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06185 CANSINOBIO

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  • 34.350
  • +0.300+0.88%
Market Closed Mar 24 16:08 CST
8.50BMarket Cap-20.78P/E (TTM)

CANSINOBIO Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q9)Sep 30, 2024
(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
Assets
Current assets
Inventory
----
-17.32%345.07M
-20.87%359.59M
-54.92%355.42M
-48.26%350.66M
-52.60%417.38M
-61.76%454.44M
-29.72%788.35M
-22.59%677.78M
49.21%880.46M
Accounts receivable
----
3.84%678.06M
-33.92%578.12M
-31.42%595.13M
-25.55%636.88M
109.28%652.97M
177.01%874.87M
147.58%867.84M
441.70%855.49M
-35.21%312.01M
Advance deposits and other receivables
----
-35.47%51.09M
-71.39%59.35M
-67.65%45.12M
-73.82%59.93M
-77.05%79.16M
-57.85%207.46M
-68.85%139.49M
-51.64%228.91M
4.86%344.9M
Cash and equivalents
----
-57.64%1.36B
-27.92%1.72B
-25.25%2.58B
-39.70%2.05B
8.49%3.22B
-36.42%2.39B
-19.45%3.46B
-37.79%3.39B
-42.22%2.97B
Fixed time deposit-current assets
----
----
-56.52%257.41M
----
991.97%763.4M
----
--591.99M
----
-84.91%69.91M
----
Secured deposit
----
----
-11.95%11.96M
----
--11.2M
----
--13.59M
----
----
----
Financial assets at fair value-current assets
----
71.19%1.92B
12.63%1.55B
-25.62%1.43B
-47.24%1.31B
-67.54%1.12B
-57.66%1.38B
-24.58%1.92B
33.25%2.48B
73.90%3.45B
Other current assets
----
-90.59%2.62M
----
-98.40%2.25M
----
-74.77%27.87M
----
81.29%140.96M
----
191.81%110.47M
Special items of current assets
----
----
-95.82%887K
--811.35K
-89.67%2.19M
--4.4K
--21.22M
----
--21.22M
----
Total current assets
----
-20.95%4.37B
-23.44%4.54B
-31.37%5.02B
-32.98%5.18B
-31.72%5.53B
-34.15%5.93B
-19.75%7.32B
-16.79%7.73B
-5.55%8.09B
Non-current assets
Fixed assets
----
-20.57%1.38B
----
-6.27%1.43B
----
12.50%1.74B
----
29.82%1.52B
----
72.57%1.55B
Property, plant and equipment
----
----
-7.49%2.47B
----
-0.71%2.84B
----
17.57%2.67B
----
44.83%2.86B
----
Construction in progress
----
11.69%1.09B
----
-32.21%943.03M
----
9.90%976.97M
----
46.27%1.39B
----
15.74%888.99M
Advance payment
----
----
-11.64%183.16M
----
57.97%237.53M
----
12.72%207.29M
----
22.83%150.37M
----
Development expenditure
----
159.35%145.49M
----
128.88%89.08M
----
70.61%56.1M
----
36.80%38.92M
----
-16.48%32.88M
Associated company interest
----
----
433.50%17.36M
----
459.02%18.17M
----
--3.25M
----
--3.25M
----
Fixed time deposit-non-current assets
----
----
3.34%311.25M
----
--306.24M
----
--301.18M
----
----
----
long-term investment
----
431.75%17.31M
----
528.32%20.43M
----
--3.26M
----
--3.25M
----
----
Financial assets at fair value-non-current assets
----
----
6.67%148.54M
----
160.63%122.15M
----
207.34%139.26M
----
3.43%46.87M
----
Intangible assets
----
-37.49%119.16M
2.92%150.07M
-40.74%126.34M
-31.23%111.84M
-13.02%190.63M
20.88%145.81M
26.63%213.21M
62.96%162.62M
90.19%219.17M
Deferred tax assets
----
4.46%206.38M
4.79%207.03M
-8.30%207.86M
5.83%207.86M
36.65%197.57M
468.33%197.57M
--226.68M
--196.41M
232.34%144.59M
Other illiquid assets
----
-11.62%469.77M
----
148.07%535.55M
----
66.91%531.55M
----
6.92%215.89M
----
70.26%318.47M
Special items of non-current assets
----
-16.85%22.75M
----
92.94%25.47M
----
53.08%27.37M
----
247.94%13.2M
----
-9.71%17.88M
Total non-current assets
----
-11.34%3.62B
-9.40%3.6B
