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06618 JD HEALTH

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  • 22.750
  • +1.350+6.31%
Not Open Jul 12 16:08 CST
72.56BMarket Cap30.70P/E (TTM)

JD HEALTH Key Stats

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YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
Assets
Current assets
Inventory
-15.20%5.08B
41.60%5.14B
97.16%6B
27.85%3.63B
75.55%3.04B
41.87%2.84B
35.52%1.73B
--2B
14.62%1.28B
26.16%1.12B
Accounts receivable
-63.56%347.96M
-54.14%371.28M
159.44%954.96M
337.91%809.56M
390.54%368.08M
536.32%184.87M
248.16%75.04M
--29.05M
7.59%21.55M
548.08%20.03M
Advance deposits and other receivables
-23.36%1.91B
419.46%2.47B
789.40%2.5B
74.67%475M
-49.45%280.72M
-80.72%271.95M
-42.02%555.34M
--1.41B
8,660.17%957.75M
65.50%10.93M
Cash and equivalents
-19.66%15.04B
-28.63%11.9B
8.49%18.72B
-12.18%16.67B
-46.54%17.25B
493.08%18.98B
549.93%32.27B
--3.2B
30,525.25%4.97B
119.06%16.21M
Fixed time deposit-current assets
-41.03%16.07B
30.20%32.55B
15.27%27.25B
24.85%25B
262.26%23.64B
607.19%20.03B
367.65%6.52B
--2.83B
--1.4B
----
Secured deposit
-53.41%15.38M
-18.30%11.62M
30.18%33M
-44.64%14.23M
-34.32%25.35M
180.58%25.7M
555.24%38.6M
--9.16M
52.46%5.89M
--3.86M
Financial assets at fair value-current assets
835.62%9.38B
0.17%4.02B
-8.87%1B
42.25%4.01B
-27.00%1.1B
178.72%2.82B
--1.51B
--1.01B
----
----
Total current assets
-15.23%47.85B
11.55%56.46B
23.50%56.45B
12.10%50.61B
7.03%45.71B
330.25%45.15B
395.18%42.7B
--10.49B
639.41%8.62B
29.43%1.17B
Non-current assets
Property, plant and equipment
90.37%88.79M
93.91%90.4M
9.80%46.64M
65.65%46.62M
140.65%42.48M
213.43%28.14M
213.65%17.65M
--8.98M
318.75%5.63M
68.63%1.34M
Advance payment
2,450.01%12.2B
-34.20%489.49M
-34.96%478.59M
173.84%743.87M
193.90%735.82M
2,846.20%271.64M
820.77%250.37M
--9.22M
8,423.82%27.19M
406.35%319K
Associated company interest
7.33%3.41M
1,402.02%3.71M
559.54%3.18M
-60.79%247K
-28.59%482K
--630K
--675K
----
----
----
Interests in Joint Venture
-16.91%345.06M
-17.28%383.32M
-18.85%415.3M
-18.01%463.42M
-15.51%511.75M
-14.21%565.24M
--605.72M
--658.84M
----
----
Financial assets at fair value-non-current assets
-7.37%1.12B
82.46%1.19B
80.70%1.2B
107.06%653.09M
148.92%666.66M
119.13%315.4M
3,494.94%267.82M
--143.93M
0.55%7.45M
--7.41M
Intangible assets
-3.78%2.18B
11,484.64%2.29B
8,832.34%2.27B
-31.82%19.75M
-10.90%25.39M
3,502.24%28.96M
4,649.67%28.5M
--804K
-78.26%600K
-51.75%2.76M
Deferred tax assets
43.83%299.83M
123.33%241.02M
117.47%208.47M
1,010.07%107.92M
341.96%95.86M
-51.06%9.72M
1,710.43%21.69M
--19.87M
25.71%1.2M
41.60%953K
Special items of non-current assets
-2.95%199.2M
2.46%204.4M
-5.97%205.27M
49.72%199.5M
124.23%218.3M
122.44%133.25M
821.31%97.36M
--59.91M
