HK Stock MarketDetailed Quotes

03898 TIMES ELECTRIC

Watchlist
  • 29.250
  • +0.450+1.56%
Market Closed Sep 27 16:08 CST
41.29BMarket Cap10.90P/E (TTM)

TIMES ELECTRIC 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
34.73%1.6B
----
21.53%3.15B
----
35.18%1.19B
----
27.39%2.59B
----
25.05%879.09M
----
Profit adjustment
Investment loss (gain)
36.70%-18.15M
----
-470.50%-87.09M
----
-278.52%-28.67M
----
155.03%23.5M
----
150.85%16.06M
----
Impairment and provisions:
23.11%137.75M
----
3,013.43%341.09M
----
-28.36%111.9M
----
-129.24%-11.71M
----
37.29%156.19M
----
-Other impairments and provisions
27.27%96.2M
----
321.82%260M
----
82.55%75.59M
----
150.59%61.64M
----
11.84%41.41M
----
Revaluation surplus:
33.03%-27.78M
----
53.99%-76.38M
----
60.98%-41.47M
----
-133.42%-166.03M
----
-1,096.46%-106.3M
----
Asset sale loss (gain):
-1,479.35%-2.96M
----
31.86%-2.78M
----
40.38%-187.33K
----
-296.74%-4.08M
----
-256.96%-314.2K
----
-Loss (gain) on sale of property, machinery and equipment
-1,479.35%-2.96M
----
31.86%-2.78M
----
40.38%-187.33K
----
-296.74%-4.08M
----
-256.96%-314.2K
----
Depreciation and amortization:
23.07%581.84M
----
22.68%1B
----
22.52%472.77M
----
35.41%815.9M
----
33.28%385.86M
----
-Amortization of intangible assets
62.60%121.3M
----
30.64%180.05M
----
7.00%74.6M
----
2.17%137.82M
----
1.89%69.72M
----
-Other depreciation and amortization
20.96%4.91M
----
33.92%11.93M
----
15.19%4.06M
----
-8.43%8.91M
----
32.86%3.52M
----
Financial expense
46.26%-31.94M
----
-57.11%-129.61M
----
-62.93%-59.43M
----
-491.54%-82.49M
----
-1,407.33%-36.47M
----
Change of operating capital
Inventory (increase) decrease
3.47%-653.14M
----
152.05%410.51M
----
46.11%-676.63M
----
-4.42%-788.71M
----
3.05%-1.26B
----
Accounts receivable (increase)decrease
-6.86%-2.06B
----
-29.55%-3.75B
----
17.66%-1.93B
----
-269.45%-2.89B
----
-67.89%-2.35B
----
Accounts payable increase (decrease)
184.17%1.7B
----
-5.45%2.38B
----
-68.68%598.42M
----
106.17%2.51B
----
511.02%1.91B
----
Special items of business
-446.74%-552.36M
----
-1,183.27%-453.94M
----
-121.72%-101.03M
----
135.72%41.9M
----
-0.94%-45.57M
----
Adjustment items of business operations
433.14%1.22B
62.09%-482.27M
61.85%3.24B
-163.10%-233.85M
7.60%-367.03M
0.35%-1.27B
-11.83%2B
113.70%370.59M
80.98%-397.23M
12.88%-1.28B
Net cash from operations
243.22%670.36M
62.09%-482.27M
36.28%2.78B
-163.10%-233.85M
-5.70%-468.06M
0.35%-1.27B
-5.07%2.04B
113.70%370.59M
79.25%-442.8M
12.88%-1.28B
Cash flow from investment activities
Dividend received - investment
9.86%133.9M
-16.32%46.88M
-36.22%198.82M
-28.96%161.99M
22.05%121.88M
-14.07%56.02M
171.11%311.74M
175.55%228.04M
133.67%99.86M
165.08%65.2M
