HK Stock MarketDetailed Quotes

06878 DIFFER GP AUTO

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  • 0.055
  • +0.004+7.84%
Market Closed Sep 17 16:08 CST
51.67MMarket Cap-18P/E (TTM)

DIFFER GP AUTO Key Stats

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YOY yoy
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(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
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
Assets
Current assets
Inventory
-5.18%3.25B
-20.42%3.09B
-12.35%3.43B
1.75%3.88B
-19.61%3.92B
19.40%3.81B
54.15%4.87B
4.11%3.19B
-0.02%3.16B
38.11%3.07B
Advance deposits and other receivables
-47.55%762.62M
-39.18%724.84M
27.30%1.45B
151.41%1.19B
80.21%1.14B
-14.46%474M
6.18%633.81M
142.95%554.12M
1.04%596.92M
-70.72%228.08M
Withholding and tax receivable
-60.57%33.41M
-52.49%64.27M
-47.54%84.74M
125.17%135.28M
56.13%161.53M
19.33%60.08M
270.72%103.46M
76.74%50.34M
52.24%27.91M
67.56%28.49M
Cash and equivalents
-69.15%30.63M
-47.51%17.79M
26.97%99.29M
-67.86%33.89M
-41.06%78.2M
5.05%105.44M
-7.29%132.69M
-38.32%100.37M
226.03%143.13M
48.38%162.73M
Secured deposit
3.82%114.48M
-16.03%119.76M
-29.28%110.27M
-37.46%142.62M
-53.30%155.92M
-31.58%228.05M
396.56%333.87M
760.91%333.29M
401.47%67.24M
-2.90%38.71M
Special items of current assets
-87.79%109.43M
-75.71%99.75M
-23.01%896.55M
-65.30%410.71M
-23.31%1.16B
-13.88%1.18B
20.73%1.52B
58.34%1.37B
53.26%1.26B
-36.77%867.92M
Total current assets
-27.33%4.67B
-24.23%4.46B
-4.61%6.42B
-1.95%5.88B
-13.32%6.73B
5.25%6B
44.45%7.77B
28.42%5.7B
15.58%5.38B
-2.24%4.44B
Non-current assets
Property, plant and equipment
-11.92%500.8M
14.97%511.09M
47.14%568.56M
43.71%444.53M
67.85%386.41M
77.39%309.33M
32.70%230.22M
0.72%174.38M
687.61%173.49M
802.77%173.13M
Investment property
13.87%849.36M
15.82%891.66M
-3.32%745.9M
1.72%769.84M
13.77%771.5M
11.75%756.8M
-14.23%678.1M
-9.44%677.2M
43.59%790.63M
24.59%747.8M
Advance payment
-99.94%332K
-99.72%2.29M
133.03%552.5M
133.52%811.44M
--237.09M
-45.30%347.48M
----
99.11%635.28M
0.02%83.7M
281.29%319.06M
Associated company interest
-62.76%128.45M
-64.56%127.71M
-1.52%344.88M
-2.65%360.37M
-9.47%350.2M
-7.52%370.18M
4,865.83%386.84M
2,457.25%400.29M
-50.22%7.79M
0.80%15.65M
Interests in Joint Venture
----
----
----
----
----
----
----
----
--14.43M
--15.68M
Goodwill
----
----
-18.22%86.03M
-10.41%86.03M
25.16%105.2M
15.23%96.03M
151.65%84.05M
149.51%83.34M
0.00%33.4M
0.00%33.4M
Deferred tax assets
-86.48%6.62M
-78.84%10.37M
32.79%49M
32.79%49M
-20.26%36.9M
-15.31%36.9M
--46.27M
--43.57M
----
----
Special items of non-current assets
----
----
-49.97%28.76M
-50.32%30.08M
-22.81%57.5M
-19.02%60.54M
-13.19%74.49M
-24.15%74.76M
-30.54%85.8M
-45.52%98.56M
Total non-current assets
