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09933 GHW INTL

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  • 3.590
  • -0.060-1.64%
Not Open Nov 6 16:08 CST
3.59BMarket Cap512.86P/E (TTM)

GHW INTL 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
19.13%429.38M
-5.30%340.12M
-21.10%360.43M
16.10%359.14M
62.39%456.83M
57.22%309.34M
-7.49%281.32M
17.96%196.76M
41.40%304.09M
1.33%166.8M
Accounts receivable
14.86%254.86M
2.11%223.97M
34.02%221.89M
5.38%219.35M
-4.30%165.57M
31.33%208.16M
13.83%173M
-2.10%158.51M
2.05%151.97M
7.53%161.9M
Notes receivable
48.83%129.73M
0.51%100.85M
-45.79%87.17M
16.95%100.34M
205.49%160.79M
87.25%85.8M
-27.03%52.63M
-16.39%45.82M
31.86%72.13M
302.90%54.8M
Related party payments receivable
-3.46%9.73M
--5.47M
--10.08M
----
----
----
----
----
----
1.45%70K
Advance deposits and other receivables
25.40%113.26M
29.09%109.7M
8.21%90.32M
25.38%84.98M
1.38%83.46M
35.83%67.78M
45.52%82.32M
-8.18%49.9M
-9.39%56.57M
-5.36%54.35M
Withholding and tax receivable
-59.42%687K
-81.60%1.47M
75.26%1.69M
2,072.48%7.97M
360.00%966K
33.45%367K
-25.00%210K
-35.60%275K
-87.52%280K
789.58%427K
Cash and equivalents
-4.11%96.99M
-24.99%77.39M
42.61%101.14M
77.83%103.18M
2.70%70.92M
-6.27%58.03M
60.63%69.06M
73.33%61.91M
27.62%42.99M
18.03%35.72M
Secured deposit
-35.81%31.45M
-10.41%30.4M
-54.94%49M
-69.56%33.94M
6.51%108.75M
-35.34%111.49M
-36.19%102.1M
58.46%172.43M
472.70%160M
320.95%108.82M
Financial assets at fair value-current assets
145.97%305K
296.46%448K
-92.93%124K
--113K
66.51%1.76M
----
119.58%1.05M
--653K
--480K
----
Derivative financial instruments-current assets
----
----
----
0.73%275K
-99.73%5K
-93.22%273K
--1.82M
--4.03M
----
----
Total current assets
15.68%1.07B
-2.14%889.82M
-12.13%921.84M
8.09%909.29M
37.40%1.05B
21.87%841.24M
-3.17%763.52M
18.43%690.28M
44.67%788.51M
31.74%582.88M
Non-current assets
Property, plant and equipment
7.45%795.94M
12.88%779.25M
36.66%740.74M
51.71%690.32M
69.31%542.04M
66.14%455.03M
46.04%320.15M
28.83%273.88M
13.86%219.23M
23.60%212.59M
Advance payment
----
----
--10.37M
--9.99M
----
----
----
--650K
----
----
Prepaid rent-non-current assets
11.90%987K
28.93%829K
27.09%882K
-28.56%643K
7.43%694K
34.93%900K
7.85%646K
6.55%667K
90.76%599K
458.93%626K
Associated company interest
----
----
--381K
----
----
----
----
----
----
----
Deferred tax assets
665.79%6.72M
2,064.96%5.5M
123.72%877K
-63.66%254K
-75.47%392K
-55.62%699K
336.61%1.6M
231.58%1.58M
-52.47%366K
-36.16%475K
Special items of non-current assets
3.67%16.96M
3.74%16.66M
3.81%16.36M
3.88%16.06M
--15.76M
--15.46M
----
----
--229K
--452K
Total non-current assets
6.83%879.18M
10.81%852.54M
34.35%822.98M
46.24%769.34M
63.26%612.57M
58.71%526.08M
34.66%375.22M
21.70%331.47M
14.47%278.63M
32.00%272.36M
Total assets
11.51%1.95B
3.80%1.74B
5.01%1.74B
22.77%1.68B
45.92%1.66B
33.82%1.37B
6.71%1.14B
19.47%1.02B
35.35%1.07B
31.83%855.24M
Liabilities
Current liabilities
Accounts payable
76.53%433.58M
7.42%274.97M
22.71%245.62M
29.27%255.97M
7.29%200.16M
22.11%198.01M
-4.33%186.57M
4.68%162.16M
17.82%195.02M
1.05%154.91M
Tax payable
-53.61%2.76M
-64.70%1.92M
-52.21%5.94M
28.41%5.45M
199.66%12.43M
380.41%4.24M
827.74%4.15M
-63.13%883K
-79.85%447K
-61.26%2.4M
Dividend payable
----
----
----
----
----
----
----
----
----
-96.81%1.8M
Amounts payable to associated parties-current liabilities
----
----
----
----
----
----
----