249.32%10.57M
2.02%3.03M
Total non-current assets
240.33%16.44B
118.92%4.89B
110.30%4.83B
65.15%2.23B
78.07%2.3B
50.07%1.35B
2,350.47%1.29B
--901.55M
232.92%52.63M
54.73%15.81M
Total assets
4.91%64.29B
16.09%61.35B
27.66%61.28B
13.64%52.85B
9.11%48B
308.09%46.5B
407.04%43.99B
--11.39B
633.98%8.68B
29.71%1.18B
Liabilities
Current liabilities
Accounts payable
-8.22%9.66B
18.07%8.34B
91.90%10.53B
54.34%7.07B
89.17%5.49B
162.47%4.58B
551.62%2.9B
--1.74B
30.79%444.98M
97.06%340.23M
Tax payable
-11.22%337.54M
99.38%343.32M
220.00%380.19M
232.07%172.19M
-10.12%118.81M
--51.86M
--132.18M
----
----
----
Other payables and accrued expenses
4.89%4.09B
33.09%3.2B
111.77%3.9B
41.76%2.41B
41.62%1.84B
13.61%1.7B
28.94%1.3B
--1.49B
1,953.65%1.01B
17.90%49.05M
Financial lease liabilities-current liabilities
34.92%95.32M
14.44%84.13M
4.58%70.65M
103.87%73.51M
136.47%67.55M
106.37%36.06M
488.91%28.57M
--17.47M
578.46%4.85M
-57.03%715K
Special items of current liabilities
-72.67%405.6M
-16.01%539.62M
200.29%1.48B
27.16%642.48M
53.19%494.16M
166.85%505.27M
267.87%322.58M
--189.35M
116.41%87.69M
29.76%40.52M
Total current liabilities
-10.83%14.58B
20.77%12.51B
104.32%16.36B
50.83%10.36B
70.98%8.01B
99.35%6.87B
203.05%4.68B
--3.45B
258.84%1.54B
74.20%430.52M
Net current assets
-17.03%33.26B
9.18%43.94B
6.34%40.09B
5.15%40.25B
-0.85%37.7B
443.15%38.28B
437.11%38.02B
--7.05B
862.08%7.08B
12.51%735.82M
Total assets less current liabilities
10.65%49.7B
14.95%48.83B
12.31%44.92B
7.20%42.48B
1.74%40B
398.57%39.63B
451.23%39.31B
--7.95B
848.84%7.13B
13.16%751.63M
Non-current liabilities
Financial lease liabilities-non-current liabilities
-7.25%119.43M
9.79%132.62M
-3.70%128.76M
52.09%120.79M
117.74%133.72M
119.99%79.42M
857.74%61.41M
--36.1M
165.95%6.41M
51.25%2.41M
Deferred tax liability
2,631.88%213.61M
-12.02%7.82M
-12.02%7.82M
--8.89M
--8.89M
----
----
----
----
----
Convertible notes and bonds
----
----
----
----
----
----
----
--13.61B
--7.58B
----
Special items of non-current liabilities
----
----
----
----
----
----
----
--135.91M
----
----
Total non-current liabilities
143.84%333.04M
8.30%140.43M
-4.22%136.58M
63.28%129.68M
132.21%142.6M
-99.42%79.42M
-99.19%61.41M
--13.78B
314,741.64%7.59B
51.25%2.41M
Total liabilities
-9.55%14.92B
20.62%12.65B
102.42%16.49B
50.97%10.49B
71.77%8.15B
-59.66%6.95B
-48.08%4.74B
--17.23B
2,010.22%9.14B
74.05%432.93M
Total assets less total liabilities
10.24%49.37B
14.97%48.69B
12.37%44.78B
7.08%42.35B
1.54%39.85B
778.16%39.55B
8,650.91%39.25B
---5.83B
-161.27%-459.03M
13.07%749.22M
Total equity and non-current liabilities
10.65%49.7B
14.95%48.83B
12.31%44.92B
7.20%42.48B
1.74%40B
398.57%39.63B
451.23%39.31B
--7.95B
848.84%7.13B
13.16%751.63M
Equity
Share capital
0.00%11K
0.00%11K
0.00%11K
