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06633 QINGCI GAMES

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  • 2.680
  • 0.0000.00%
Market Closed Dec 18 16:08 CST
1.85BMarket Cap-49.63P/E (TTM)

QINGCI GAMES Key Stats

All
YOY yoy
Hide blank lines yoy
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(Q3)Mar 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
Assets
Current assets
Inventory
1,435.38%998K
1,601.28%1.33M
-48.00%65K
-72.04%78K
-53.53%125K
25.68%279K
--269K
--316K
--222K
----
Accounts receivable
-30.32%45.21M
30.10%68.1M
-4.39%64.88M
8.57%52.34M
-5.98%67.86M
-60.33%48.21M
--72.18M
--165.26M
1,087.69%121.54M
-26.23%10.23M
Advance deposits and other receivables
-40.39%50.96M
37.96%84.13M
142.48%85.49M
38.57%60.98M
-6.84%35.26M
-26.03%44M
--37.85M
--35.69M
6.46%59.49M
38.31%55.88M
Cash and equivalents
-39.08%421.84M
-46.30%538M
-13.73%692.42M
-14.22%1B
18.73%802.58M
163.53%1.17B
--675.96M
--406.5M
1,598.79%443.25M
21.94%26.09M
Fixed time deposit-current assets
--23.09M
----
----
----
----
----
----
----
----
----
Secured deposit
----
----
----
--8.57M
871.21%6.98M
----
--719K
--5.01M
--2.25M
----
Short-term investment
----
----
----
----
----
----
----
----
----
756.13%86.34M
Financial assets at fair value-current assets
22.41%1.1B
101.92%988.85M
19.64%895.65M
37.83%489.72M
2,305.91%748.6M
27,252.81%355.31M
--31.12M
--1.09M
-87.99%1.3M
-28.56%10.82M
Total current assets
-5.76%1.64B
4.14%1.68B
4.64%1.74B
-0.14%1.61B
103.09%1.66B
157.29%1.62B
--818.09M
--613.86M
231.66%628.05M
87.68%189.36M
Non-current assets
Property, plant and equipment
-7.88%15.59M
-9.81%17.14M
22.81%16.93M
125.02%19.01M
83.79%13.78M
114.86%8.45M
--7.5M
--3.91M
286.53%3.93M
18.12%1.02M
Advance payment
348.55%61.17M
399.00%48.29M
54.79%13.64M
39.96%9.68M
103.46%8.81M
1,916.03%6.92M
--4.33M
--246K
161.83%343K
14.91%131K
long-term investment
-7.66%182.11M
-15.82%168.55M
38.09%197.21M
46.95%200.22M
6.01%142.82M
75.13%136.25M
--134.72M
--118.61M
259.42%77.8M
-1.12%21.65M
Other investments
95.11%36.9M
92.55%38.24M
-17.82%18.91M
-31.92%19.86M
-20.21%23.01M
149.67%29.17M
--28.84M
--15.03M
-3.34%11.68M
120.32%12.09M
Deferred tax assets
22.95%31.17M
-14.99%23.68M
-33.15%25.35M
-30.65%27.86M
127.11%37.93M
1,430.48%40.18M
--16.7M
--2.44M
-23.82%2.63M
-9.72%3.45M
Total non-current assets
18.90%347.47M
5.16%318.42M
13.63%292.23M
19.67%302.79M
28.11%257.17M
136.96%253.02M
--200.75M
--149.76M
163.35%106.78M
18.35%40.55M
Total assets
-2.21%1.99B
4.30%2B
5.85%2.03B
2.54%1.92B
88.31%1.92B
154.33%1.87B
--1.02B
--763.62M
219.61%734.82M
70.10%229.91M
Liabilities
Current liabilities
Accounts payable
-2.35%51.47M
679.73%78.58M
-13.93%52.71M
75.42%10.08M
54.45%61.23M
-56.90%5.75M
--39.65M
--25.4M
598.58%13.33M
-39.31%1.91M
Tax payable
24.76%11.13M
-97.18%318K
10.54%8.92M
88.06%11.28M
29.71%8.07M
-42.42%6M
--6.22M
--14.13M
383.52%10.42M
-34.63%2.15M
Other payables and accrued expenses
32.79%47.31M
22.61%82.94M