Sale of fixed assets
636.18%7.33M
488.50%1.87M
-65.81%7.66M
714.26%6.59M
23.13%996.17K
1,285.20%317.59K
717.46%22.41M
-79.24%809.07K
171.34%809.07K
-82.56%22.93K
Purchase of fixed assets
-96.48%-1.79B
21.11%-330.77M
-212.61%-2.98B
-195.33%-1.53B
-205.07%-911.25M
-395.86%-419.28M
2.11%-953.44M
9.54%-518.09M
30.54%-298.7M
55.59%-84.56M
Recovery of cash from investments
-24.27%7.5B
-41.32%3.77B
-22.58%16.61B
-8.00%13.61B
16.88%9.91B
33.32%6.43B
40.40%21.45B
34.52%14.8B
0.90%8.48B
9.79%4.82B
Cash on investment
1.33%-8.93B
47.43%-3.08B
30.19%-16.12B
18.60%-12.03B
23.12%-9.05B
-1.27%-5.85B
---23.09B
-16.89%-14.77B
-61.61%-11.77B
-96.40%-5.78B
Other items in the investment business
----
----
--12.34M
--12.34M
----
----
----
----
----
----
Net cash from investment operations
-4,496.47%-3.07B
96.48%411.98M
-0.61%-2.28B
189.86%238.16M
102.00%69.93M
121.41%209.67M
62.37%-2.26B
87.52%-265.04M
-578.36%-3.49B
-176.44%-979.44M
Net cash before financing
-503.85%-2.4B
93.38%-70.3M
327.79%505.12M
-95.92%4.31M
89.88%-398.13M
52.91%-1.06B
94.26%-221.75M
102.19%105.55M
-180.33%-3.93B
-1,125.18%-2.26B
Cash flow from financing activities
New borrowing
16.26%317.85M
72.08%315.2M
206.17%820.09M
955.04%603.4M
728.99%273.4M
6,446.76%183.17M
1.03%267.86M
-19.73%57.19M
-11.95%32.98M
-85.98%2.8M
Refund
4.33%-157.27M
96.79%-4.98M
-205.70%-479.84M
-232.92%-289.19M
-112.78%-164.4M
-299.84%-155.52M
32.45%-156.97M
-172.43%-86.87M
-172.38%-77.26M
-33.49%-38.9M
Dividends paid - financing
-19.25%-20.06M
-59.32%-7.45M
-26.47%-841.7M
-20.73%-782.99M
-374.97%-16.82M
-1,035.17%-4.67M
1.17%-665.53M
-6,908.09%-648.57M
49.19%-3.54M
32.67%-411.74K
Absorb investment income
--4.52B
----
-70.65%49.9M
149.50%49.9M
----
----
-97.79%170M
-99.73%20M
4,900.00%20M
----
Other items of the financing business
-199.32%-162.71M
-380.24%-105.9M
33.49%-137.51M
-26.45%-82.13M
-46.25%-54.36M
-57.20%-22.05M
-148.17%-206.75M
-49.24%-64.95M
7.70%-37.17M
-13.63%-14.03M
Net cash from financing operations
11,787.63%4.5B
21,139.87%196.87M
0.39%-589.06M
30.72%-501.02M
158.18%37.82M
101.83%926.88K
-108.48%-591.38M
-109.66%-723.19M
-72.16%-64.99M
-128.32%-50.54M
Effect of rate
-118.55%-917.56K
-238.74%-1.23M
274.12%18.51M
-180.61%-1.37M
566.63%4.95M
219.40%884.07K
140.32%4.95M
131.53%1.69M
44.01%-1.06M
-358.25%-740.42K
Net Cash
680.42%2.09B
111.92%126.57M
89.68%-83.94M
19.58%-496.71M
90.99%-360.31M
53.98%-1.06B
-126.13%-813.13M
-123.23%-617.63M
-177.50%-4B
-1,018.21%-2.31B
Begining period cash
-0.92%7.01B
-0.92%7.01B
-10.25%7.07B
-10.25%7.07B
-10.25%7.07B
-10.25%7.07B
64.78%7.88B
64.78%7.88B
64.78%7.88B
64.78%7.88B
Cash at the end
35.42%9.1B
18.63%7.13B
-0.92%7.01B
-9.50%6.58B
73.09%6.72B
7.86%6.01B
-10.25%7.07B
-2.29%7.27B