-8.99%3.54B
10.68%4.14B
18.53%4.08B
32.91%3.97B
38.53%3.89B
44.67%3.74B
48.80%3.45B
Total assets
-14.60%7.96B
-16.87%7.99B
-17.81%8.13B
-23.60%8.57B
-18.75%9.32B
-16.71%9.61B
-17.45%9.9B
-6.02%11.22B
-3.41%11.47B
6.01%11.54B
Liabilities
Current liabilities
Accounts payable
----
-44.28%72.54M
-58.61%77.83M
-66.52%72.45M
-58.92%103.97M
-70.30%130.18M
-61.77%188.05M
-75.37%216.41M
-69.96%253.12M
-28.53%438.27M
Notes payable
----
----
----
----
----
344.09%22.2M
----
-29.49%32.9M
----
--5M
Tax payable
----
388.62%23.9M
--132K
349.95%37.37M
----
6.19%4.89M
----
-73.18%8.31M
----
6.74%4.61M
Other payables and accrued expenses
----
-29.54%427.32M
-17.48%553.16M
-6.71%484.84M
8.39%858.29M
11.73%606.48M
-24.57%670.3M
8.30%519.71M
15.68%791.88M
31.75%542.79M
Short-term borrowing
----
-28.11%596.88M
----
-27.73%955.02M
----
-46.33%830.23M
----
22.45%1.32B
----
81.86%1.55B
Bank loans and overdrafts
----
----
-15.82%1.18B
----
-11.47%1.39B
----
-9.31%1.41B
----
45.78%1.58B
----
Provision-current liabilities
----
----
-96.71%1.12M
----
--26.25M
----
--33.88M
----
----
----
Financial lease liabilities-current liabilities
----
----
-82.29%9.27M
----
32.56%64.63M
----
15.76%52.34M
----
56.39%48.76M
----
Deferred income-current liabilities
----
----
11.69%22.38M
----
52.92%26.54M
----
42.95%20.04M
----
28.33%17.36M
----
Other current liabilities
----
-61.85%65.2M
-84.20%57.37M
-62.04%87.73M
-55.59%112.76M
--170.88M
--363.17M
--231.09M
--253.89M
----
Special items of current liabilities
----
-11.38%532.83M
----
226.58%322.13M
----
790.20%601.23M
----
27.47%98.64M
----
-42.78%67.54M
Total current liabilities
----
-28.14%1.77B
-30.29%1.91B
-19.75%2.1B
-11.90%2.59B
-11.00%2.47B
-9.18%2.74B
-5.56%2.62B
2.33%2.94B
-10.40%2.77B
Net current assets
----
-15.15%2.6B
-17.57%2.63B
-37.85%2.92B
-45.93%2.59B
-42.50%3.06B
-46.71%3.19B
-25.96%4.7B
-25.36%4.79B
-2.82%5.32B
Total assets less current liabilities
18.30%7.96B
-12.98%6.22B
-13.04%6.23B
-24.77%6.47B
-21.11%6.73B
-18.52%7.15B
-20.22%7.16B
-6.16%8.6B
-5.25%8.53B
12.52%8.77B
Non-current liabilities
Long-term bank loan
----
1.76%962.12M
24.30%990.93M
4.61%1.15B
21.37%1.07B
56.76%945.46M
143.76%797.21M
608.60%1.1B
2,095.02%878.01M
--603.14M
Financial lease liabilities-non-current liabilities
----
-93.62%11.35M
-93.55%11.99M
-93.09%13.78M
-11.65%175.18M
-11.78%177.93M
-11.81%186.03M
-10.58%199.29M
-11.02%198.29M
-0.89%201.7M
Deferred income-non-current liabilities
----
-15.79%181.08M
-17.73%164.61M
-14.26%188.25M
-7.23%190.18M
2.77%215.03M
10.35%200.08M
10.70%219.55M
9.07%205M
23.19%209.23M
Other non-current liabilities
----
----
----
--8.49M
----
--8.49M
----
----
----
----
Special items of non-current liabilities
----
----
----
----
--8.49M
----
--8.49M
----
----
----
Total non-current liabilities
----
-14.28%1.15B
-2.04%1.17B
-10.40%1.36B
12.35%1.44B
32.82%1.35B
65.69%1.19B
161.87%1.52B
183.87%1.28B
171.62%1.01B
Total liabilities
----
-23.25%2.93B
-21.72%3.08B
-16.32%3.46B
-4.55%4.03B
0.74%3.81B
5.25%3.93B
23.36%4.14B
26.97%4.22B
9.21%3.78B
Total assets less total liabilities
----
-12.67%5.06B
-15.24%5.06B
-27.85%5.11B
-27.03%5.29B
-25.23%5.8B
-27.71%5.97B
-17.51%7.08B
-15.24%7.25B
4.51%7.76B
Total equity and non-current liabilities
----
-12.98%6.22B
-13.04%6.23B
-24.77%6.47B
-21.11%6.73B
-18.52%7.15B
-20.22%7.16B
-6.16%8.6B
-5.25%8.53B