----
----
-99.99%5K
Other payables and accrued expenses
3.18%87.22M
12.64%105.33M
-12.96%84.54M
18.72%93.51M
82.82%97.13M
27.73%78.77M
31.37%53.13M
16.29%61.66M
-6.05%40.44M
9.07%53.02M
Bank loans and overdrafts
24.48%584.9M
50.32%471.91M
-3.07%469.88M
-30.84%313.93M
45.67%484.74M
14.00%453.91M
-20.45%332.76M
27.63%398.18M
55.22%418.3M
60.63%311.99M
Other loans-current liabilities
----
----
446.77%84.75M
--81.75M
46.23%15.5M
----
--10.6M
----
----
----
Financial lease liabilities-current liabilities
-20.63%4.75M
-2.19%4.77M
35.86%5.99M
-0.14%4.88M
15.34%4.41M
7.93%4.89M
-36.12%3.82M
-20.71%4.53M
6.80%5.98M
--5.71M
Total current liabilities
24.61%1.15B
13.35%884.48M
6.07%921.72M
0.16%780.33M
40.68%868.93M
20.56%779.08M
-8.84%617.65M
18.97%646.24M
9.06%677.54M
-2.00%543.21M
Net current assets
-68,559.17%-82.15M
-95.86%5.34M
-99.93%120K
107.47%128.97M
23.47%180.11M
41.16%62.16M
31.44%145.87M
11.00%44.04M
245.59%110.97M
135.46%39.67M
Total assets less current liabilities
-3.17%797.03M
-4.50%857.88M
3.84%823.1M
52.71%898.31M
52.12%792.68M
56.65%588.24M
33.75%521.09M
20.34%375.51M
133.04%389.61M
230.33%312.03M
Non-current liabilities
Long-term bank loan
-60.13%73.79M
-39.22%158.15M
-3.84%185.08M
68.44%260.18M
-8.43%192.48M
85.51%154.47M
29.01%210.21M
-56.06%83.27M
197.16%162.94M
4,486.40%189.51M
Other loans-non-current liabilities
--113.15M
--81.6M
----
----
-6.96%67.3M
1.68%82.8M
261.68%72.34M
--81.44M
--20M
----
Financial lease liabilities-non-current liabilities
-34.27%2.37M
-29.79%1.89M
-9.83%3.61M
-31.55%2.69M
4.36%4M
-18.71%3.93M
-34.68%3.83M
-21.88%4.84M
-16.75%5.87M
--6.19M
Deferred tax liability
-19.86%25.71M
-18.63%26.7M
47.42%32.08M
312.47%32.81M
4,260.72%21.76M
1,585.38%7.96M
-66.42%499K
-73.32%472K
17.19%1.49M
32.51%1.77M
Special items of non-current liabilities
----
--8.13M
----
----
----
----
----
----
----
----
Total non-current liabilities
-2.60%215.02M
-6.50%276.47M
-22.69%220.77M
18.67%295.69M
-0.46%285.54M
46.56%249.16M
50.75%286.88M
-13.91%170.01M
201.34%190.3M
3,512.07%197.47M
Total liabilities
19.35%1.36B
7.89%1.16B
-1.04%1.14B
4.65%1.08B
27.63%1.15B
25.97%1.03B
4.23%904.52M
10.20%816.25M
26.80%867.83M
32.32%740.68M
Total assets less total liabilities
-3.37%582.01M
-3.52%581.42M
18.77%602.34M
77.72%602.62M
116.53%507.13M
65.01%339.08M
17.51%234.21M
79.37%205.5M
91.59%199.31M
28.73%114.56M
Total equity and non-current liabilities
-3.17%797.03M
-4.50%857.88M
3.84%823.1M
52.71%898.31M
52.12%792.68M
56.65%588.24M
33.75%521.09M
20.34%375.51M
133.04%389.61M
230.33%312.03M
Equity
Share capital
0.00%8.84M
0.00%8.84M
0.00%8.84M
0.00%8.84M
0.00%8.84M
0.00%8.84M
0.00%8.84M
98,166.67%8.84M
98,166.67%8.84M
-86.96%9K
Reserve
-3.42%573.17M
-3.57%572.57M
19.11%593.5M
79.80%593.78M
121.10%498.29M
67.93%330.24M
18.32%225.37M
71.67%196.65M
83.10%190.47M
28.82%114.55M
Shareholders' Equity
-3.37%582.01M
-3.52%581.42M
18.77%602.34M
77.72%602.62M
116.53%507.13M
65.01%339.08M
17.51%234.21M
79.37%205.5M
91.59%199.31M
28.73%114.56M
Total equity
-3.37%582.01M
-3.52%581.42M
18.77%602.34M
77.72%602.62M
116.53%507.13M
65.01%339.08M
17.51%234.21M
79.37%205.5M
91.59%199.31M
28.73%114.56M
Total equity and total liabilities
11.51%1.95B
3.80%1.74B
5.01%1.74B
22.77%1.68B
45.92%1.66B
33.82%1.37B
6.71%1.14B
19.47%1.02B
35.35%1.07B
31.83%855.24M
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
--
Zhonghui Anda Certified Public Accountants Co., Ltd.