-75.09%35.63M
-34.55%67.64M
245.69%143.02M
-39.02%103.35M
--41.37M
--81.49M
689.34%169.46M
8.40%21.47M
Bank loans and overdrafts
0.00%13K
--13K
--13K
----
----
----
----
----
----
----
Financial lease liabilities-current liabilities
11.72%10.08M
-9.93%9.19M
-15.75%9.02M
3.87%10.21M
293.10%10.7M
174.65%9.83M
--2.72M
--3.6M
57.27%3.58M
108.91%2.28M
Total current liabilities
5.01%161.6M
56.70%220.8M
-51.12%153.9M
-29.49%140.91M
68.77%314.84M
-52.95%199.83M
--186.55M
--284.9M
1,155.76%424.74M
-14.76%33.82M
Net current assets
-6.80%1.48B
-0.89%1.46B
17.68%1.58B
4.00%1.47B
113.22%1.35B
596.50%1.42B
--631.54M
--328.96M
30.71%203.31M
154.07%155.54M
Total assets less current liabilities
-2.80%1.82B
0.14%1.78B
17.03%1.88B
6.38%1.78B
92.69%1.6B
438.26%1.67B
--832.29M
--478.72M
58.14%310.09M
105.37%196.09M
Non-current liabilities
Long-term bank loan
-0.07%19.97M
--19.97M
--19.98M
----
----
----
----
----
----
----
Financial lease liabilities-non-current liabilities
-5.51%12.43M
-8.45%15.19M
-37.09%13.16M
-27.00%16.6M
243.04%20.91M
233.55%22.74M
--6.1M
--6.92M
--6.82M
----
Deferred tax liability
--55K
----
----
----
----
----
----
----
----
----
Convertible notes and bonds
----
----
----
----
----
----
--1.77B
----
----
----
Special items of non-current liabilities
----
----
----
----
----
----
----
--90.67M
7.74%89.07M
12,716.59%82.67M
Total non-current liabilities
-2.06%32.45M
111.90%35.17M
58.46%33.14M
-27.00%16.6M
-98.82%20.91M
-76.29%22.74M
--1.78B
--97.58M
15.99%95.88M
4,806.05%82.67M
Total liabilities
3.75%194.06M
62.52%255.97M
-44.29%187.03M
-29.23%157.5M
-82.89%335.75M
-57.25%222.57M
--1.96B
--382.48M
346.92%520.62M
181.62%116.49M
Total assets less total liabilities
-2.81%1.79B
-0.91%1.74B
16.48%1.84B
6.84%1.76B
267.70%1.58B
668.59%1.65B
---943.83M
--381.13M
88.86%214.2M
20.92%113.42M
Total equity and non-current liabilities
-2.80%1.82B
0.14%1.78B
17.03%1.88B
6.38%1.78B
92.69%1.6B
438.26%1.67B
--832.29M
--478.72M
58.14%310.09M
105.37%196.09M
Equity
Share capital
0.00%44K
0.00%44K
0.00%44K
0.00%44K
4,300.00%44K
--44K
--1K
--14.27M
----
----
Share premium
0.00%5.12B
0.00%5.12B
0.00%5.12B
-0.65%5.12B
121.21%5.12B
--5.15B
--2.31B
----
----
----
Other reserves
-0.41%-2.9B
0.73%-2.91B
2.91%-2.89B
3.31%-2.93B
2.71%-2.98B
-2,272.75%-3.03B
---3.06B
--125.42M
193.67%139.57M
1.83%47.53M
Retained profit
-8.87%-414.63M
-8.85%-459.69M
30.54%-380.84M
10.64%-422.32M
-175.30%-548.27M
-733.25%-472.6M
---199.15M
--241.45M
13.26%74.63M
39.83%65.89M
Shareholders' Equity
-2.47%1.8B
-0.91%1.75B
15.94%1.85B
7.12%1.76B
268.90%1.59B
668.50%1.65B
---943.83M
--381.13M
88.86%214.2M
20.92%113.42M
Non-controlling interest
-137.10%-10.69M
1.28%-4.47M
60.23%-4.51M
-2,445.60%-4.53M
---11.34M
--193K
----
----
----
----
Total equity
-2.81%1.79B
-0.91%1.74B
16.48%1.84B
6.84%1.76B
267.70%1.58B
668.59%1.65B
---943.83M
--381.13M
88.86%214.2M
20.92%113.42M
Total equity and total liabilities
-2.21%1.99B
4.30%2B
5.85%2.03B
2.54%1.92B
