HK Stock MarketDetailed Quotes

09898 WB-SW

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  • 78.800
  • -1.750-2.17%
Market Closed Dec 13 16:08 CST
19.12BMarket Cap6.58P/E (TTM)

WB-SW Key Stats

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YOY yoy
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(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
(Q6)Jun 30, 2022
Assets
Current assets
Accounts receivable
-3.39%419.37M
-16.87%371.29M
-9.63%431.52M
-9.78%341.49M
-11.20%434.07M
-13.94%446.65M
-21.01%477.49M
-34.51%378.5M
-10.19%488.84M
11.08%519.03M
Related party payments receivable
-6.32%465.68M
-5.20%466.92M
-3.18%476.01M
-4.15%585.68M
2.32%497.11M
0.04%492.53M
-0.50%491.64M
-4.42%611.06M
-25.82%485.85M
-25.70%492.33M
Advance deposits and other receivables
0.14%375.46M
-14.31%348.14M
-15.90%356.72M
-8.08%359.88M
-8.47%374.94M
-15.67%406.26M
-8.98%424.18M
-13.14%391.5M
-56.61%409.64M
-17.97%481.74M
Cash and equivalents
-50.96%1.2B
-18.57%1.92B
-6.11%2.14B
-3.94%2.58B
-11.02%2.46B
1.04%2.36B
-8.70%2.28B
11.02%2.69B
50.87%2.76B
16.53%2.34B
Short-term investment
215.81%993.62M
95.34%915.64M
124.89%1.11B
33.43%641.04M
56.26%314.63M
-31.14%468.74M
-37.85%492.64M
-32.44%480.43M
-77.08%201.36M
-26.87%680.68M
Total current assets
-15.15%3.46B
-3.61%4.02B
8.31%4.52B
-0.87%4.51B
-6.19%4.08B
-7.43%4.17B
-14.18%4.17B
-5.22%4.55B
-10.43%4.34B
-3.07%4.51B
Non-current assets
Property, plant and equipment
5.00%227.61M
-4.56%212.45M
-10.23%216.68M
-11.58%220.66M
274.24%216.77M
263.83%222.61M
266.56%241.38M
264.86%249.55M
-10.05%57.92M
0.25%61.19M
long-term investment
12.61%1.45B
-2.12%1.28B
1.23%1.25B
32.89%1.32B
29.85%1.28B
18.74%1.31B
11.09%1.24B
-17.72%993.63M
-17.32%988.53M
-1.84%1.1B
Intangible assets
----
----
----
7.24%134.13M
----
----
----
-25.08%125.07M
----
----
Goodwill
31.96%288.23M
26.51%283.65M
20.37%290.73M
38.52%166.44M
-9.82%218.43M
-14.09%224.2M
-17.23%241.53M
-7.86%120.15M
88.39%242.22M
129.72%260.98M
Other illiquid assets
31.63%1.21B
37.18%1.3B
-11.07%1B
-15.88%755.76M
-23.31%916.01M
-25.27%947.98M
-1.26%1.13B
-17.03%898.42M
106.77%1.19B
117.84%1.27B
Special items of non-current assets
----
----
----
-10.56%170.27M
----
----
----
214.56%190.37M
----
----
Total non-current assets
20.20%3.17B
13.83%3.08B
-2.98%2.76B
7.39%2.77B
6.11%2.63B
0.40%2.7B
8.98%2.84B
-5.14%2.58B
15.62%2.48B
31.40%2.69B
Total assets
-1.27%6.63B
3.25%7.1B
3.73%7.28B
2.12%7.28B
-1.71%6.71B
-4.51%6.88B
-6.09%7.01B
-5.19%7.13B
-2.44%6.83B
7.47%7.2B
Liabilities
Current liabilities
Accounts payable
-1.15%154.44M
-3.79%150.46M
-3.74%149.46M
0.29%161.49M
-1.65%156.24M
-11.02%156.38M
-21.32%155.26M
-18.53%161.03M
-10.57%158.87M
10.19%175.75M
Tax payable
7.78%80.71M
2.69%54.69M
60.12%112.39M
70.95%94.51M
-11.81%74.89M
-31.77%53.25M
-54.75%70.19M
-61.81%55.28M
-26.32%84.91M
-12.40%78.05M
Dividend payable
----
----
--199.4M
----
----
--200.14M
----
----
----
----
Other payables and accrued expenses
5.31%638.83M
-7.46%625.54M
-6.10%662.8M
-28.18%656.45M
-4.14%606.61M
-10.70%675.96M