16.21%3.88B
21.80%5.58B
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
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
--
--
(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 34.73%1.6B----21.53%3.15B----35.18%1.19B----27.39%2.59B----25.05%879.09M----
Profit adjustment
Investment loss (gain) 36.70%-18.15M-----470.50%-87.09M-----278.52%-28.67M----155.03%23.5M----150.85%16.06M----
Impairment and provisions: 23.11%137.75M----3,013.43%341.09M-----28.36%111.9M-----129.24%-11.71M----37.29%156.19M----
-Other impairments and provisions 27.27%96.2M----321.82%260M----82.55%75.59M----150.59%61.64M----11.84%41.41M----
Revaluation surplus: 33.03%-27.78M----53.99%-76.38M----60.98%-41.47M-----133.42%-166.03M-----1,096.46%-106.3M----
Asset sale loss (gain): -1,479.35%-2.96M----31.86%-2.78M----40.38%-187.33K-----296.74%-4.08M-----256.96%-314.2K----
-Loss (gain) on sale of property, machinery and equipment -1,479.35%-2.96M----31.86%-2.78M----40.38%-187.33K-----296.74%-4.08M-----256.96%-314.2K----
Depreciation and amortization: 23.07%581.84M----22.68%1B----22.52%472.77M----35.41%815.9M----33.28%385.86M----
-Amortization of intangible assets 62.60%121.3M----30.64%180.05M----7.00%74.6M----2.17%137.82M----1.89%69.72M----
-Other depreciation and amortization 20.96%4.91M----33.92%11.93M----15.19%4.06M-----8.43%8.91M----32.86%3.52M----
Financial expense 46.26%-31.94M-----57.11%-129.61M-----62.93%-59.43M-----491.54%-82.49M-----1,407.33%-36.47M----
Change of operating capital
Inventory (increase) decrease 3.47%-653.14M----152.05%410.51M----46.11%-676.63M-----4.42%-788.71M----3.05%-1.26B----
Accounts receivable (increase)decrease -6.86%-2.06B-----29.55%-3.75B----17.66%-1.93B-----269.45%-2.89B-----67.89%-2.35B----
Accounts payable increase (decrease) 184.17%1.7B-----5.45%2.38B-----68.68%598.42M----106.17%2.51B----511.02%1.91B----
Special items of business -446.74%-552.36M-----1,183.27%-453.94M-----121.72%-101.03M----135.72%41.9M-----0.94%-45.57M----
Adjustment items of business operations 433.14%1.22B62.09%-482.27M61.85%3.24B-163.10%-233.85M7.60%-367.03M0.35%-1.27B-11.83%2B113.70%370.59M80.98%-397.23M12.88%-1.28B
Net cash from operations 243.22%670.36M62.09%-482.27M36.28%2.78B-163.10%-233.85M-5.70%-468.06M0.35%-1.27B-5.07%2.04B113.70%370.59M79.25%-442.8M12.88%-1.28B
Cash flow from investment activities
Dividend received - investment 9.86%133.9M-16.32%46.88M-36.22%198.82M-28.96%161.99M22.05%121.88M-14.07%56.02M171.11%311.74M175.55%228.04M133.67%99.86M165.08%65.2M
Sale of fixed assets 636.18%7.33M488.50%1.87M-65.81%7.66M714.26%6.59M23.13%996.17K1,285.20%317.59K717.46%22.41M-79.24%809.07K171.34%809.07K-82.56%22.93K
