49%270.41M
28.25%335.65M
17.97%276.15M
158.25%312.54M
137.96%271.74M
91.75%261.71M
87.60%234.09M
Goodwill
12.47%2.81B
11.23%2.76B
13.21%2.83B
8.57%2.55B
12.41%2.5B
39.69%2.49B
32.59%2.5B
60.46%2.35B
53.61%2.22B
23.15%1.78B
Deferred tax assets
7.15%144.07M
11.07%134.79M
36.99%148.65M
44.40%141.53M
46.06%134.46M
20.23%121.35M
-26.61%108.52M
-31.35%98.01M
14.99%92.06M
26.95%100.94M
Other illiquid assets
-22.20%38.85M
150.78%156.9M
-77.49%17.34M
-55.94%29.35M
-61.34%49.93M
-38.42%62.56M
336.80%77.06M
-2.19%66.62M
190.95%129.14M
-8.04%101.61M
Special items of non-current assets
-9.37%682.46M
-12.64%571.15M
-2.49%726.66M
31.43%626.99M
51.43%753.01M
34.31%653.83M
57.29%745.22M
20.06%477.07M
39.34%497.28M
39.97%486.79M
Total non-current assets
8.56%18.41B
12.22%18.34B
15.53%18.61B
18.00%17.69B
18.53%16.96B
26.76%16.34B
40.07%16.11B
53.56%14.99B
62.86%14.31B
63.97%12.89B
Total assets
6.74%30.07B
8.14%29.68B
10.80%30.07B
15.42%29.67B
13.58%28.17B
15.61%27.45B
23.62%27.14B
21.12%25.7B
22.30%24.8B
21.71%23.74B
Liabilities
Current liabilities
Accounts payable
44.79%254.8M
17.71%845.11M
-12.68%168.54M
81.81%1.15B
16.67%175.98M
-18.41%717.95M
53.04%193.03M
-5.72%632.06M
84.43%150.84M
66.17%879.96M
Notes payable
--2.6M
----
----
----
----
----
----
----
--27.12M
----
Tax payable
-15.65%152.29M
44.25%123.88M
-14.26%198.21M
-27.24%98.3M
-40.97%180.54M
-51.32%85.88M
52.21%231.17M
46.36%135.1M
118.43%305.85M
142.13%176.41M
Other payables and accrued expenses
44.71%76.5M
----
25.81%105.1M
----
-62.33%52.86M
----
4.28%83.53M
----
-11.32%140.35M
----
Short-term borrowing
9.41%2.28B
----
20.64%2.53B
----
96.09%2.08B
----
600.09%2.1B
----
--1.06B
----
Bank loans and overdrafts
----
26.67%2.37B
----
35.65%2.39B
----
279.47%1.87B
----
--1.76B
----
--492.32M
Financial lease liabilities-current liabilities
----
4.35%122.88M
----
39.15%119.37M
----
58.04%117.76M
----
40.39%85.78M
----
42.50%74.52M
Other current liabilities
-61.06%20.29M
----
--47.52M
----
--52.09M
----
----
----
----
----
Special items of current liabilities
138.63%911.66M
-27.59%680.49M
-5.83%424.61M
6.92%876.38M
-17.30%382.03M
19.03%939.77M
-0.34%450.9M
30.74%819.62M
36.00%461.94M
62.91%789.51M
Total current liabilities
17.56%4.46B
10.97%4.14B
5.26%4.27B
34.90%4.63B
27.23%3.8B
54.58%3.73B
137.11%4.06B
136.74%3.43B
122.29%2.98B
111.76%2.41B
Net current assets
-2.97%7.2B
-2.34%7.2B
3.12%7.19B
0.90%7.34B
-1.26%7.42B
-12.58%7.38B
-20.24%6.98B
-27.29%7.28B
-26.02%7.51B
-19.68%8.44B
Total assets less current liabilities
5.05%25.61B
7.70%25.54B
11.78%25.8B
12.42%25.03B
11.72%24.38B
11.20%23.72B
14.02%23.08B
12.64%22.27B
15.21%21.82B
16.13%21.33B
Non-current liabilities
Long-term bank loan
54.87%434.75M
77.49%434.22M
641.67%514.55M
669.69%288.57M
--280.71M
--244.64M
--69.38M
--37.49M
----
----
Long-term accounts payable
----
----
----
----
-40.89%40.72M
----
-34.54%83.06M
----
209.19%68.9M
----
Long-term remuneration payable to staff and workers
-93.42%2.42M
----
--49.28M
----
--36.71M
----
----