-39.63%1.49B
-47.32%1.54B
7.07%2.46B
26.38%2.93B
26.25%2.3B
-5.22%2.32B
41.91%1.82B
63.32%2.45B
30.56%1.28B
45.35%1.5B
Total assets
-30.74%6.15B
-31.91%6B
-1.63%8.89B
5.95%8.81B
-5.80%9.03B
2.10%8.32B
43.96%9.59B
37.23%8.15B
18.20%6.66B
6.57%5.94B
Liabilities
Current liabilities
Accounts payable
91.79%720.02M
14.18%451.9M
-9.73%375.42M
-3.73%395.78M
-12.43%415.89M
-27.00%411.09M
14.03%474.91M
14.05%563.15M
2.75%416.49M
4.25%493.76M
Tax payable
2.13%397.44M
38.95%461.67M
-4.91%389.14M
-9.71%332.26M
37.71%409.25M
38.46%367.98M
109.91%297.17M
72.90%265.77M
167.95%141.57M
93.31%153.72M
Dividend payable
----
----
----
----
0.00%30.64M
----
--30.64M
----
----
----
Amounts payable to associated parties-current liabilities
----
----
----
----
----
----
--518.61M
----
----
----
Other payables and accrued expenses
34.69%992.09M
25.88%967.25M
-0.55%736.55M
2.56%768.37M
-31.69%740.61M
-50.49%749.2M
69.92%1.08B
139.05%1.51B
-10.98%638.04M
-7.66%633.02M
Bank loans and overdrafts
7.08%1.56B
141.24%1.56B
103.63%1.46B
16.00%647.51M
24.85%716.09M
100.78%558.2M
56.46%573.58M
-43.65%278.01M
-26.15%366.61M
66.66%493.38M
Financial lease liabilities-current liabilities
123.04%16.03M
112.52%17.99M
-11.48%7.19M
-17.23%8.47M
-47.38%8.12M
-4.03%10.23M
131.36%15.43M
-28.44%10.66M
-24.41%6.67M
--14.9M
Special items of current liabilities
-4.47%782.65M
-3.14%767.96M
187.65%819.31M
345.11%792.84M
60.68%284.83M
60.15%178.12M
206.06%177.26M
117.34%111.22M
54.81%57.92M
-67.79%51.18M
Total current liabilities
-3.59%5.73B
-4.99%5.46B
6.81%5.94B
16.88%5.75B
-15.01%5.56B
-2.62%4.92B
88.44%6.55B
58.31%5.05B
19.09%3.47B
15.06%3.19B
Net current assets
-323.04%-1.06B
-853.32%-1.01B
-59.10%477.12M
-87.66%133.43M
-4.28%1.17B
66.38%1.08B
-35.92%1.22B
-47.96%649.66M
9.67%1.9B
-29.38%1.25B
Total assets less current liabilities
-85.60%423.54M
-82.41%539.1M
-15.19%2.94B
-9.87%3.06B
14.02%3.47B
9.80%3.4B
-4.54%3.04B
12.74%3.1B
17.23%3.19B
-1.85%2.75B
Non-current liabilities
Long-term bank loan
105.26%19.5M
--19.5M
-95.53%9.5M
----
2.36%212.57M
-65.98%159.63M
-79.52%207.68M
-31.99%469.2M
180.02%1.01B
2.17%689.91M
Financial lease liabilities-non-current liabilities
--14.35M
363.67%13.18M
----
-68.87%2.84M
-50.64%5.93M
76.47%9.13M
-86.92%12.01M
-94.23%5.18M
5.66%91.83M
--89.7M
Deferred tax liability
-32.11%111.57M
-28.29%122.15M
-3.75%164.35M
1.95%170.34M
-0.70%170.75M
380.32%167.08M
35.99%171.95M
-71.03%34.78M
4.49%126.44M
-2.09%120.08M
Convertible notes and bonds
----
----
----
-27.59%142.65M
-18.70%163.84M
20.30%196.99M
-7.91%201.54M
-34.05%163.75M
-15.45%218.84M
-3.74%248.31M
Special items of non-current liabilities
-2.90%217.33M
-2.90%217.33M
60.51%223.83M
53.35%223.83M
102.18%139.45M
93.39%145.96M
814.55%68.98M
905.36%75.47M