0.00%11K
0.00%11K
57.14%11K
57.14%11K
--7K
-99.65%7K
0.00%2M
Reserve
4.03%66.78B
7.50%66.53B
7.68%64.2B
5.57%61.89B
3.03%59.62B
6,440.19%58.62B
6,260.80%57.87B
--896.35M
8.05%909.75M
17.82%841.99M
Legal reserve
4.03%66.78B
7.50%66.53B
7.68%64.2B
5.57%61.89B
3.03%59.62B
6,440.19%58.62B
6,260.80%57.87B
--896.35M
8.05%909.75M
17.82%841.99M
Retained profit
10.56%-17.34B
8.57%-17.82B
1.69%-19.38B
-2.20%-19.49B
-5.90%-19.71B
-183.49%-19.07B
-1,260.09%-18.62B
---6.73B
-1,344.33%-1.37B
-75.35%-94.77M
Special items of shareholders' rights and interests
-169.92%-92.57M
33.60%-29.02M
32.27%-34.3M
---43.71M
---50.64M
----
----
----
----
----
Shareholders' Equity
10.22%49.36B
14.94%48.68B
12.36%44.78B
7.09%42.35B
1.54%39.85B
778.27%39.55B
8,650.80%39.25B
---5.83B
-161.27%-459.03M
13.07%749.22M
Non-controlling interest
236.39%14.51M
2,266.95%14.11M
262.52%4.31M
-58.38%596K
137.52%1.19M
226.95%1.43M
--501K
---1.13M
----
----
Total equity
10.24%49.37B
14.97%48.69B
12.37%44.78B
7.08%42.35B
1.54%39.85B
778.16%39.55B
8,650.91%39.25B
---5.83B
-161.27%-459.03M
13.07%749.22M
Total equity and total liabilities
4.91%64.29B
16.09%61.35B
27.66%61.28B
13.64%52.85B
9.11%48B
308.09%46.5B
407.04%43.99B
--11.39B
633.98%8.68B
29.71%1.18B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Unqualified Opinion
Auditor
Deloitte & Touche Tohmatsu Certified Public Accountants
--
Deloitte & Touche Tohmatsu Certified Public Accountants
--
Deloitte & Touche Tohmatsu Certified Public Accountants
--
Deloitte & Touche Tohmatsu Certified Public Accountants
--
Deloitte & Touche Tohmatsu Certified Public Accountants
Deloitte & Touche Tohmatsu Certified Public Accountants
(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018
Assets
Current assets
Inventory -15.20%5.08B41.60%5.14B97.16%6B27.85%3.63B75.55%3.04B41.87%2.84B35.52%1.73B--2B14.62%1.28B26.16%1.12B
Accounts receivable -63.56%347.96M-54.14%371.28M159.44%954.96M337.91%809.56M390.54%368.08M536.32%184.87M248.16%75.04M--29.05M7.59%21.55M548.08%20.03M
Advance deposits and other receivables -23.36%1.91B419.46%2.47B789.40%2.5B74.67%475M-49.45%280.72M-80.72%271.95M-42.02%555.34M--1.41B8,660.17%957.75M65.50%10.93M
Cash and equivalents -19.66%15.04B-28.63%11.9B8.49%18.72B-12.18%16.67B-46.54%17.25B493.08%18.98B549.93%32.27B--3.2B30,525.25%4.97B119.06%16.21M
Fixed time deposit-current assets -41.03%16.07B30.20%32.55B15.27%27.25B24.85%25B262.26%23.64B607.19%20.03B367.65%6.52B--2.83B--1.4B----
Secured deposit -53.41%15.38M-18.30%11.62M30.18%33M-44.64%14.23M-34.32%25.35M180.58%25.7M555.24%38.6M--9.16M52.46%5.89M--3.86M
Financial assets at fair value-current assets 835.62%9.38B0.17%4.02B-8.87%1B42.25%4.01B-27.00%1.1B178.72%2.82B--1.51B--1.01B--------