----
----
----
Financial lease liabilities-non-current liabilities
----
-13.47%423.11M
----
11.01%453.1M
----
20.19%488.98M
----
26.02%408.15M
----
45.81%406.84M
Deferred tax liability
-1.64%213.82M
-0.19%213.98M
8.14%230.26M
8.61%231.39M
21.91%217.38M
6.38%214.39M
51.28%212.92M
35.04%213.05M
44.51%178.32M
52.99%201.54M
Deferred income-non-current liabilities
0.19%14.51M
-1.30%14.59M
-1.83%14.91M
4.54%15.12M
--14.48M
--14.79M
--15.18M
--14.46M
----
----
Retirement benefit responsibility
----
69.18%719K
----
--461K
----
--425K
----
----
----
----
Other non-current liabilities
----
-97.50%1.82M
----
-11.88%86.94M
----
-36.72%72.69M
----
137.31%98.65M
----
17.83%114.88M
Special items of non-current liabilities
-12.67%407.49M
----
-13.12%440.14M
----
17.14%466.59M
----
35.02%506.59M
----
40.73%398.33M
----
Total non-current liabilities
1.55%1.07B
5.07%1.09B
40.81%1.25B
39.36%1.08B
63.68%1.06B
43.23%1.04B
38.01%887.13M
47.51%771.8M
50.57%645.54M
42.31%723.26M
Total liabilities
14.08%5.54B
9.69%5.23B
11.63%5.52B
35.72%5.71B
33.71%4.85B
51.96%4.77B
110.05%4.95B
113.09%4.21B
104.93%3.63B
90.34%3.14B
Total assets less total liabilities
5.21%24.53B
7.82%24.45B
10.62%24.55B
11.45%23.96B
10.13%23.32B
10.07%22.68B
13.23%22.19B
11.69%21.5B
14.39%21.17B
15.38%20.61B
Total equity and non-current liabilities
5.05%25.61B
7.70%25.54B
11.78%25.8B
12.42%25.03B
11.72%24.38B
11.20%23.72B
14.02%23.08B
12.64%22.27B
15.21%21.82B
16.13%21.33B
Equity
Share capital
0.00%872.42M
0.00%872.42M
0.00%872.42M
0.00%872.42M
-0.00%872.42M
-0.00%872.42M
0.00%872.42M
-0.01%872.42M
-0.01%872.44M
-0.01%872.44M
Reserve
----
7.34%21.07B
----
10.34%20.64B
----
9.69%19.63B
----
14.82%18.7B
----
15.89%17.89B
Legal reserve
11.40%436.53M
7.34%21.07B
23.47%391.86M
10.34%20.64B
23.47%391.86M
9.69%19.63B
42.81%317.39M
14.82%18.7B
42.81%317.39M
15.89%17.89B
Capital reserve
-2.44%11.59B
----
0.55%11.88B
----
-0.20%11.88B
----
-0.35%11.82B
----
0.57%11.9B
----
Undistributed profit
14.94%9.01B
----
24.94%8.67B
----
24.64%7.84B
----
45.47%6.94B
----
69.57%6.29B
----
Special items of shareholders' rights and interests
6.78%965.3M
0.00%-869.34M
-0.20%976.33M
0.00%-869.34M
36.76%904.03M
-50.10%-869.34M
208.66%978.31M
-983.69%-869.34M
1,879.23%661.03M
-266.78%-579.19M
Shareholders' Equity
4.90%21.13B
7.34%21.07B
9.74%21.06B
10.33%20.64B
9.45%20.15B
7.93%19.63B
11.68%19.19B
9.52%18.71B
12.07%18.4B
12.58%18.19B
Non-controlling interest
7.18%3.4B
10.87%3.38B
16.26%3.49B
18.91%3.32B
14.63%3.17B
26.15%3.05B
24.23%3B
28.82%2.79B
32.64%2.77B
41.95%2.42B
Total equity
5.21%24.53B
7.82%24.45B
10.62%24.55B
11.45%23.96B
10.13%23.32B
10.07%22.68B
13.23%22.19B
11.69%21.5B
14.39%21.17B
15.38%20.61B
Total equity and total liabilities
6.74%30.07B
8.14%29.68B
10.80%30.07B
15.42%29.67B
13.58%28.17B
15.61%27.45B
23.62%27.14B
21.12%25.7B
22.30%24.8B
21.71%23.74B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
Audit Opinions
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
Auditor
--