12.52%8.77B
Equity
Share capital
-96.38%247.45M
0.00%247.45M
0.07%6.85B
-0.00%247.45M
0.83%6.84B
-0.00%247.45M
0.83%6.84B
0.00%247.45M
0.00%6.79B
0.00%247.45M
Legal reserve
----
----
0.00%118.39M
----
0.00%118.39M
----
0.00%118.39M
----
0.00%118.39M
----
Capital reserve
----
0.07%6.58B
6.48%-23.28M
-0.54%6.58B
-130.03%-21.03M
-0.51%6.57B
-138.69%-24.89M
0.15%6.61B
16.82%70.03M
0.02%6.61B
Exchange reserve
----
----
18.66%318K
----
-245.45%-176K
----
--268K
----
--121K
----
Retained profit
----
----
-94.50%-1.78B
----
-1,959.16%-1.56B
----
-208.41%-917.11M
----
-107.34%-75.68M
----
Undistributed profit
----
-67.89%-1.78B
----
-703.10%-1.73B
----
-395.18%-1.06B
----
-118.67%-215.23M
----
-36.87%359.34M
Shareholders' Equity
-6.91%4.91B
-12.26%5.06B
-14.43%5.06B
-22.76%5.11B
-21.84%5.27B
-20.04%5.77B
-23.22%5.91B
-17.72%6.61B
-15.60%6.75B
-2.74%7.22B
Non-controlling interest
----
----
----
----
-97.42%12.81M
-94.87%27.62M
-89.80%56.77M
-14.45%466.86M
-10.01%497.51M
--538.57M
Total equity
----
-12.67%5.06B
-15.24%5.06B
-27.85%5.11B
-27.03%5.29B
-25.23%5.8B
-27.71%5.97B
-17.51%7.08B
-15.24%7.25B
4.51%7.76B
Total equity and total liabilities
-14.60%7.96B
-16.87%7.99B
-17.81%8.13B
-23.60%8.57B
-18.75%9.32B
-16.71%9.61B
-17.45%9.9B
-6.02%11.22B
-3.41%11.47B
6.01%11.54B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
CAS (2007)
HKAS
CAS (2007)
HKAS
CAS (2007)
HKAS
CAS (2007)
HKAS
CAS (2007)
Audit Opinions
--
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
Auditor
--
--
--
--
Deloitte Guan Huang Chen Fang Certified Public Accountants, Deloitte Huayong Certified Public Accountants (Special General Partnership)
--
--
--
Deloitte Guan Huang Chen Fang Certified Public Accountants, Deloitte Huayong Certified Public Accountants (Special General Partnership)
--
(FY)Dec 31, 2024(Q9)Sep 30, 2024(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
Assets
Current assets
Inventory -----17.32%345.07M-20.87%359.59M-54.92%355.42M-48.26%350.66M-52.60%417.38M-61.76%454.44M-29.72%788.35M-22.59%677.78M49.21%880.46M
Accounts receivable ----3.84%678.06M-33.92%578.12M-31.42%595.13M-25.55%636.88M109.28%652.97M177.01%874.87M147.58%867.84M441.70%855.49M-35.21%312.01M
Advance deposits and other receivables -----35.47%51.09M-71.39%59.35M-67.65%45.12M-73.82%59.93M-77.05%79.16M-57.85%207.46M-68.85%139.49M-51.64%228.91M4.86%344.9M
Cash and equivalents -----57.64%1.36B-27.92%1.72B-25.25%2.58B-39.70%2.05B8.49%3.22B-36.42%2.39B-19.45%3.46B-37.79%3.39B-42.22%2.97B
Fixed time deposit-current assets ---------56.52%257.41M----991.97%763.4M------591.99M-----84.91%69.91M----
Secured deposit ---------11.95%11.96M------11.2M------13.59M------------
Financial assets at fair value-current assets ----71.19%1.92B12.63%1.55B-25.62%1.43B-47.24%1.31B-67.54%1.12B-57.66%1.38B-24.58%1.92B33.25%2.48B73.90%3.45B
Other current assets -----90.59%2.62M-----98.40%2.25M-----74.77%27.87M----81.29%140.96M----191.81%110.47M
Special items of current assets ---------95.82%887K--811.35K-89.67%2.19M--4.4K--21.22M------21.22M----
Total current assets -----20.95%4.37B-23.44%4.54B-31.37%5.02B-32.98%5.18B-31.72%5.53B-34.15%5.93B-19.75%7.32B-16.79%7.73B-5.55%8.09B
Non-current assets
Fixed assets -----20.57%1.38B-----6.27%1.43B----12.50%1.74B----29.82%1.52B----72.57%1.55B
Property, plant and equipment ---------7.49%2.47B-----0.71%2.84B----17.57%2.67B----44.83%2.86B----
