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03395 JX ENERGY

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Not Open Aug 29 16:08 CST
94.12MMarket Cap-674P/E (TTM)

JX ENERGY Key Stats

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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
-79.16%-7.28M
-63.60%-3.43M
-462.85%-20.15M
-202.55%-6.92M
-148.61%-4.06M
-169.90%-2.1M
25.57%-3.58M
307.10%6.75M
275.31%8.36M
205.54%3M
Profit adjustment
Impairment and provisions:
-63.96%18.69K
----
1,260.92%10.39M
100.70%56.83K
100.64%51.87K
----
117.70%763.28K
-104.49%-8.15M
---8.15M
---4.03M
-Other impairments and provisions
-63.96%18.69K
----
1,260.92%10.39M
100.70%56.83K
100.64%51.87K
----
117.70%763.28K
-104.49%-8.15M
---8.15M
---4.03M
Asset sale loss (gain):
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--196.46K
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-Loss (gain) from selling other assets
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--196.46K
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----
----
----
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Depreciation and amortization:
-45.95%1.31M
-28.71%996.24K
-12.39%5.33M
-7.91%3.96M
-19.92%2.42M
-5.26%1.4M
9.28%6.09M
9.46%4.3M
11.81%3.02M
6.74%1.48M
-Depreciation
-45.95%1.31M
-28.71%996.24K
-12.39%5.33M
-7.91%3.96M
-19.92%2.42M
-5.26%1.4M
9.28%6.09M
9.46%4.3M
11.81%3.02M
6.74%1.48M
Financial expense
233.87%737.59K
72.77%420.85K
-23.67%861.87K
-68.99%250.22K
-60.34%220.92K
-15.16%243.59K
-18.40%1.13M
-29.63%807K
-26.12%557.02K
-27.85%287.13K
Unrealized exchange loss (gain)
174.33%404.65K
244.30%311.83K
-690,354.67%-517.84K
-233,379.21%-235.81K
-18,145,600.00%-544.37K
-360,260.00%-216.1K
-112.36%-75
-148.33%-101
-99.77%3
-91.97%60
Special items
121.38%4.91K
147.15%33.15K
-129.47%-54.66K
-372.16%-102.88K
-191.21%-22.98K
-657.98%-70.31K
57.71%185.47K
-57.14%37.8K
-57.14%25.2K
-57.14%12.6K
Adjustment items
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---1M
----
----
----
----
----
----
----
Operating profit before the change of operating capital
-148.00%-4.8M
-124.82%-1.67M
-207.62%-4.94M
-180.15%-3M
-150.83%-1.94M
-199.46%-741.79K
324.10%4.59M
279.43%3.74M
404.74%3.81M
172.29%745.8K
Change of operating capital
Cash  from business operations
-148.00%-4.8M
-124.82%-1.67M
-207.62%-4.94M
-180.15%-3M
-150.83%-1.94M
-199.46%-741.79K
324.10%4.59M
279.43%3.74M
404.74%3.81M
172.29%745.8K
Special items of business
-28.94%3.05M
-28.16%1.71M
3.96%9.04M
31.70%5.73M
156.74%4.29M
125.59%2.38M
101.72%8.69M
28.84%4.35M
-41.94%1.67M
-52.29%1.05M
Net cash from operations
-174.69%-1.76M
-97.52%40.63K
-69.14%4.1M
-66.30%2.73M
-57.10%2.35M
-9.09%1.64M
487.23%13.28M
527.58%8.09M
236.97%5.48M
52.81%1.8M
Cash flow from investment activities
Purchase of fixed assets
47.76%-70.97K
----
88.62%-1.12M
96.60%-209.14K
97.11%-135.86K
96.98%-54.62K
---9.83M
---6.14M
-289.76%-4.69M
-121.08%-1.81M
Selling intangible assets
--1.9M
----
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----
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----
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----
Purchase of intangible assets
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-42.31%-2.66M
----
----
----
---1.87M
----
----
----
Recovery of cash from investments
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--121.58K
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----
----
----
----
----
Cash on investment
82.52%-241.79K
88.55%-154.89K
----
-1,579.79%-2.18M
---1.38M
---1.35M
----
110.02%147.38K
----
----
Other items in the investment business
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----
----
----
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-3,653.64%-19.01K
----
Net cash from investment operations
204.47%1.59M