Total current assets -15.23%47.85B11.55%56.46B23.50%56.45B12.10%50.61B7.03%45.71B330.25%45.15B395.18%42.7B--10.49B639.41%8.62B29.43%1.17B
Non-current assets
Property, plant and equipment 90.37%88.79M93.91%90.4M9.80%46.64M65.65%46.62M140.65%42.48M213.43%28.14M213.65%17.65M--8.98M318.75%5.63M68.63%1.34M
Advance payment 2,450.01%12.2B-34.20%489.49M-34.96%478.59M173.84%743.87M193.90%735.82M2,846.20%271.64M820.77%250.37M--9.22M8,423.82%27.19M406.35%319K
Associated company interest 7.33%3.41M1,402.02%3.71M559.54%3.18M-60.79%247K-28.59%482K--630K--675K------------
Interests in Joint Venture -16.91%345.06M-17.28%383.32M-18.85%415.3M-18.01%463.42M-15.51%511.75M-14.21%565.24M--605.72M--658.84M--------
Financial assets at fair value-non-current assets -7.37%1.12B82.46%1.19B80.70%1.2B107.06%653.09M148.92%666.66M119.13%315.4M3,494.94%267.82M--143.93M0.55%7.45M--7.41M
Intangible assets -3.78%2.18B11,484.64%2.29B8,832.34%2.27B-31.82%19.75M-10.90%25.39M3,502.24%28.96M4,649.67%28.5M--804K-78.26%600K-51.75%2.76M
Deferred tax assets 43.83%299.83M123.33%241.02M117.47%208.47M1,010.07%107.92M341.96%95.86M-51.06%9.72M1,710.43%21.69M--19.87M25.71%1.2M41.60%953K
Special items of non-current assets -2.95%199.2M2.46%204.4M-5.97%205.27M49.72%199.5M124.23%218.3M122.44%133.25M821.31%97.36M--59.91M249.32%10.57M2.02%3.03M
Total non-current assets 240.33%16.44B118.92%4.89B110.30%4.83B65.15%2.23B78.07%2.3B50.07%1.35B2,350.47%1.29B--901.55M232.92%52.63M54.73%15.81M
Total assets 4.91%64.29B16.09%61.35B27.66%61.28B13.64%52.85B9.11%48B308.09%46.5B407.04%43.99B--11.39B633.98%8.68B29.71%1.18B
Liabilities
Current liabilities
Accounts payable -8.22%9.66B18.07%8.34B91.90%10.53B54.34%7.07B89.17%5.49B162.47%4.58B551.62%2.9B--1.74B30.79%444.98M97.06%340.23M
Tax payable -11.22%337.54M99.38%343.32M220.00%380.19M232.07%172.19M-10.12%118.81M--51.86M--132.18M------------
Other payables and accrued expenses 4.89%4.09B33.09%3.2B111.77%3.9B41.76%2.41B41.62%1.84B13.61%1.7B28.94%1.3B--1.49B1,953.65%1.01B17.90%49.05M
Financial lease liabilities-current liabilities 34.92%95.32M14.44%84.13M4.58%70.65M103.87%73.51M136.47%67.55M106.37%36.06M488.91%28.57M--17.47M578.46%4.85M-57.03%715K
Special items of current liabilities -72.67%405.6M-16.01%539.62M200.29%1.48B27.16%642.48M53.19%494.16M166.85%505.27M267.87%322.58M--189.35M116.41%87.69M29.76%40.52M
Total current liabilities -10.83%14.58B20.77%12.51B104.32%16.36B50.83%10.36B70.98%8.01B99.35%6.87B203.05%4.68B--3.45B258.84%1.54B74.20%430.52M
Net current assets -17.03%33.26B9.18%43.94B6.34%40.09B5.15%40.25B-0.85%37.7B443.15%38.28B437.11%38.02B--7.05B862.08%7.08B12.51%735.82M
Total assets less current liabilities 10.65%49.7B14.95%48.83B12.31%44.92B7.20%42.48B1.74%40B398.57%39.63B451.23%39.31B--7.95B848.84%7.13B13.16%751.63M
Non-current liabilities