Lixin Certified Public Accountants (Special General Partnership), Hong Kong Lixin Dehao Certified Public Accountants Limited
--
--
--
Lixin Certified Public Accountants (Special General Partnership), Hong Kong Lixin Dehao Certified Public Accountants Limited
--
--
--
Lixin Certified Public Accountants (Special General Partnership), Hong Kong Lixin Dehao Certified Public Accountants Limited
(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(FY)Dec 31, 2021
Assets
Current assets
Inventory 2.37%23.67M5.38%23.4M-22.38%27.24M56.39%26.53M202.62%23.13M264.30%22.2M496.07%35.09M207.06%16.97M45.22%7.64M29.10%6.1M
Developing and for sale properties ------------------3.1M--------------------
Accounts receivable 12.23%1.21B20.39%1.43B32.69%1.18B32.71%1.4B32.07%1.08B24.61%1.19B37.98%886.25M51.84%1.05B61.90%815.75M49.06%952.02M
Notes receivable -84.62%793.92K----128.76%22.16M----5.15%5.16M-----25.53%9.69M----8.07%4.91M----
Insurance and other receivables-current assets 11.64%84.39M----54.76%86.83M----8.74%75.59M-----41.36%56.11M-----39.48%69.51M----
Withholding and tax receivable ----65.02%24.98M-----54.74%29.36M-----56.35%15.14M----127.12%64.86M----28.36%34.68M
Cash and equivalents -2.29%7.44B-4.92%7.4B-4.29%7.42B5.18%8.1B-4.62%7.62B-7.11%7.78B-7.83%7.75B-18.13%7.7B-17.79%7.99B-15.88%8.38B
Fixed time deposit-current assets -----79.65%11.03M-----51.56%32.69M-----65.14%54.19M-----56.27%67.48M-----4.00%155.44M
Secured deposit -----63.98%6.89M-----14.44%6.88M----122.63%19.12M----664.83%8.05M----16,411.54%8.59M
Financial assets at fair value-current assets ----68.92%42.14M------20M-----14.51%24.95M--------------29.18M
Other current assets 48.85%61.9M--41M-67.03%34.54M----2.68%41.58M----196.55%104.77M----5.34%40.5M----
Special items of current assets -73.50%8.7M18.19%2.36B-19.35%25M31.24%2.36B-10.03%32.84M55.63%2B-37.60%31M53.81%1.8B-75.10%36.5M51.11%1.29B
Total current assets 3.98%11.66B2.13%11.34B3.91%11.47B11.81%11.97B6.84%11.22B2.35%11.11B5.52%11.03B-6.52%10.71B-8.70%10.5B-6.82%10.85B
Non-current assets
Fixed assets 11.57%619.26M----14.20%648.67M----27.78%555.02M----30.01%568.01M----36.87%434.36M----
Property, plant and equipment ----21.94%1.19B----27.29%1.05B----39.16%976.68M----55.02%824.67M----75.26%701.86M
Construction in progress 83.83%407.76M----55.16%249.88M-----14.01%221.81M-----1.30%161.05M----154.89%257.96M----
Associated company interest ----65.41%2.98B----96.62%2.41B----143.61%1.8B----1,836.22%1.23B----1,125.82%738.8M
Secured deposits-non-current assets ----2.30%2.14M----7.70%2.17M----9.20%2.09M----3.87%2.01M-----2.25%1.91M
long-term investment 29.43%2.98B----67.46%2.9B----89.13%2.3B----200.69%1.73B----1,994.55%1.22B----
Financial assets at fair value-non-current assets ----2.69%10.23B----9.63%10.61B----13.92%9.96B----38.63%9.68B----65.27%8.75B
Intangible assets 4.07%349.32M12.21%309.85M0.16%313.05M-0.49%270.41M28.25%335.65M17.97%276.15M158.25%312.54M137.96%271.74M91.75%261.71M87.60%234.09M