-11.75%705.89M
11.32%913.98M
-13.62%632.78M
9.33%756.96M
Deferred income-current liabilities
19.82%94.69M
3.54%88.6M
4.44%92.73M
-5.96%75.19M
-9.10%79.03M
-6.37%85.57M
-6.28%88.79M
-12.28%79.95M
-34.37%86.94M
-37.44%91.4M
Special items of current liabilities
----
--799.99M
--799.66M
8,252.72%809.71M
-11.19%798.99M
----
----
-98.93%9.69M
20,323.31%899.65M
15,963.85%898.61M
Total current liabilities
-43.54%968.67M
46.78%1.72B
97.67%2.02B
47.33%1.8B
-7.91%1.72B
-41.46%1.17B
-52.43%1.02B
-43.50%1.22B
60.30%1.86B
83.11%2B
Net current assets
5.48%2.49B
-23.26%2.31B
-20.63%2.5B
-18.51%2.72B
-4.89%2.36B
19.69%3B
16.05%3.15B
26.04%3.33B
-32.72%2.48B
-29.52%2.51B
Total assets less current liabilities
13.25%5.66B
-5.69%5.38B
-12.26%5.26B
-7.22%5.48B
0.61%4.99B
9.70%5.71B
12.58%5.99B
10.24%5.91B
-14.93%4.96B
-7.26%5.2B
Non-current liabilities
Long-term bank loan
-10.64%794.4M
-10.13%793.48M
-10.13%792.56M
-10.13%791.65M
--888.95M
--882.92M
--881.89M
--880.86M
----
----
Deferred tax liability
----
----
----
58.66%66.15M
----
----
----
-37.68%41.69M
----
----
Convertible notes and bonds
43.17%1.06B
-31.03%1.06B
-31.07%1.06B
-31.12%1.06B
-51.73%743.45M
0.15%1.54B
0.15%1.54B
0.15%1.54B
-36.71%1.54B
-36.69%1.54B
Other non-current liabilities
40.91%119.68M
26.16%112.55M
13.93%109.74M
--3.42M
-28.72%84.93M
-31.67%89.21M
-23.05%96.32M
----
917.17%119.15M
1,435.11%130.56M
Special items of non-current liabilities
----
----
----
-23.07%42.86M
----
----
----
7.05%55.71M
----
----
Total non-current liabilities
15.21%1.98B
-21.66%1.97B
-22.02%1.96B
-21.98%1.97B
3.50%1.72B
50.53%2.51B
51.40%2.52B
50.61%2.52B
-33.77%1.66B
-33.26%1.67B
Total liabilities
-14.15%2.95B
0.09%3.69B
12.47%3.98B
0.64%3.76B
-2.54%3.43B
0.39%3.69B
-7.07%3.54B
-2.42%3.74B
-3.96%3.52B
2.11%3.67B
Total assets less total liabilities
12.22%3.68B
6.89%3.41B
-5.18%3.29B
3.75%3.52B
-0.84%3.28B
-9.60%3.19B
-5.07%3.47B
-8.07%3.39B
-0.76%3.31B
13.68%3.53B
Total equity and non-current liabilities
13.75%5.61B
-5.45%5.34B
-12.09%5.22B
-7.66%5.41B
0.83%4.94B
10.12%5.65B
13.05%5.94B
10.76%5.86B
-15.04%4.89B
-7.35%5.13B
Equity
Share capital
----
----
----
3.39%61K
----
----
----
0.00%59K
----
----
Capital reserve
----
----
----
-1.15%1.43B
----
----
----
-2.15%1.45B
----
----
Undistributed profit
----
----
----
6.97%2.19B
----
----
----
4.37%2.05B
----
----
Special items of shareholders' rights and interests
11.73%3.58B
6.45%3.33B
-5.81%3.21B
-112.01%-217.82M
-0.24%3.21B
-9.22%3.12B
-4.42%3.41B
-165.47%-102.74M
2,718.37%3.21B
3,073.39%3.44B
Shareholders' Equity
11.73%3.58B
6.45%3.33B
-5.81%3.21B
2.06%3.4B
-0.24%3.21B
-9.22%3.12B
-4.42%3.41B
-7.33%3.33B
-0.38%3.21B
14.34%3.44B
Non-controlling interest
372.52%52.1M
242.90%49.71M
227.19%49.57M
246.00%50.15M
-46.86%11.03M
-32.54%14.5M
-43.55%15.15M
-47.44%14.5M
-29.19%20.75M
-23.84%21.49M
Total equity
12.97%3.64B
7.54%3.38B
-4.78%3.26B
3.11%3.45B
-0.54%3.22B
-9.37%3.14B
-4.71%3.42B
-7.64%3.34B
-0.64%3.24B
13.98%3.46B
Total equity and total liabilities
-1.27%6.63B
3.25%7.1B
3.73%7.28B
2.12%7.28B
-1.71%6.71B