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
(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 19.13%429.38M-5.30%340.12M-21.10%360.43M16.10%359.14M62.39%456.83M57.22%309.34M-7.49%281.32M17.96%196.76M41.40%304.09M1.33%166.8M
Accounts receivable 14.86%254.86M2.11%223.97M34.02%221.89M5.38%219.35M-4.30%165.57M31.33%208.16M13.83%173M-2.10%158.51M2.05%151.97M7.53%161.9M
Notes receivable 48.83%129.73M0.51%100.85M-45.79%87.17M16.95%100.34M205.49%160.79M87.25%85.8M-27.03%52.63M-16.39%45.82M31.86%72.13M302.90%54.8M
Related party payments receivable -3.46%9.73M--5.47M--10.08M------------------------1.45%70K
Advance deposits and other receivables 25.40%113.26M29.09%109.7M8.21%90.32M25.38%84.98M1.38%83.46M35.83%67.78M45.52%82.32M-8.18%49.9M-9.39%56.57M-5.36%54.35M
Withholding and tax receivable -59.42%687K-81.60%1.47M75.26%1.69M2,072.48%7.97M360.00%966K33.45%367K-25.00%210K-35.60%275K-87.52%280K789.58%427K
Cash and equivalents -4.11%96.99M-24.99%77.39M42.61%101.14M77.83%103.18M2.70%70.92M-6.27%58.03M60.63%69.06M73.33%61.91M27.62%42.99M18.03%35.72M
Secured deposit -35.81%31.45M-10.41%30.4M-54.94%49M-69.56%33.94M6.51%108.75M-35.34%111.49M-36.19%102.1M58.46%172.43M472.70%160M320.95%108.82M
Financial assets at fair value-current assets 145.97%305K296.46%448K-92.93%124K--113K66.51%1.76M----119.58%1.05M--653K--480K----
Derivative financial instruments-current assets ------------0.73%275K-99.73%5K-93.22%273K--1.82M--4.03M--------
Total current assets 15.68%1.07B-2.14%889.82M-12.13%921.84M8.09%909.29M37.40%1.05B21.87%841.24M-3.17%763.52M18.43%690.28M44.67%788.51M31.74%582.88M
Non-current assets
Property, plant and equipment 7.45%795.94M12.88%779.25M36.66%740.74M51.71%690.32M69.31%542.04M66.14%455.03M46.04%320.15M28.83%273.88M13.86%219.23M23.60%212.59M
Advance payment ----------10.37M--9.99M--------------650K--------
Prepaid rent-non-current assets 11.90%987K28.93%829K27.09%882K-28.56%643K7.43%694K34.93%900K7.85%646K6.55%667K90.76%599K458.93%626K
Associated company interest ----------381K----------------------------
Deferred tax assets 665.79%6.72M2,064.96%5.5M123.72%877K-63.66%254K-75.47%392K-55.62%699K336.61%1.6M231.58%1.58M-52.47%366K-36.16%475K
Special items of non-current assets 3.67%16.96M3.74%16.66M3.81%16.36M3.88%16.06M--15.76M--15.46M----------229K--452K
Total non-current assets 6.83%879.18M10.81%852.54M34.35%822.98M46.24%769.34M63.26%612.57M58.71%526.08M34.66%375.22M21.70%331.47M14.47%278.63M32.00%272.36M
Total assets 11.51%1.95B3.80%1.74B5.01%1.74B22.77%1.68B45.92%1.66B33.82%1.37B6.71%1.14B19.47%1.02B35.35%1.07B31.83%855.24M
Liabilities
Current liabilities
Accounts payable 76.53%433.58M7.42%274.97M22.71%245.62M29.27%255.97M7.29%200.16M22.11%198.01M-4.33%186.57M4.68%162.16M17.82%195.02M1.05%154.91M
Tax payable -53.61%2.76M-64.70%1.92M-52.21%5.94M28.41%5.45M199.66%12.43M380.41%4.24M827.74%4.15M-63.13%883K-79.85%447K-61.26%2.4M
Dividend payable -------------------------------------96.81%1.8M
Amounts payable to associated parties-current liabilities -------------------------------------99.99%5K
Other payables and accrued expenses 3.18%87.22M12.64%105.33M-12.96%84.54M18.72%93.51M82.82%97.13M27.73%78.77M31.37%53.13M16.29%61.66M-6.05%40.44M9.07%53.02M