88.31%1.92B
154.33%1.87B
--1.02B
--763.62M
219.61%734.82M
70.10%229.91M
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
Auditor
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
--
PricewaterhouseCoopers
PricewaterhouseCoopers
(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(Q3)Mar 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019
Assets
Current assets
Inventory 1,435.38%998K1,601.28%1.33M-48.00%65K-72.04%78K-53.53%125K25.68%279K--269K--316K--222K----
Accounts receivable -30.32%45.21M30.10%68.1M-4.39%64.88M8.57%52.34M-5.98%67.86M-60.33%48.21M--72.18M--165.26M1,087.69%121.54M-26.23%10.23M
Advance deposits and other receivables -40.39%50.96M37.96%84.13M142.48%85.49M38.57%60.98M-6.84%35.26M-26.03%44M--37.85M--35.69M6.46%59.49M38.31%55.88M
Cash and equivalents -39.08%421.84M-46.30%538M-13.73%692.42M-14.22%1B18.73%802.58M163.53%1.17B--675.96M--406.5M1,598.79%443.25M21.94%26.09M
Fixed time deposit-current assets --23.09M------------------------------------
Secured deposit --------------8.57M871.21%6.98M------719K--5.01M--2.25M----
Short-term investment ------------------------------------756.13%86.34M
Financial assets at fair value-current assets 22.41%1.1B101.92%988.85M19.64%895.65M37.83%489.72M2,305.91%748.6M27,252.81%355.31M--31.12M--1.09M-87.99%1.3M-28.56%10.82M
Total current assets -5.76%1.64B4.14%1.68B4.64%1.74B-0.14%1.61B103.09%1.66B157.29%1.62B--818.09M--613.86M231.66%628.05M87.68%189.36M
Non-current assets
Property, plant and equipment -7.88%15.59M-9.81%17.14M22.81%16.93M125.02%19.01M83.79%13.78M114.86%8.45M--7.5M--3.91M286.53%3.93M18.12%1.02M
Advance payment 348.55%61.17M399.00%48.29M54.79%13.64M39.96%9.68M103.46%8.81M1,916.03%6.92M--4.33M--246K161.83%343K14.91%131K
long-term investment -7.66%182.11M-15.82%168.55M38.09%197.21M46.95%200.22M6.01%142.82M75.13%136.25M--134.72M--118.61M259.42%77.8M-1.12%21.65M
Other investments 95.11%36.9M92.55%38.24M-17.82%18.91M-31.92%19.86M-20.21%23.01M149.67%29.17M--28.84M--15.03M-3.34%11.68M120.32%12.09M
Deferred tax assets 22.95%31.17M-14.99%23.68M-33.15%25.35M-30.65%27.86M127.11%37.93M1,430.48%40.18M--16.7M--2.44M-23.82%2.63M-9.72%3.45M
Total non-current assets 18.90%347.47M5.16%318.42M13.63%292.23M19.67%302.79M28.11%257.17M136.96%253.02M--200.75M--149.76M163.35%106.78M18.35%40.55M
Total assets -2.21%1.99B4.30%2B5.85%2.03B2.54%1.92B88.31%1.92B154.33%1.87B--1.02B--763.62M219.61%734.82M70.10%229.91M
Liabilities
Current liabilities
Accounts payable -2.35%51.47M679.73%78.58M-13.93%52.71M75.42%10.08M54.45%61.23M-56.90%5.75M--39.65M--25.4M598.58%13.33M-39.31%1.91M
Tax payable 24.76%11.13M-97.18%318K10.54%8.92M88.06%11.28M29.71%8.07M-42.42%6M--6.22M--14.13M383.52%10.42M-34.63%2.15M
Other payables and accrued expenses 32.79%47.31M22.61%82.94M-75.09%35.63M-34.55%67.64M245.69%143.02M-39.02%103.35M--41.37M--81.49M689.34%169.46M8.40%21.47M
Bank loans and overdrafts 0.00%13K--13K--13K----------------------------