88.99%-154.89K
68.77%-3.65M
60.14%-2.39M
67.77%-1.52M
22.31%-1.41M
-139.18%-11.69M
-230.40%-6M
-291.51%-4.71M
-121.08%-1.81M
Net cash before financing
-120.34%-169.24K
-149.86%-114.25K
-71.90%445.3K
-83.91%337.35K
8.45%832.25K
2,133.82%229.15K
160.29%1.58M
499.01%2.1M
81.59%767.42K
-103.14%-11.27K
Cash flow from financing activities
New borrowing
-99.45%87K
-99.45%87K
----
--15.78M
--15.78M
--15.78M
----
----
----
----
Refund
89.37%-1.73M
97.05%-465.67K
48.88%-1.76M
-115.47%-17.27M
-116.62%-16.31M
-585.55%-15.77M
21.39%-3.44M
---8.01M
---7.53M
---2.3M
Issuing shares
--2.53M
--1.28M
-74.07%1.86M
----
----
----
--7.19M
----
--4.48M
----
Interest paid - financing
44.98%-44.93K
51.24%-23.48K
40.36%-172.87K
26.56%-125.34K
27.98%-81.67K
15.06%-48.16K
1.86%-289.85K
22.43%-170.66K
21.64%-113.39K
18.30%-56.7K
Absorb investment income
--1.56M
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Issuance expenses and redemption of securities expenses
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-74.24%1.86M
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--7.23M
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Other items of the financing business
---1.63M
---467.81K
112.03%546.57K
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----
----
-160.21%-4.54M
----
--2.75M
--2.48M
Adjustment item of financing business
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--1
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Net cash from financing operations
136.09%383.56K
169.43%210.2K
77.35%-416.52K
72.17%-434.78K
-30.20%-1.06M
-277.94%-302.75K
-185.74%-1.84M
-311.49%-1.56M
-62.85%-816.22K
66.78%-80.1K
Effect of rate
-99.19%52
-72.73%3
1,629.33%1.3K
1,231.68%1.35K
214,900.00%6.44K
118.33%11
112.36%75
148.33%101
99.77%-3
91.97%-60
Other items affecting net cash
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--1
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Net Cash
193.00%214.32K
230.36%95.95K
111.30%28.78K
-118.25%-97.43K
-372.20%-230.45K
19.45%-73.6K
47.25%-254.78K
150.30%533.98K
37.91%-48.8K
-177.74%-91.37K
Begining period cash
9.03%363.31K
9.03%363.31K
-43.32%333.23K
-43.32%333.23K
-43.32%333.23K
-43.32%333.23K
-45.13%587.93K
-45.13%587.93K
-45.13%587.93K
-45.13%587.93K
Cash at the end
428.93%577.68K
76.88%459.25K
9.03%363.31K
-78.86%237.15K
-79.74%109.22K
-47.71%259.64K
-43.32%333.23K
-12.66%1.12M
-45.63%539.13K
-58.22%496.5K
Cash balance analysis
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Auditor
--
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
--
--
Hong Kong Lixin Dehao 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 -79.16%-7.28M-63.60%-3.43M-462.85%-20.15M-202.55%-6.92M-148.61%-4.06M-169.90%-2.1M25.57%-3.58M307.10%6.75M275.31%8.36M205.54%3M
Profit adjustment
Impairment and provisions: -63.96%18.69K----1,260.92%10.39M100.70%56.83K100.64%51.87K----117.70%763.28K-104.49%-8.15M---8.15M---4.03M
-Other impairments and provisions -63.96%18.69K----1,260.92%10.39M100.70%56.83K100.64%51.87K----117.70%763.28K-104.49%-8.15M---8.15M---4.03M
Asset sale loss (gain): ----------196.46K----------------------------
-Loss (gain) from selling other assets ----------196.46K----------------------------
Depreciation and amortization: -45.95%1.31M-28.71%996.24K-12.39%5.33M-7.91%3.96M-19.92%2.42M-5.26%1.4M9.28%6.09M9.46%4.3M11.81%3.02M6.74%1.48M
-Depreciation -45.95%1.31M-28.71%996.24K-12.39%5.33M-7.91%3.96M-19.92%2.42M-5.26%1.4M9.28%6.09M9.46%4.3M11.81%3.02M6.74%1.48M
Financial expense 233.87%737.59K72.77%420.85K-23.67%861.87K-68.99%250.22K-60.34%220.92K-15.16%243.59K-18.40%1.13M-29.63%807K-26.12%557.02K-27.85%287.13K
Unrealized exchange loss (gain) 174.33%404.65K244.30%311.83K-690,354.67%-517.84K-233,379.21%-235.81K-18,145,600.00%-544.37K-360,260.00%-216.1K-112.36%-75-148.33%-101-99.77%3-91.97%60