Goodwill 12.47%2.81B11.23%2.76B13.21%2.83B8.57%2.55B12.41%2.5B39.69%2.49B32.59%2.5B60.46%2.35B53.61%2.22B23.15%1.78B
Deferred tax assets 7.15%144.07M11.07%134.79M36.99%148.65M44.40%141.53M46.06%134.46M20.23%121.35M-26.61%108.52M-31.35%98.01M14.99%92.06M26.95%100.94M
Other illiquid assets -22.20%38.85M150.78%156.9M-77.49%17.34M-55.94%29.35M-61.34%49.93M-38.42%62.56M336.80%77.06M-2.19%66.62M190.95%129.14M-8.04%101.61M
Special items of non-current assets -9.37%682.46M-12.64%571.15M-2.49%726.66M31.43%626.99M51.43%753.01M34.31%653.83M57.29%745.22M20.06%477.07M39.34%497.28M39.97%486.79M
Total non-current assets 8.56%18.41B12.22%18.34B15.53%18.61B18.00%17.69B18.53%16.96B26.76%16.34B40.07%16.11B53.56%14.99B62.86%14.31B63.97%12.89B
Total assets 6.74%30.07B8.14%29.68B10.80%30.07B15.42%29.67B13.58%28.17B15.61%27.45B23.62%27.14B21.12%25.7B22.30%24.8B21.71%23.74B
Liabilities
Current liabilities
Accounts payable 44.79%254.8M17.71%845.11M-12.68%168.54M81.81%1.15B16.67%175.98M-18.41%717.95M53.04%193.03M-5.72%632.06M84.43%150.84M66.17%879.96M
Notes payable --2.6M------------------------------27.12M----
Tax payable -15.65%152.29M44.25%123.88M-14.26%198.21M-27.24%98.3M-40.97%180.54M-51.32%85.88M52.21%231.17M46.36%135.1M118.43%305.85M142.13%176.41M
Other payables and accrued expenses 44.71%76.5M----25.81%105.1M-----62.33%52.86M----4.28%83.53M-----11.32%140.35M----
Short-term borrowing 9.41%2.28B----20.64%2.53B----96.09%2.08B----600.09%2.1B------1.06B----
Bank loans and overdrafts ----26.67%2.37B----35.65%2.39B----279.47%1.87B------1.76B------492.32M
Financial lease liabilities-current liabilities ----4.35%122.88M----39.15%119.37M----58.04%117.76M----40.39%85.78M----42.50%74.52M
Other current liabilities -61.06%20.29M------47.52M------52.09M--------------------
Special items of current liabilities 138.63%911.66M-27.59%680.49M-5.83%424.61M6.92%876.38M-17.30%382.03M19.03%939.77M-0.34%450.9M30.74%819.62M36.00%461.94M62.91%789.51M
Total current liabilities 17.56%4.46B10.97%4.14B5.26%4.27B34.90%4.63B27.23%3.8B54.58%3.73B137.11%4.06B136.74%3.43B122.29%2.98B111.76%2.41B
Net current assets -2.97%7.2B-2.34%7.2B3.12%7.19B0.90%7.34B-1.26%7.42B-12.58%7.38B-20.24%6.98B-27.29%7.28B-26.02%7.51B-19.68%8.44B
Total assets less current liabilities 5.05%25.61B7.70%25.54B11.78%25.8B12.42%25.03B11.72%24.38B11.20%23.72B14.02%23.08B12.64%22.27B15.21%21.82B16.13%21.33B
Non-current liabilities
Long-term bank loan 54.87%434.75M77.49%434.22M641.67%514.55M669.69%288.57M--280.71M--244.64M--69.38M--37.49M--------
Long-term accounts payable -----------------40.89%40.72M-----34.54%83.06M----209.19%68.9M----
Long-term remuneration payable to staff and workers -93.42%2.42M------49.28M------36.71M--------------------
Financial lease liabilities-non-current liabilities -----13.47%423.11M----11.01%453.1M----20.19%488.98M----26.02%408.15M----45.81%406.84M
Deferred tax liability -1.64%213.82M-0.19%213.98M8.14%230.26M8.61%231.39M21.91%217.38M6.38%214.39M51.28%212.92M35.04%213.05M44.51%178.32M52.99%201.54M