Construction in progress ----11.69%1.09B-----32.21%943.03M----9.90%976.97M----46.27%1.39B----15.74%888.99M
Advance payment ---------11.64%183.16M----57.97%237.53M----12.72%207.29M----22.83%150.37M----
Development expenditure ----159.35%145.49M----128.88%89.08M----70.61%56.1M----36.80%38.92M-----16.48%32.88M
Associated company interest --------433.50%17.36M----459.02%18.17M------3.25M------3.25M----
Fixed time deposit-non-current assets --------3.34%311.25M------306.24M------301.18M------------
long-term investment ----431.75%17.31M----528.32%20.43M------3.26M------3.25M--------
Financial assets at fair value-non-current assets --------6.67%148.54M----160.63%122.15M----207.34%139.26M----3.43%46.87M----
Intangible assets -----37.49%119.16M2.92%150.07M-40.74%126.34M-31.23%111.84M-13.02%190.63M20.88%145.81M26.63%213.21M62.96%162.62M90.19%219.17M
Deferred tax assets ----4.46%206.38M4.79%207.03M-8.30%207.86M5.83%207.86M36.65%197.57M468.33%197.57M--226.68M--196.41M232.34%144.59M
Other illiquid assets -----11.62%469.77M----148.07%535.55M----66.91%531.55M----6.92%215.89M----70.26%318.47M
Special items of non-current assets -----16.85%22.75M----92.94%25.47M----53.08%27.37M----247.94%13.2M-----9.71%17.88M
Total non-current assets -----11.34%3.62B-9.40%3.6B-8.99%3.54B10.68%4.14B18.53%4.08B32.91%3.97B38.53%3.89B44.67%3.74B48.80%3.45B
Total assets -14.60%7.96B-16.87%7.99B-17.81%8.13B-23.60%8.57B-18.75%9.32B-16.71%9.61B-17.45%9.9B-6.02%11.22B-3.41%11.47B6.01%11.54B
Liabilities
Current liabilities
Accounts payable -----44.28%72.54M-58.61%77.83M-66.52%72.45M-58.92%103.97M-70.30%130.18M-61.77%188.05M-75.37%216.41M-69.96%253.12M-28.53%438.27M
Notes payable --------------------344.09%22.2M-----29.49%32.9M------5M
Tax payable ----388.62%23.9M--132K349.95%37.37M----6.19%4.89M-----73.18%8.31M----6.74%4.61M
Other payables and accrued expenses -----29.54%427.32M-17.48%553.16M-6.71%484.84M8.39%858.29M11.73%606.48M-24.57%670.3M8.30%519.71M15.68%791.88M31.75%542.79M
Short-term borrowing -----28.11%596.88M-----27.73%955.02M-----46.33%830.23M----22.45%1.32B----81.86%1.55B
Bank loans and overdrafts ---------15.82%1.18B-----11.47%1.39B-----9.31%1.41B----45.78%1.58B----
Provision-current liabilities ---------96.71%1.12M------26.25M------33.88M------------
Financial lease liabilities-current liabilities ---------82.29%9.27M----32.56%64.63M----15.76%52.34M----56.39%48.76M----
Deferred income-current liabilities --------11.69%22.38M----52.92%26.54M----42.95%20.04M----28.33%17.36M----
Other current liabilities -----61.85%65.2M-84.20%57.37M-62.04%87.73M-55.59%112.76M--170.88M--363.17M--231.09M--253.89M----
Special items of current liabilities -----11.38%532.83M----226.58%322.13M----790.20%601.23M----27.47%98.64M-----42.78%67.54M
Total current liabilities -----28.14%1.77B-30.29%1.91B-19.75%2.1B-11.90%2.59B-11.00%2.47B-9.18%2.74B-5.56%2.62B2.33%2.94B-10.40%2.77B
Net current assets -----15.15%2.6B-17.57%2.63B-37.85%2.92B-45.93%2.59B-42.50%3.06B-46.71%3.19B-25.96%4.7B-25.36%4.79B-2.82%5.32B
Total assets less current liabilities 18.30%7.96B-12.98%6.22B-13.04%6.23B-24.77%6.47B-21.11%6.73B-18.52%7.15B-20.22%7.16B-6.16%8.6B-5.25%8.53B12.52%8.77B
Non-current liabilities
Long-term bank loan ----1.76%962.12M24.30%990.93M4.61%1.15B21.37%1.07B56.76%945.46M143.76%797.21M608.60%1.1B2,095.02%878.01M--603.14M