-90.67%7.54M
-91.01%7.51M
Total non-current liabilities
-8.78%362.75M
-31.04%372.16M
-42.58%397.68M
-20.50%539.66M
4.59%692.54M
-9.30%678.78M
-54.60%662.15M
-35.23%748.38M
60.33%1.46B
1.42%1.16B
Total liabilities
-3.92%6.09B
-7.23%5.84B
1.35%6.34B
12.35%6.29B
-13.21%6.26B
-3.48%5.6B
46.15%7.21B
33.44%5.8B
28.90%4.93B
11.09%4.35B
Total assets less total liabilities
-97.61%60.8M
-93.39%166.94M
-8.36%2.54B
-7.22%2.52B
16.64%2.78B
15.89%2.72B
37.71%2.38B
47.58%2.35B
-4.44%1.73B
-4.10%1.59B
Total equity and non-current liabilities
-85.60%423.54M
-82.41%539.1M
-15.19%2.94B
-9.87%3.06B
14.02%3.47B
9.80%3.4B
-4.54%3.04B
12.74%3.1B
17.23%3.19B
-1.85%2.75B
Equity
Share capital
9.92%19.68M
27.20%18.74M
21.49%17.9M
0.00%14.73M
0.00%14.73M
0.00%14.73M
9.73%14.73M
14.82%14.73M
4.64%13.43M
21.23%12.83M
Reserve
-98.37%41.12M
-94.09%148.43M
-8.51%2.53B
-7.25%2.51B
18.56%2.76B
18.13%2.71B
38.25%2.33B
45.54%2.29B
-4.63%1.68B
-2.75%1.57B
Shareholders' Equity
-97.61%60.8M
-93.38%167.17M
-8.35%2.54B
-7.22%2.53B
18.44%2.78B
18.01%2.72B
38.02%2.34B
45.29%2.31B
-4.56%1.7B
-2.60%1.59B
Non-controlling interest
----
-48.03%-225K
---221K
---152K
----
----
20.05%36.23M
931.92%42.29M
2.60%30.18M
-86.27%4.1M
Total equity
-97.61%60.8M
-93.39%166.94M
-8.36%2.54B
-7.22%2.52B
16.64%2.78B
15.89%2.72B
37.71%2.38B
47.58%2.35B
-4.44%1.73B
-4.10%1.59B
Total equity and total liabilities
-30.74%6.15B
-31.91%6B
-1.63%8.89B
5.95%8.81B
-5.80%9.03B
2.10%8.32B
43.96%9.59B
37.23%8.15B
18.20%6.66B
6.57%5.94B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
--
--
--
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
--
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
(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(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019
Assets
Current assets
Inventory -5.18%3.25B-20.42%3.09B-12.35%3.43B1.75%3.88B-19.61%3.92B19.40%3.81B54.15%4.87B4.11%3.19B-0.02%3.16B38.11%3.07B
Advance deposits and other receivables -47.55%762.62M-39.18%724.84M27.30%1.45B151.41%1.19B80.21%1.14B-14.46%474M6.18%633.81M142.95%554.12M1.04%596.92M-70.72%228.08M
Withholding and tax receivable -60.57%33.41M-52.49%64.27M-47.54%84.74M125.17%135.28M56.13%161.53M19.33%60.08M270.72%103.46M76.74%50.34M52.24%27.91M67.56%28.49M
Cash and equivalents -69.15%30.63M-47.51%17.79M26.97%99.29M-67.86%33.89M-41.06%78.2M5.05%105.44M-7.29%132.69M-38.32%100.37M226.03%143.13M48.38%162.73M
Secured deposit 3.82%114.48M-16.03%119.76M-29.28%110.27M-37.46%142.62M-53.30%155.92M-31.58%228.05M396.56%333.87M760.91%333.29M401.47%67.24M-2.90%38.71M
Special items of current assets -87.79%109.43M-75.71%99.75M-23.01%896.55M-65.30%410.71M-23.31%1.16B-13.88%1.18B20.73%1.52B58.34%1.37B53.26%1.26B-36.77%867.92M