Special items 121.38%4.91K147.15%33.15K-129.47%-54.66K-372.16%-102.88K-191.21%-22.98K-657.98%-70.31K57.71%185.47K-57.14%37.8K-57.14%25.2K-57.14%12.6K
Adjustment items -----------1M----------------------------
Operating profit before the change of operating capital -148.00%-4.8M-124.82%-1.67M-207.62%-4.94M-180.15%-3M-150.83%-1.94M-199.46%-741.79K324.10%4.59M279.43%3.74M404.74%3.81M172.29%745.8K
Change of operating capital
Cash  from business operations -148.00%-4.8M-124.82%-1.67M-207.62%-4.94M-180.15%-3M-150.83%-1.94M-199.46%-741.79K324.10%4.59M279.43%3.74M404.74%3.81M172.29%745.8K
Special items of business -28.94%3.05M-28.16%1.71M3.96%9.04M31.70%5.73M156.74%4.29M125.59%2.38M101.72%8.69M28.84%4.35M-41.94%1.67M-52.29%1.05M
Net cash from operations -174.69%-1.76M-97.52%40.63K-69.14%4.1M-66.30%2.73M-57.10%2.35M-9.09%1.64M487.23%13.28M527.58%8.09M236.97%5.48M52.81%1.8M
Cash flow from investment activities
Purchase of fixed assets 47.76%-70.97K----88.62%-1.12M96.60%-209.14K97.11%-135.86K96.98%-54.62K---9.83M---6.14M-289.76%-4.69M-121.08%-1.81M
Selling intangible assets --1.9M------------------------------------
Purchase of intangible assets ---------42.31%-2.66M---------------1.87M------------
Recovery of cash from investments ----------121.58K----------------------------
Cash on investment 82.52%-241.79K88.55%-154.89K-----1,579.79%-2.18M---1.38M---1.35M----110.02%147.38K--------
Other items in the investment business ---------------------------------3,653.64%-19.01K----
Net cash from investment operations 204.47%1.59M88.99%-154.89K68.77%-3.65M60.14%-2.39M67.77%-1.52M22.31%-1.41M-139.18%-11.69M-230.40%-6M-291.51%-4.71M-121.08%-1.81M
Net cash before financing -120.34%-169.24K-149.86%-114.25K-71.90%445.3K-83.91%337.35K8.45%832.25K2,133.82%229.15K160.29%1.58M499.01%2.1M81.59%767.42K-103.14%-11.27K
Cash flow from financing activities
New borrowing -99.45%87K-99.45%87K------15.78M--15.78M--15.78M----------------
Refund 89.37%-1.73M97.05%-465.67K48.88%-1.76M-115.47%-17.27M-116.62%-16.31M-585.55%-15.77M21.39%-3.44M---8.01M---7.53M---2.3M
Issuing shares --2.53M--1.28M-74.07%1.86M--------------7.19M------4.48M----
Interest paid - financing 44.98%-44.93K51.24%-23.48K40.36%-172.87K26.56%-125.34K27.98%-81.67K15.06%-48.16K1.86%-289.85K22.43%-170.66K21.64%-113.39K18.30%-56.7K
Absorb investment income --1.56M------------------------------------
Issuance expenses and redemption of securities expenses -------------74.24%1.86M--------------7.23M--------
Other items of the financing business ---1.63M---467.81K112.03%546.57K-------------160.21%-4.54M------2.75M--2.48M
Adjustment item of financing business --------------------------1------------
Net cash from financing operations 136.09%383.56K169.43%210.2K77.35%-416.52K72.17%-434.78K-30.20%-1.06M-277.94%-302.75K-185.74%-1.84M-311.49%-1.56M-62.85%-816.22K66.78%-80.1K
Effect of rate -99.19%52-72.73%31,629.33%1.3K1,231.68%1.35K214,900.00%6.44K118.33%11112.36%75148.33%10199.77%-391.97%-60
Other items affecting net cash ------------------------------1--------
Net Cash 193.00%214.32K230.36%95.95K111.30%28.78K-118.25%-97.43K-372.20%-230.45K19.45%-73.6K47.25%-254.78K150.30%533.98K37.91%-48.8K-177.74%-91.37K
Begining period cash 9.03%363.31K9.03%363.31K-43.32%333.23K-43.32%333.23K-43.32%333.23K-43.32%333.23K-45.13%587.93K-45.13%587.93K-45.13%587.93K-45.13%587.93K
Cash at the end 428.93%577.68K76.88%459.25K9.03%363.31K-78.86%237.15K-79.74%109.22K-47.71%259.64K-43.32%333.23K-12.66%1.12M-45.63%539.13K-58.22%496.5K
Cash balance analysis
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Auditor ----Hong Kong Lixin Dehao Certified Public Accountants Limited------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.

Analysis

Analyst Rating

No Data

Price Target

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