Financial lease liabilities-current liabilities 11.72%10.08M-9.93%9.19M-15.75%9.02M3.87%10.21M293.10%10.7M174.65%9.83M--2.72M--3.6M57.27%3.58M108.91%2.28M
Total current liabilities 5.01%161.6M56.70%220.8M-51.12%153.9M-29.49%140.91M68.77%314.84M-52.95%199.83M--186.55M--284.9M1,155.76%424.74M-14.76%33.82M
Net current assets -6.80%1.48B-0.89%1.46B17.68%1.58B4.00%1.47B113.22%1.35B596.50%1.42B--631.54M--328.96M30.71%203.31M154.07%155.54M
Total assets less current liabilities -2.80%1.82B0.14%1.78B17.03%1.88B6.38%1.78B92.69%1.6B438.26%1.67B--832.29M--478.72M58.14%310.09M105.37%196.09M
Non-current liabilities
Long-term bank loan -0.07%19.97M--19.97M--19.98M----------------------------
Financial lease liabilities-non-current liabilities -5.51%12.43M-8.45%15.19M-37.09%13.16M-27.00%16.6M243.04%20.91M233.55%22.74M--6.1M--6.92M--6.82M----
Deferred tax liability --55K------------------------------------
Convertible notes and bonds --------------------------1.77B------------
Special items of non-current liabilities ------------------------------90.67M7.74%89.07M12,716.59%82.67M
Total non-current liabilities -2.06%32.45M111.90%35.17M58.46%33.14M-27.00%16.6M-98.82%20.91M-76.29%22.74M--1.78B--97.58M15.99%95.88M4,806.05%82.67M
Total liabilities 3.75%194.06M62.52%255.97M-44.29%187.03M-29.23%157.5M-82.89%335.75M-57.25%222.57M--1.96B--382.48M346.92%520.62M181.62%116.49M
Total assets less total liabilities -2.81%1.79B-0.91%1.74B16.48%1.84B6.84%1.76B267.70%1.58B668.59%1.65B---943.83M--381.13M88.86%214.2M20.92%113.42M
Total equity and non-current liabilities -2.80%1.82B0.14%1.78B17.03%1.88B6.38%1.78B92.69%1.6B438.26%1.67B--832.29M--478.72M58.14%310.09M105.37%196.09M
Equity
Share capital 0.00%44K0.00%44K0.00%44K0.00%44K4,300.00%44K--44K--1K--14.27M--------
Share premium 0.00%5.12B0.00%5.12B0.00%5.12B-0.65%5.12B121.21%5.12B--5.15B--2.31B------------
Other reserves -0.41%-2.9B0.73%-2.91B2.91%-2.89B3.31%-2.93B2.71%-2.98B-2,272.75%-3.03B---3.06B--125.42M193.67%139.57M1.83%47.53M
Retained profit -8.87%-414.63M-8.85%-459.69M30.54%-380.84M10.64%-422.32M-175.30%-548.27M-733.25%-472.6M---199.15M--241.45M13.26%74.63M39.83%65.89M
Shareholders' Equity -2.47%1.8B-0.91%1.75B15.94%1.85B7.12%1.76B268.90%1.59B668.50%1.65B---943.83M--381.13M88.86%214.2M20.92%113.42M
Non-controlling interest -137.10%-10.69M1.28%-4.47M60.23%-4.51M-2,445.60%-4.53M---11.34M--193K----------------
Total equity -2.81%1.79B-0.91%1.74B16.48%1.84B6.84%1.76B267.70%1.58B668.59%1.65B---943.83M--381.13M88.86%214.2M20.92%113.42M
Total equity and total liabilities -2.21%1.99B4.30%2B5.85%2.03B2.54%1.92B88.31%1.92B154.33%1.87B--1.02B--763.62M219.61%734.82M70.10%229.91M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion----Unqualified OpinionUnqualified Opinion
Auditor --PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers----PricewaterhouseCoopersPricewaterhouseCoopers

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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