Total current assets -27.33%4.67B-24.23%4.46B-4.61%6.42B-1.95%5.88B-13.32%6.73B5.25%6B44.45%7.77B28.42%5.7B15.58%5.38B-2.24%4.44B
Non-current assets
Property, plant and equipment -11.92%500.8M14.97%511.09M47.14%568.56M43.71%444.53M67.85%386.41M77.39%309.33M32.70%230.22M0.72%174.38M687.61%173.49M802.77%173.13M
Investment property 13.87%849.36M15.82%891.66M-3.32%745.9M1.72%769.84M13.77%771.5M11.75%756.8M-14.23%678.1M-9.44%677.2M43.59%790.63M24.59%747.8M
Advance payment -99.94%332K-99.72%2.29M133.03%552.5M133.52%811.44M--237.09M-45.30%347.48M----99.11%635.28M0.02%83.7M281.29%319.06M
Associated company interest -62.76%128.45M-64.56%127.71M-1.52%344.88M-2.65%360.37M-9.47%350.2M-7.52%370.18M4,865.83%386.84M2,457.25%400.29M-50.22%7.79M0.80%15.65M
Interests in Joint Venture ----------------------------------14.43M--15.68M
Goodwill ---------18.22%86.03M-10.41%86.03M25.16%105.2M15.23%96.03M151.65%84.05M149.51%83.34M0.00%33.4M0.00%33.4M
Deferred tax assets -86.48%6.62M-78.84%10.37M32.79%49M32.79%49M-20.26%36.9M-15.31%36.9M--46.27M--43.57M--------
Special items of non-current assets ---------49.97%28.76M-50.32%30.08M-22.81%57.5M-19.02%60.54M-13.19%74.49M-24.15%74.76M-30.54%85.8M-45.52%98.56M
Total non-current assets -39.63%1.49B-47.32%1.54B7.07%2.46B26.38%2.93B26.25%2.3B-5.22%2.32B41.91%1.82B63.32%2.45B30.56%1.28B45.35%1.5B
Total assets -30.74%6.15B-31.91%6B-1.63%8.89B5.95%8.81B-5.80%9.03B2.10%8.32B43.96%9.59B37.23%8.15B18.20%6.66B6.57%5.94B
Liabilities
Current liabilities
Accounts payable 91.79%720.02M14.18%451.9M-9.73%375.42M-3.73%395.78M-12.43%415.89M-27.00%411.09M14.03%474.91M14.05%563.15M2.75%416.49M4.25%493.76M
Tax payable 2.13%397.44M38.95%461.67M-4.91%389.14M-9.71%332.26M37.71%409.25M38.46%367.98M109.91%297.17M72.90%265.77M167.95%141.57M93.31%153.72M
Dividend payable ----------------0.00%30.64M------30.64M------------
Amounts payable to associated parties-current liabilities --------------------------518.61M------------
Other payables and accrued expenses 34.69%992.09M25.88%967.25M-0.55%736.55M2.56%768.37M-31.69%740.61M-50.49%749.2M69.92%1.08B139.05%1.51B-10.98%638.04M-7.66%633.02M
Bank loans and overdrafts 7.08%1.56B141.24%1.56B103.63%1.46B16.00%647.51M24.85%716.09M100.78%558.2M56.46%573.58M-43.65%278.01M-26.15%366.61M66.66%493.38M
Financial lease liabilities-current liabilities 123.04%16.03M112.52%17.99M-11.48%7.19M-17.23%8.47M-47.38%8.12M-4.03%10.23M131.36%15.43M-28.44%10.66M-24.41%6.67M--14.9M
Special items of current liabilities -4.47%782.65M-3.14%767.96M187.65%819.31M345.11%792.84M60.68%284.83M60.15%178.12M206.06%177.26M117.34%111.22M54.81%57.92M-67.79%51.18M
Total current liabilities -3.59%5.73B-4.99%5.46B6.81%5.94B16.88%5.75B-15.01%5.56B-2.62%4.92B88.44%6.55B58.31%5.05B19.09%3.47B15.06%3.19B