Financial lease liabilities-non-current liabilities -----93.62%11.35M-93.55%11.99M-93.09%13.78M-11.65%175.18M-11.78%177.93M-11.81%186.03M-10.58%199.29M-11.02%198.29M-0.89%201.7M
Deferred income-non-current liabilities -----15.79%181.08M-17.73%164.61M-14.26%188.25M-7.23%190.18M2.77%215.03M10.35%200.08M10.70%219.55M9.07%205M23.19%209.23M
Other non-current liabilities --------------8.49M------8.49M----------------
Special items of non-current liabilities ------------------8.49M------8.49M------------
Total non-current liabilities -----14.28%1.15B-2.04%1.17B-10.40%1.36B12.35%1.44B32.82%1.35B65.69%1.19B161.87%1.52B183.87%1.28B171.62%1.01B
Total liabilities -----23.25%2.93B-21.72%3.08B-16.32%3.46B-4.55%4.03B0.74%3.81B5.25%3.93B23.36%4.14B26.97%4.22B9.21%3.78B
Total assets less total liabilities -----12.67%5.06B-15.24%5.06B-27.85%5.11B-27.03%5.29B-25.23%5.8B-27.71%5.97B-17.51%7.08B-15.24%7.25B4.51%7.76B
Total equity and non-current liabilities -----12.98%6.22B-13.04%6.23B-24.77%6.47B-21.11%6.73B-18.52%7.15B-20.22%7.16B-6.16%8.6B-5.25%8.53B12.52%8.77B
Equity
Share capital -96.38%247.45M0.00%247.45M0.07%6.85B-0.00%247.45M0.83%6.84B-0.00%247.45M0.83%6.84B0.00%247.45M0.00%6.79B0.00%247.45M
Legal reserve --------0.00%118.39M----0.00%118.39M----0.00%118.39M----0.00%118.39M----
Capital reserve ----0.07%6.58B6.48%-23.28M-0.54%6.58B-130.03%-21.03M-0.51%6.57B-138.69%-24.89M0.15%6.61B16.82%70.03M0.02%6.61B
Exchange reserve --------18.66%318K-----245.45%-176K------268K------121K----
Retained profit ---------94.50%-1.78B-----1,959.16%-1.56B-----208.41%-917.11M-----107.34%-75.68M----
Undistributed profit -----67.89%-1.78B-----703.10%-1.73B-----395.18%-1.06B-----118.67%-215.23M-----36.87%359.34M
Shareholders' Equity -6.91%4.91B-12.26%5.06B-14.43%5.06B-22.76%5.11B-21.84%5.27B-20.04%5.77B-23.22%5.91B-17.72%6.61B-15.60%6.75B-2.74%7.22B
Non-controlling interest -----------------97.42%12.81M-94.87%27.62M-89.80%56.77M-14.45%466.86M-10.01%497.51M--538.57M
Total equity -----12.67%5.06B-15.24%5.06B-27.85%5.11B-27.03%5.29B-25.23%5.8B-27.71%5.97B-17.51%7.08B-15.24%7.25B4.51%7.76B
Total equity and total liabilities -14.60%7.96B-16.87%7.99B-17.81%8.13B-23.60%8.57B-18.75%9.32B-16.71%9.61B-17.45%9.9B-6.02%11.22B-3.41%11.47B6.01%11.54B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)CAS (2007)HKASCAS (2007)HKASCAS (2007)HKASCAS (2007)HKASCAS (2007)
Audit Opinions --------Unqualified Opinion------Unqualified Opinion--
Auditor --------Deloitte Guan Huang Chen Fang Certified Public Accountants, Deloitte Huayong Certified Public Accountants (Special General Partnership)------Deloitte Guan Huang Chen Fang Certified Public Accountants, Deloitte Huayong 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.

Market Insights
HK Tech and Internet Stocks HK Tech and Internet Stocks

Stocks of companies primarily involved in technology and internet sectors in the HK stock market.Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in HK Tech and Internet Stocks, ranked from highest to lowest based on real-time market data. Stocks of companies primarily involved in technology and internet sectors in the HK stock market.Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in HK Tech and Internet Stocks, ranked from highest to lowest based on real-time market data.