Deferred income-non-current liabilities 0.19%14.51M-1.30%14.59M-1.83%14.91M4.54%15.12M--14.48M--14.79M--15.18M--14.46M--------
Retirement benefit responsibility ----69.18%719K------461K------425K----------------
Other non-current liabilities -----97.50%1.82M-----11.88%86.94M-----36.72%72.69M----137.31%98.65M----17.83%114.88M
Special items of non-current liabilities -12.67%407.49M-----13.12%440.14M----17.14%466.59M----35.02%506.59M----40.73%398.33M----
Total non-current liabilities 1.55%1.07B5.07%1.09B40.81%1.25B39.36%1.08B63.68%1.06B43.23%1.04B38.01%887.13M47.51%771.8M50.57%645.54M42.31%723.26M
Total liabilities 14.08%5.54B9.69%5.23B11.63%5.52B35.72%5.71B33.71%4.85B51.96%4.77B110.05%4.95B113.09%4.21B104.93%3.63B90.34%3.14B
Total assets less total liabilities 5.21%24.53B7.82%24.45B10.62%24.55B11.45%23.96B10.13%23.32B10.07%22.68B13.23%22.19B11.69%21.5B14.39%21.17B15.38%20.61B
Total equity and non-current liabilities 5.05%25.61B7.70%25.54B11.78%25.8B12.42%25.03B11.72%24.38B11.20%23.72B14.02%23.08B12.64%22.27B15.21%21.82B16.13%21.33B
Equity
Share capital 0.00%872.42M0.00%872.42M0.00%872.42M0.00%872.42M-0.00%872.42M-0.00%872.42M0.00%872.42M-0.01%872.42M-0.01%872.44M-0.01%872.44M
Reserve ----7.34%21.07B----10.34%20.64B----9.69%19.63B----14.82%18.7B----15.89%17.89B
Legal reserve 11.40%436.53M7.34%21.07B23.47%391.86M10.34%20.64B23.47%391.86M9.69%19.63B42.81%317.39M14.82%18.7B42.81%317.39M15.89%17.89B
Capital reserve -2.44%11.59B----0.55%11.88B-----0.20%11.88B-----0.35%11.82B----0.57%11.9B----
Undistributed profit 14.94%9.01B----24.94%8.67B----24.64%7.84B----45.47%6.94B----69.57%6.29B----
Special items of shareholders' rights and interests 6.78%965.3M0.00%-869.34M-0.20%976.33M0.00%-869.34M36.76%904.03M-50.10%-869.34M208.66%978.31M-983.69%-869.34M1,879.23%661.03M-266.78%-579.19M
Shareholders' Equity 4.90%21.13B7.34%21.07B9.74%21.06B10.33%20.64B9.45%20.15B7.93%19.63B11.68%19.19B9.52%18.71B12.07%18.4B12.58%18.19B
Non-controlling interest 7.18%3.4B10.87%3.38B16.26%3.49B18.91%3.32B14.63%3.17B26.15%3.05B24.23%3B28.82%2.79B32.64%2.77B41.95%2.42B
Total equity 5.21%24.53B7.82%24.45B10.62%24.55B11.45%23.96B10.13%23.32B10.07%22.68B13.23%22.19B11.69%21.5B14.39%21.17B15.38%20.61B
Total equity and total liabilities 6.74%30.07B8.14%29.68B10.80%30.07B15.42%29.67B13.58%28.17B15.61%27.45B23.62%27.14B21.12%25.7B22.30%24.8B21.71%23.74B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)IASCAS (2007)IASCAS (2007)IASCAS (2007)IASCAS (2007)IAS
Audit Opinions --Unqualified Opinion------Unqualified Opinion------Unqualified Opinion
Auditor --Lixin Certified Public Accountants (Special General Partnership), Hong Kong Lixin Dehao Certified Public Accountants Limited------Lixin Certified Public Accountants (Special General Partnership), Hong Kong Lixin Dehao Certified Public Accountants Limited------Lixin Certified Public Accountants (Special General Partnership), Hong Kong Lixin Dehao 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.

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