-4.51%6.88B
-6.09%7.01B
-5.19%7.13B
-2.44%6.83B
7.47%7.2B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
UAS
UAS
UAS
UAS
UAS
UAS
UAS
UAS
UAS
UAS
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
Auditor
--
--
--
PricewaterhouseCoopers
--
--
--
PricewaterhouseCoopers
--
--
(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(Q6)Jun 30, 2022
Assets
Current assets
Accounts receivable -3.39%419.37M-16.87%371.29M-9.63%431.52M-9.78%341.49M-11.20%434.07M-13.94%446.65M-21.01%477.49M-34.51%378.5M-10.19%488.84M11.08%519.03M
Related party payments receivable -6.32%465.68M-5.20%466.92M-3.18%476.01M-4.15%585.68M2.32%497.11M0.04%492.53M-0.50%491.64M-4.42%611.06M-25.82%485.85M-25.70%492.33M
Advance deposits and other receivables 0.14%375.46M-14.31%348.14M-15.90%356.72M-8.08%359.88M-8.47%374.94M-15.67%406.26M-8.98%424.18M-13.14%391.5M-56.61%409.64M-17.97%481.74M
Cash and equivalents -50.96%1.2B-18.57%1.92B-6.11%2.14B-3.94%2.58B-11.02%2.46B1.04%2.36B-8.70%2.28B11.02%2.69B50.87%2.76B16.53%2.34B
Short-term investment 215.81%993.62M95.34%915.64M124.89%1.11B33.43%641.04M56.26%314.63M-31.14%468.74M-37.85%492.64M-32.44%480.43M-77.08%201.36M-26.87%680.68M
Total current assets -15.15%3.46B-3.61%4.02B8.31%4.52B-0.87%4.51B-6.19%4.08B-7.43%4.17B-14.18%4.17B-5.22%4.55B-10.43%4.34B-3.07%4.51B
Non-current assets
Property, plant and equipment 5.00%227.61M-4.56%212.45M-10.23%216.68M-11.58%220.66M274.24%216.77M263.83%222.61M266.56%241.38M264.86%249.55M-10.05%57.92M0.25%61.19M
long-term investment 12.61%1.45B-2.12%1.28B1.23%1.25B32.89%1.32B29.85%1.28B18.74%1.31B11.09%1.24B-17.72%993.63M-17.32%988.53M-1.84%1.1B
Intangible assets ------------7.24%134.13M-------------25.08%125.07M--------
Goodwill 31.96%288.23M26.51%283.65M20.37%290.73M38.52%166.44M-9.82%218.43M-14.09%224.2M-17.23%241.53M-7.86%120.15M88.39%242.22M129.72%260.98M
Other illiquid assets 31.63%1.21B37.18%1.3B-11.07%1B-15.88%755.76M-23.31%916.01M-25.27%947.98M-1.26%1.13B-17.03%898.42M106.77%1.19B117.84%1.27B
Special items of non-current assets -------------10.56%170.27M------------214.56%190.37M--------
Total non-current assets 20.20%3.17B13.83%3.08B-2.98%2.76B7.39%2.77B6.11%2.63B0.40%2.7B8.98%2.84B-5.14%2.58B15.62%2.48B31.40%2.69B
Total assets -1.27%6.63B3.25%7.1B3.73%7.28B2.12%7.28B-1.71%6.71B-4.51%6.88B-6.09%7.01B-5.19%7.13B-2.44%6.83B7.47%7.2B
Liabilities
Current liabilities
Accounts payable -1.15%154.44M-3.79%150.46M-3.74%149.46M0.29%161.49M-1.65%156.24M-11.02%156.38M-21.32%155.26M-18.53%161.03M-10.57%158.87M10.19%175.75M
Tax payable 7.78%80.71M2.69%54.69M60.12%112.39M70.95%94.51M-11.81%74.89M-31.77%53.25M-54.75%70.19M-61.81%55.28M-26.32%84.91M-12.40%78.05M
Dividend payable ----------199.4M----------200.14M----------------
Other payables and accrued expenses 5.31%638.83M-7.46%625.54M-6.10%662.8M-28.18%656.45M-4.14%606.61M-10.70%675.96M-11.75%705.89M11.32%913.98M-13.62%632.78M9.33%756.96M
Deferred income-current liabilities 19.82%94.69M3.54%88.6M4.44%92.73M-5.96%75.19M-9.10%79.03M-6.37%85.57M-6.28%88.79M-12.28%79.95M-34.37%86.94M-37.44%91.4M
