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06865 FLAT GLASS

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  • 9.980
  • -0.320-3.11%
Not Open Sep 13 16:08 CST
23.38BMarket Cap6.73P/E (TTM)

FLAT GLASS 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
38.23%1.5B
----
30.16%2.76B
----
8.24%1.09B
----
0.13%2.12B
----
-20.48%1B
----
Profit adjustment
Investment loss (gain)
-25.42%-15.07M
----
-115.50%-27.72M
----
-186.18%-12.02M
----
59.66%-12.86M
----
80.54%-4.2M
----
Impairment and provisions:
492.27%94.33M
----
208.53%130.1M
----
-54.95%15.93M
----
415.81%42.17M
----
235.12%35.36M
----
-Other impairments and provisions
42.42%1.29M
----
99.14%77.81M
----
-96.83%906.63K
----
265.89%39.07M
----
193.89%28.63M
----
Revaluation surplus:
-87.83%48.51K
----
-134.61%-632.85K
----
-89.11%398.64K
----
32.23%1.83M
----
2,187.45%3.66M
----
Asset sale loss (gain):
13,256.79%10.88M
----
-20.37%7.09M
----
-99.11%81.43K
----
347.28%8.9M
----
863.25%9.15M
----
-Loss (gain) on sale of property, machinery and equipment
13,256.79%10.88M
----
-20.37%7.09M
----
-99.11%81.43K
----
347.28%8.9M
----
863.25%9.15M
----
Depreciation and amortization:
23.39%1.09B
----
41.00%1.83B
----
47.91%880.98M
----
143.14%1.3B
----
153.02%595.61M
----
-Amortization of intangible assets
6.14%331.34M
----
18.93%592.37M
----
28.96%312.17M
----
1,426.80%498.09M
----
1,933.09%242.07M
----
-Other depreciation and amortization
726.82%18.85M
----
95.08%-492.02K
----
45.12%-3.01M
----
-8.21%-9.99M
----
-578.47%-5.48M
----
Financial expense
19.94%273.01M
----
52.19%598.49M
----
50.87%227.62M
----
376.20%393.25M
----
335.48%150.87M
----
Change of operating capital
Inventory (increase) decrease
54.32%-145.95M
----
396.46%364.48M
----
-141.34%-319.47M
----
93.20%-122.94M
----
219.23%772.84M
----
Accounts receivable (increase)decrease
59.07%-1.03B
----
20.45%-3.77B
----
-5.88%-2.51B
----
-262.41%-4.74B
----
-176.93%-2.37B
----
Accounts payable increase (decrease)
75.54%-62.03M
----
-110.55%-126.96M
----
-135.80%-253.57M
----
36.28%1.2B
----
80.71%708.23M
----
Special items of business
-21.96%30.59M
----
909.28%193.59M
----
1,483.46%39.2M
----
-119.77%-23.92M
----
-90.10%2.48M
----
Adjustment items of business operations
293.91%1.72B
224.97%600.98M
783.18%1.77B
-101.95%-20.93M
-197.87%-884.55M
-185.70%-480.91M
-56.22%200.82M
219.10%1.07B
142.85%903.79M
303.98%561.18M
Net cash from operations
306.53%1.75B
224.97%600.98M
1,012.04%1.97B
-101.95%-20.93M
-193.28%-845.35M
-185.70%-480.91M
-69.49%176.9M
219.10%1.07B
128.19%906.27M
303.98%561.18M
Cash flow from investment activities
Dividend received - investment
2,596.26%10.69M
-8.78%118.02K
55.70%9.56M
-75.39%541.41K
-72.85%396.59K
-71.21%129.38K
-76.67%6.14M
-90.55%2.2M