Bank loans and overdrafts 24.48%584.9M50.32%471.91M-3.07%469.88M-30.84%313.93M45.67%484.74M14.00%453.91M-20.45%332.76M27.63%398.18M55.22%418.3M60.63%311.99M
Other loans-current liabilities --------446.77%84.75M--81.75M46.23%15.5M------10.6M------------
Financial lease liabilities-current liabilities -20.63%4.75M-2.19%4.77M35.86%5.99M-0.14%4.88M15.34%4.41M7.93%4.89M-36.12%3.82M-20.71%4.53M6.80%5.98M--5.71M
Total current liabilities 24.61%1.15B13.35%884.48M6.07%921.72M0.16%780.33M40.68%868.93M20.56%779.08M-8.84%617.65M18.97%646.24M9.06%677.54M-2.00%543.21M
Net current assets -68,559.17%-82.15M-95.86%5.34M-99.93%120K107.47%128.97M23.47%180.11M41.16%62.16M31.44%145.87M11.00%44.04M245.59%110.97M135.46%39.67M
Total assets less current liabilities -3.17%797.03M-4.50%857.88M3.84%823.1M52.71%898.31M52.12%792.68M56.65%588.24M33.75%521.09M20.34%375.51M133.04%389.61M230.33%312.03M
Non-current liabilities
Long-term bank loan -60.13%73.79M-39.22%158.15M-3.84%185.08M68.44%260.18M-8.43%192.48M85.51%154.47M29.01%210.21M-56.06%83.27M197.16%162.94M4,486.40%189.51M
Other loans-non-current liabilities --113.15M--81.6M---------6.96%67.3M1.68%82.8M261.68%72.34M--81.44M--20M----
Financial lease liabilities-non-current liabilities -34.27%2.37M-29.79%1.89M-9.83%3.61M-31.55%2.69M4.36%4M-18.71%3.93M-34.68%3.83M-21.88%4.84M-16.75%5.87M--6.19M
Deferred tax liability -19.86%25.71M-18.63%26.7M47.42%32.08M312.47%32.81M4,260.72%21.76M1,585.38%7.96M-66.42%499K-73.32%472K17.19%1.49M32.51%1.77M
Special items of non-current liabilities ------8.13M--------------------------------
Total non-current liabilities -2.60%215.02M-6.50%276.47M-22.69%220.77M18.67%295.69M-0.46%285.54M46.56%249.16M50.75%286.88M-13.91%170.01M201.34%190.3M3,512.07%197.47M
Total liabilities 19.35%1.36B7.89%1.16B-1.04%1.14B4.65%1.08B27.63%1.15B25.97%1.03B4.23%904.52M10.20%816.25M26.80%867.83M32.32%740.68M
Total assets less total liabilities -3.37%582.01M-3.52%581.42M18.77%602.34M77.72%602.62M116.53%507.13M65.01%339.08M17.51%234.21M79.37%205.5M91.59%199.31M28.73%114.56M
Total equity and non-current liabilities -3.17%797.03M-4.50%857.88M3.84%823.1M52.71%898.31M52.12%792.68M56.65%588.24M33.75%521.09M20.34%375.51M133.04%389.61M230.33%312.03M
Equity
Share capital 0.00%8.84M0.00%8.84M0.00%8.84M0.00%8.84M0.00%8.84M0.00%8.84M0.00%8.84M98,166.67%8.84M98,166.67%8.84M-86.96%9K
Reserve -3.42%573.17M-3.57%572.57M19.11%593.5M79.80%593.78M121.10%498.29M67.93%330.24M18.32%225.37M71.67%196.65M83.10%190.47M28.82%114.55M
Shareholders' Equity -3.37%582.01M-3.52%581.42M18.77%602.34M77.72%602.62M116.53%507.13M65.01%339.08M17.51%234.21M79.37%205.5M91.59%199.31M28.73%114.56M
Total equity -3.37%582.01M-3.52%581.42M18.77%602.34M77.72%602.62M116.53%507.13M65.01%339.08M17.51%234.21M79.37%205.5M91.59%199.31M28.73%114.56M
Total equity and total liabilities 11.51%1.95B3.80%1.74B5.01%1.74B22.77%1.68B45.92%1.66B33.82%1.37B6.71%1.14B19.47%1.02B35.35%1.07B31.83%855.24M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Zhonghui Anda Certified Public Accountants Co., Ltd.--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang Certified Public Accountants--Deloitte Guan Huang Chen Fang 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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