Special items of current liabilities ------799.99M--799.66M8,252.72%809.71M-11.19%798.99M---------98.93%9.69M20,323.31%899.65M15,963.85%898.61M
Total current liabilities -43.54%968.67M46.78%1.72B97.67%2.02B47.33%1.8B-7.91%1.72B-41.46%1.17B-52.43%1.02B-43.50%1.22B60.30%1.86B83.11%2B
Net current assets 5.48%2.49B-23.26%2.31B-20.63%2.5B-18.51%2.72B-4.89%2.36B19.69%3B16.05%3.15B26.04%3.33B-32.72%2.48B-29.52%2.51B
Total assets less current liabilities 13.25%5.66B-5.69%5.38B-12.26%5.26B-7.22%5.48B0.61%4.99B9.70%5.71B12.58%5.99B10.24%5.91B-14.93%4.96B-7.26%5.2B
Non-current liabilities
Long-term bank loan -10.64%794.4M-10.13%793.48M-10.13%792.56M-10.13%791.65M--888.95M--882.92M--881.89M--880.86M--------
Deferred tax liability ------------58.66%66.15M-------------37.68%41.69M--------
Convertible notes and bonds 43.17%1.06B-31.03%1.06B-31.07%1.06B-31.12%1.06B-51.73%743.45M0.15%1.54B0.15%1.54B0.15%1.54B-36.71%1.54B-36.69%1.54B
Other non-current liabilities 40.91%119.68M26.16%112.55M13.93%109.74M--3.42M-28.72%84.93M-31.67%89.21M-23.05%96.32M----917.17%119.15M1,435.11%130.56M
Special items of non-current liabilities -------------23.07%42.86M------------7.05%55.71M--------
Total non-current liabilities 15.21%1.98B-21.66%1.97B-22.02%1.96B-21.98%1.97B3.50%1.72B50.53%2.51B51.40%2.52B50.61%2.52B-33.77%1.66B-33.26%1.67B
Total liabilities -14.15%2.95B0.09%3.69B12.47%3.98B0.64%3.76B-2.54%3.43B0.39%3.69B-7.07%3.54B-2.42%3.74B-3.96%3.52B2.11%3.67B
Total assets less total liabilities 12.22%3.68B6.89%3.41B-5.18%3.29B3.75%3.52B-0.84%3.28B-9.60%3.19B-5.07%3.47B-8.07%3.39B-0.76%3.31B13.68%3.53B
Total equity and non-current liabilities 13.75%5.61B-5.45%5.34B-12.09%5.22B-7.66%5.41B0.83%4.94B10.12%5.65B13.05%5.94B10.76%5.86B-15.04%4.89B-7.35%5.13B
Equity
Share capital ------------3.39%61K------------0.00%59K--------
Capital reserve -------------1.15%1.43B-------------2.15%1.45B--------
Undistributed profit ------------6.97%2.19B------------4.37%2.05B--------
Special items of shareholders' rights and interests 11.73%3.58B6.45%3.33B-5.81%3.21B-112.01%-217.82M-0.24%3.21B-9.22%3.12B-4.42%3.41B-165.47%-102.74M2,718.37%3.21B3,073.39%3.44B
Shareholders' Equity 11.73%3.58B6.45%3.33B-5.81%3.21B2.06%3.4B-0.24%3.21B-9.22%3.12B-4.42%3.41B-7.33%3.33B-0.38%3.21B14.34%3.44B
Non-controlling interest 372.52%52.1M242.90%49.71M227.19%49.57M246.00%50.15M-46.86%11.03M-32.54%14.5M-43.55%15.15M-47.44%14.5M-29.19%20.75M-23.84%21.49M
Total equity 12.97%3.64B7.54%3.38B-4.78%3.26B3.11%3.45B-0.54%3.22B-9.37%3.14B-4.71%3.42B-7.64%3.34B-0.64%3.24B13.98%3.46B
Total equity and total liabilities -1.27%6.63B3.25%7.1B3.73%7.28B2.12%7.28B-1.71%6.71B-4.51%6.88B-6.09%7.01B-5.19%7.13B-2.44%6.83B7.47%7.2B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards UASUASUASUASUASUASUASUASUASUAS
Audit Opinions ------Unqualified Opinion------Unqualified Opinion----
Auditor ------PricewaterhouseCoopers------PricewaterhouseCoopers----

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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