Net current assets -323.04%-1.06B-853.32%-1.01B-59.10%477.12M-87.66%133.43M-4.28%1.17B66.38%1.08B-35.92%1.22B-47.96%649.66M9.67%1.9B-29.38%1.25B
Total assets less current liabilities -85.60%423.54M-82.41%539.1M-15.19%2.94B-9.87%3.06B14.02%3.47B9.80%3.4B-4.54%3.04B12.74%3.1B17.23%3.19B-1.85%2.75B
Non-current liabilities
Long-term bank loan 105.26%19.5M--19.5M-95.53%9.5M----2.36%212.57M-65.98%159.63M-79.52%207.68M-31.99%469.2M180.02%1.01B2.17%689.91M
Financial lease liabilities-non-current liabilities --14.35M363.67%13.18M-----68.87%2.84M-50.64%5.93M76.47%9.13M-86.92%12.01M-94.23%5.18M5.66%91.83M--89.7M
Deferred tax liability -32.11%111.57M-28.29%122.15M-3.75%164.35M1.95%170.34M-0.70%170.75M380.32%167.08M35.99%171.95M-71.03%34.78M4.49%126.44M-2.09%120.08M
Convertible notes and bonds -------------27.59%142.65M-18.70%163.84M20.30%196.99M-7.91%201.54M-34.05%163.75M-15.45%218.84M-3.74%248.31M
Special items of non-current liabilities -2.90%217.33M-2.90%217.33M60.51%223.83M53.35%223.83M102.18%139.45M93.39%145.96M814.55%68.98M905.36%75.47M-90.67%7.54M-91.01%7.51M
Total non-current liabilities -8.78%362.75M-31.04%372.16M-42.58%397.68M-20.50%539.66M4.59%692.54M-9.30%678.78M-54.60%662.15M-35.23%748.38M60.33%1.46B1.42%1.16B
Total liabilities -3.92%6.09B-7.23%5.84B1.35%6.34B12.35%6.29B-13.21%6.26B-3.48%5.6B46.15%7.21B33.44%5.8B28.90%4.93B11.09%4.35B
Total assets less total liabilities -97.61%60.8M-93.39%166.94M-8.36%2.54B-7.22%2.52B16.64%2.78B15.89%2.72B37.71%2.38B47.58%2.35B-4.44%1.73B-4.10%1.59B
Total equity and non-current liabilities -85.60%423.54M-82.41%539.1M-15.19%2.94B-9.87%3.06B14.02%3.47B9.80%3.4B-4.54%3.04B12.74%3.1B17.23%3.19B-1.85%2.75B
Equity
Share capital 9.92%19.68M27.20%18.74M21.49%17.9M0.00%14.73M0.00%14.73M0.00%14.73M9.73%14.73M14.82%14.73M4.64%13.43M21.23%12.83M
Reserve -98.37%41.12M-94.09%148.43M-8.51%2.53B-7.25%2.51B18.56%2.76B18.13%2.71B38.25%2.33B45.54%2.29B-4.63%1.68B-2.75%1.57B
Shareholders' Equity -97.61%60.8M-93.38%167.17M-8.35%2.54B-7.22%2.53B18.44%2.78B18.01%2.72B38.02%2.34B45.29%2.31B-4.56%1.7B-2.60%1.59B
Non-controlling interest -----48.03%-225K---221K---152K--------20.05%36.23M931.92%42.29M2.60%30.18M-86.27%4.1M
Total equity -97.61%60.8M-93.39%166.94M-8.36%2.54B-7.22%2.52B16.64%2.78B15.89%2.72B37.71%2.38B47.58%2.35B-4.44%1.73B-4.10%1.59B
Total equity and total liabilities -30.74%6.15B-31.91%6B-1.63%8.89B5.95%8.81B-5.80%9.03B2.10%8.32B43.96%9.59B37.23%8.15B18.20%6.66B6.57%5.94B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions ----------Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor ------Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited

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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