-92.87%1.46M
-94.41%449.31K
Sale of fixed assets
-73.76%6.56M
-85.04%3.04M
114.88%21.83M
212.19%27.82M
518.41%25.01M
1,011.61%20.32M
13.77%10.16M
-33.84%8.91M
-40.27%4.04M
-58.26%1.83M
Purchase of fixed assets
-53.06%-2.61B
-86.31%-1.29B
30.47%-5.61B
25.19%-2.99B
22.03%-1.71B
37.45%-693.81M
-114.17%-8.07B
-33.89%-3.99B
-15.26%-2.19B
1.94%-1.11B
Acquisition of subsidiaries
----
----
----
----
----
----
---4.5M
---2.8B
---2.8B
---2.8B
Recovery of cash from investments
--330M
----
-99.78%2M
-99.33%2M
----
----
-60.00%900M
-85.37%300M
-90.24%200M
-71.43%200M
Cash on investment
---330M
----
67.24%-230M
----
----
----
66.95%-702M
65.63%-704.5M
65.85%-700M
----
Other items in the investment business
-909.45%-57.86M
56.63%-30.04M
-121.69%-16.59M
-727.08%-262.07M
122.09%7.15M
-142.71%-69.26M
-116.54%-7.48M
-176.39%-31.69M
-304.56%-32.36M
-264.57%-28.54M
Net cash from investment operations
-58.46%-2.65B
-77.68%-1.32B
25.97%-5.83B
55.44%-3.22B
69.67%-1.67B
80.14%-742.63M
-120.88%-7.87B
-148.75%-7.22B
-197.40%-5.52B
-107.58%-3.74B
Net cash before financing
64.00%-906.87M
41.27%-718.53M
49.84%-3.86B
47.33%-3.24B
45.39%-2.52B
61.50%-1.22B
-157.88%-7.69B
-61.65%-6.15B
-216.24%-4.61B
-91.17%-3.18B
Cash flow from financing activities
New borrowing
-27.55%5.41B
-17.51%2.44B
28.99%11.03B
64.54%9.04B
82.62%7.46B
-6.41%2.96B
141.37%8.55B
77.02%5.49B
214.52%4.09B
513.85%3.16B
Refund
-25.78%-5B
-59.02%-2.26B
-111.65%-8.57B
-142.60%-7.16B
-79.94%-3.97B
-158.24%-1.42B
-194.55%-4.05B
-195.74%-2.95B
-240.03%-2.21B
7.98%-550.68M
Issuance of bonds
----
----
----
----
----
----
--3.98B
--3.98B
--3.98B
----
Dividends paid - financing
0.45%-196.13M
-15.66%-96.37M
-27.37%-944.07M
-107.98%-295.34M
-112.45%-197.01M
-88.82%-83.32M
-79.08%-741.17M
63.10%-142M
74.31%-92.73M
-178.23%-44.13M
Absorb investment income
----
----
--6.04B
--6.04B
--180K
----
----
----
----
----
Other items of the financing business
-295.46%-182.24M
40.68%-126.09M
-560.25%-547.22M
293.22%76.38M
415.31%93.24M
-1,325.52%-212.56M
138.55%118.9M
89.60%-39.53M
89.78%-29.57M
95.24%-14.91M
Net cash from financing operations
-99.15%28.88M
-103.28%-40.83M
-10.85%7B
21.45%7.7B
-40.98%3.38B
-51.32%1.24B
98.62%7.85B
64.63%6.34B
128.49%5.73B
22.37%2.56B
Effect of rate
-90.38%3.35M
-101.43%-795.55K
-70.14%16.64M
-60.56%26.65M
47.34%34.83M
2,045.08%55.72M
452.39%55.72M
1,748.17%67.57M
476.76%23.64M
-192.61%-2.86M
Net Cash
-201.63%-877.99M
-3,834.43%-759.37M
1,844.92%3.14B
2,238.23%4.46B
-22.82%863.94M
103.26%20.33M
-83.36%161.63M
305.52%190.74M
6.59%1.12B
-246.46%-623.22M
Begining period cash
136.27%5.48B
136.27%5.48B
10.34%2.32B
10.34%2.32B
10.34%2.32B
10.34%2.32B
83.37%2.1B
83.37%2.1B
83.37%2.1B
83.37%2.1B
Cash at the end
43.10%4.6B
97.03%4.72B
136.27%5.48B
188.37%6.81B