Purchase of fixed assets -96.48%-1.79B21.11%-330.77M-212.61%-2.98B-195.33%-1.53B-205.07%-911.25M-395.86%-419.28M2.11%-953.44M9.54%-518.09M30.54%-298.7M55.59%-84.56M
Recovery of cash from investments -24.27%7.5B-41.32%3.77B-22.58%16.61B-8.00%13.61B16.88%9.91B33.32%6.43B40.40%21.45B34.52%14.8B0.90%8.48B9.79%4.82B
Cash on investment 1.33%-8.93B47.43%-3.08B30.19%-16.12B18.60%-12.03B23.12%-9.05B-1.27%-5.85B---23.09B-16.89%-14.77B-61.61%-11.77B-96.40%-5.78B
Other items in the investment business ----------12.34M--12.34M------------------------
Net cash from investment operations -4,496.47%-3.07B96.48%411.98M-0.61%-2.28B189.86%238.16M102.00%69.93M121.41%209.67M62.37%-2.26B87.52%-265.04M-578.36%-3.49B-176.44%-979.44M
Net cash before financing -503.85%-2.4B93.38%-70.3M327.79%505.12M-95.92%4.31M89.88%-398.13M52.91%-1.06B94.26%-221.75M102.19%105.55M-180.33%-3.93B-1,125.18%-2.26B
Cash flow from financing activities
New borrowing 16.26%317.85M72.08%315.2M206.17%820.09M955.04%603.4M728.99%273.4M6,446.76%183.17M1.03%267.86M-19.73%57.19M-11.95%32.98M-85.98%2.8M
Refund 4.33%-157.27M96.79%-4.98M-205.70%-479.84M-232.92%-289.19M-112.78%-164.4M-299.84%-155.52M32.45%-156.97M-172.43%-86.87M-172.38%-77.26M-33.49%-38.9M
Dividends paid - financing -19.25%-20.06M-59.32%-7.45M-26.47%-841.7M-20.73%-782.99M-374.97%-16.82M-1,035.17%-4.67M1.17%-665.53M-6,908.09%-648.57M49.19%-3.54M32.67%-411.74K
Absorb investment income --4.52B-----70.65%49.9M149.50%49.9M---------97.79%170M-99.73%20M4,900.00%20M----
Other items of the financing business -199.32%-162.71M-380.24%-105.9M33.49%-137.51M-26.45%-82.13M-46.25%-54.36M-57.20%-22.05M-148.17%-206.75M-49.24%-64.95M7.70%-37.17M-13.63%-14.03M
Net cash from financing operations 11,787.63%4.5B21,139.87%196.87M0.39%-589.06M30.72%-501.02M158.18%37.82M101.83%926.88K-108.48%-591.38M-109.66%-723.19M-72.16%-64.99M-128.32%-50.54M
Effect of rate -118.55%-917.56K-238.74%-1.23M274.12%18.51M-180.61%-1.37M566.63%4.95M219.40%884.07K140.32%4.95M131.53%1.69M44.01%-1.06M-358.25%-740.42K
Net Cash 680.42%2.09B111.92%126.57M89.68%-83.94M19.58%-496.71M90.99%-360.31M53.98%-1.06B-126.13%-813.13M-123.23%-617.63M-177.50%-4B-1,018.21%-2.31B
Begining period cash -0.92%7.01B-0.92%7.01B-10.25%7.07B-10.25%7.07B-10.25%7.07B-10.25%7.07B64.78%7.88B64.78%7.88B64.78%7.88B64.78%7.88B
Cash at the end 35.42%9.1B18.63%7.13B-0.92%7.01B-9.50%6.58B73.09%6.72B7.86%6.01B-10.25%7.07B-2.29%7.27B16.21%3.88B21.80%5.58B
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 ----KPMG Huazhen Certified Public Accountants (Special General Partnership)------KPMG Huazhen Certified Public Accountants (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.

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
HK
Overall
Symbol
Latest Price
% Chg

No Data