Financial lease liabilities-non-current liabilities -7.25%119.43M9.79%132.62M-3.70%128.76M52.09%120.79M117.74%133.72M119.99%79.42M857.74%61.41M--36.1M165.95%6.41M51.25%2.41M
Deferred tax liability 2,631.88%213.61M-12.02%7.82M-12.02%7.82M--8.89M--8.89M--------------------
Convertible notes and bonds ------------------------------13.61B--7.58B----
Special items of non-current liabilities ------------------------------135.91M--------
Total non-current liabilities 143.84%333.04M8.30%140.43M-4.22%136.58M63.28%129.68M132.21%142.6M-99.42%79.42M-99.19%61.41M--13.78B314,741.64%7.59B51.25%2.41M
Total liabilities -9.55%14.92B20.62%12.65B102.42%16.49B50.97%10.49B71.77%8.15B-59.66%6.95B-48.08%4.74B--17.23B2,010.22%9.14B74.05%432.93M
Total assets less total liabilities 10.24%49.37B14.97%48.69B12.37%44.78B7.08%42.35B1.54%39.85B778.16%39.55B8,650.91%39.25B---5.83B-161.27%-459.03M13.07%749.22M
Total equity and non-current liabilities 10.65%49.7B14.95%48.83B12.31%44.92B7.20%42.48B1.74%40B398.57%39.63B451.23%39.31B--7.95B848.84%7.13B13.16%751.63M
Equity
Share capital 0.00%11K0.00%11K0.00%11K0.00%11K0.00%11K57.14%11K57.14%11K--7K-99.65%7K0.00%2M
Reserve 4.03%66.78B7.50%66.53B7.68%64.2B5.57%61.89B3.03%59.62B6,440.19%58.62B6,260.80%57.87B--896.35M8.05%909.75M17.82%841.99M
Legal reserve 4.03%66.78B7.50%66.53B7.68%64.2B5.57%61.89B3.03%59.62B6,440.19%58.62B6,260.80%57.87B--896.35M8.05%909.75M17.82%841.99M
Retained profit 10.56%-17.34B8.57%-17.82B1.69%-19.38B-2.20%-19.49B-5.90%-19.71B-183.49%-19.07B-1,260.09%-18.62B---6.73B-1,344.33%-1.37B-75.35%-94.77M
Special items of shareholders' rights and interests -169.92%-92.57M33.60%-29.02M32.27%-34.3M---43.71M---50.64M--------------------
Shareholders' Equity 10.22%49.36B14.94%48.68B12.36%44.78B7.09%42.35B1.54%39.85B778.27%39.55B8,650.80%39.25B---5.83B-161.27%-459.03M13.07%749.22M
Non-controlling interest 236.39%14.51M2,266.95%14.11M262.52%4.31M-58.38%596K137.52%1.19M226.95%1.43M--501K---1.13M--------
Total equity 10.24%49.37B14.97%48.69B12.37%44.78B7.08%42.35B1.54%39.85B778.16%39.55B8,650.91%39.25B---5.83B-161.27%-459.03M13.07%749.22M
Total equity and total liabilities 4.91%64.29B16.09%61.35B27.66%61.28B13.64%52.85B9.11%48B308.09%46.5B407.04%43.99B--11.39B633.98%8.68B29.71%1.18B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified OpinionUnqualified Opinion
Auditor Deloitte & Touche Tohmatsu Certified Public Accountants--Deloitte & Touche Tohmatsu Certified Public Accountants--Deloitte & Touche Tohmatsu Certified Public Accountants--Deloitte & Touche Tohmatsu Certified Public Accountants--Deloitte & Touche Tohmatsu Certified Public AccountantsDeloitte & Touche Tohmatsu Certified Public Accountants

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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