-0.83%3.22B
62.31%2.4B
10.34%2.32B
98.47%2.36B
48.16%3.24B
-6.30%1.48B
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
--
--
Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)
--
--
--
Deloitte Touche Tohmatsu 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 38.23%1.5B----30.16%2.76B----8.24%1.09B----0.13%2.12B-----20.48%1B----
Profit adjustment
Investment loss (gain) -25.42%-15.07M-----115.50%-27.72M-----186.18%-12.02M----59.66%-12.86M----80.54%-4.2M----
Impairment and provisions: 492.27%94.33M----208.53%130.1M-----54.95%15.93M----415.81%42.17M----235.12%35.36M----
-Other impairments and provisions 42.42%1.29M----99.14%77.81M-----96.83%906.63K----265.89%39.07M----193.89%28.63M----
Revaluation surplus: -87.83%48.51K-----134.61%-632.85K-----89.11%398.64K----32.23%1.83M----2,187.45%3.66M----
Asset sale loss (gain): 13,256.79%10.88M-----20.37%7.09M-----99.11%81.43K----347.28%8.9M----863.25%9.15M----
-Loss (gain) on sale of property, machinery and equipment 13,256.79%10.88M-----20.37%7.09M-----99.11%81.43K----347.28%8.9M----863.25%9.15M----
Depreciation and amortization: 23.39%1.09B----41.00%1.83B----47.91%880.98M----143.14%1.3B----153.02%595.61M----
-Amortization of intangible assets 6.14%331.34M----18.93%592.37M----28.96%312.17M----1,426.80%498.09M----1,933.09%242.07M----
-Other depreciation and amortization 726.82%18.85M----95.08%-492.02K----45.12%-3.01M-----8.21%-9.99M-----578.47%-5.48M----
Financial expense 19.94%273.01M----52.19%598.49M----50.87%227.62M----376.20%393.25M----335.48%150.87M----
Change of operating capital
Inventory (increase) decrease 54.32%-145.95M----396.46%364.48M-----141.34%-319.47M----93.20%-122.94M----219.23%772.84M----
Accounts receivable (increase)decrease 59.07%-1.03B----20.45%-3.77B-----5.88%-2.51B-----262.41%-4.74B-----176.93%-2.37B----
Accounts payable increase (decrease) 75.54%-62.03M-----110.55%-126.96M-----135.80%-253.57M----36.28%1.2B----80.71%708.23M----
Special items of business -21.96%30.59M----909.28%193.59M----1,483.46%39.2M-----119.77%-23.92M-----90.10%2.48M----
Adjustment items of business operations 293.91%1.72B224.97%600.98M783.18%1.77B-101.95%-20.93M-197.87%-884.55M-185.70%-480.91M-56.22%200.82M219.10%1.07B142.85%903.79M303.98%561.18M
Net cash from operations 306.53%1.75B224.97%600.98M1,012.04%1.97B-101.95%-20.93M-193.28%-845.35M-185.70%-480.91M-69.49%176.9M219.10%1.07B128.19%906.27M303.98%561.18M
Cash flow from investment activities
Dividend received - investment 2,596.26%10.69M-8.78%118.02K55.70%9.56M-75.39%541.41K-72.85%396.59K-71.21%129.38K-76.67%6.14M-90.55%2.2M-92.87%1.46M-94.41%449.31K
Sale of fixed assets -73.76%6.56M-85.04%3.04M114.88%21.83M212.19%27.82M518.41%25.01M1,011.61%20.32M13.77%10.16M-33.84%8.91M-40.27%4.04M-58.26%1.83M
Purchase of fixed assets -53.06%-2.61B-86.31%-1.29B30.47%-5.61B25.19%-2.99B22.03%-1.71B37.45%-693.81M-114.17%-8.07B-33.89%-3.99B-15.26%-2.19B1.94%-1.11B
Acquisition of subsidiaries ---------------------------4.5M---2.8B---2.8B---2.8B
Recovery of cash from investments --330M-----99.78%2M-99.33%2M---------60.00%900M-85.37%300M-90.24%200M-71.43%200M
Cash on investment ---330M----67.24%-230M------------66.95%-702M65.63%-704.5M65.85%-700M----
Other items in the investment business -909.45%-57.86M56.63%-30.04M-121.69%-16.59M-727.08%-262.07M122.09%7.15M-142.71%-69.26M-116.54%-7.48M-176.39%-31.69M-304.56%-32.36M-264.57%-28.54M
Net cash from investment operations -58.46%-2.65B-77.68%-1.32B25.97%-5.83B55.44%-3.22B69.67%-1.67B80.14%-742.63M-120.88%-7.87B-148.75%-7.22B-197.40%-5.52B-107.58%-3.74B
Net cash before financing 64.00%-906.87M41.27%-718.53M49.84%-3.86B47.33%-3.24B45.39%-2.52B61.50%-1.22B-157.88%-7.69B-61.65%-6.15B-216.24%-4.61B-91.17%-3.18B
Cash flow from financing activities
New borrowing -27.55%5.41B-17.51%2.44B28.99%11.03B64.54%9.04B82.62%7.46B-6.41%2.96B141.37%8.55B77.02%5.49B214.52%4.09B513.85%3.16B
Refund -25.78%-5B-59.02%-2.26B-111.65%-8.57B-142.60%-7.16B-79.94%-3.97B-158.24%-1.42B-194.55%-4.05B-195.74%-2.95B-240.03%-2.21B7.98%-550.68M
Issuance of bonds --------------------------3.98B--3.98B--3.98B----
Dividends paid - financing 0.45%-196.13M-15.66%-96.37M-27.37%-944.07M-107.98%-295.34M-112.45%-197.01M-88.82%-83.32M-79.08%-741.17M63.10%-142M74.31%-92.73M-178.23%-44.13M
Absorb investment income ----------6.04B--6.04B--180K--------------------
Other items of the financing business -295.46%-182.24M40.68%-126.09M-560.25%-547.22M293.22%76.38M415.31%93.24M-1,325.52%-212.56M138.55%118.9M89.60%-39.53M89.78%-29.57M95.24%-14.91M
Net cash from financing operations -99.15%28.88M-103.28%-40.83M-10.85%7B21.45%7.7B-40.98%3.38B-51.32%1.24B98.62%7.85B64.63%6.34B128.49%5.73B22.37%2.56B
Effect of rate -90.38%3.35M-101.43%-795.55K-70.14%16.64M-60.56%26.65M47.34%34.83M2,045.08%55.72M452.39%55.72M1,748.17%67.57M476.76%23.64M-192.61%-2.86M
Net Cash -201.63%-877.99M-3,834.43%-759.37M1,844.92%3.14B2,238.23%4.46B-22.82%863.94M103.26%20.33M-83.36%161.63M305.52%190.74M6.59%1.12B-246.46%-623.22M
Begining period cash 136.27%5.48B136.27%5.48B10.34%2.32B10.34%2.32B10.34%2.32B10.34%2.32B83.37%2.1B83.37%2.1B83.37%2.1B83.37%2.1B
Cash at the end 43.10%4.6B97.03%4.72B136.27%5.48B188.37%6.81B-0.83%3.22B62.31%2.4B10.34%2.32B98.47%2.36B48.16%3.24B-6.30%1.48B
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 ----Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)------Deloitte Touche Tohmatsu 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

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