HK Stock MarketDetailed Quotes

09996 PEIJIA-B

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  • 3.060
  • -0.050-1.61%
Market Closed Sep 17 16:08 CST
2.05BMarket Cap-7409P/E (TTM)

PEIJIA-B 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
-6.36%157.16M
34.17%170.65M
99.65%167.83M
92.39%127.18M
80.69%84.06M
161.45%66.11M
202.86%46.52M
126.51%25.29M
--15.36M
770.75%11.16M
Accounts receivable
20.29%102.08M
3.20%80.21M
30.86%84.87M
133.18%77.73M
--64.85M
--33.33M
----
----
----
----
Advance deposits and other receivables
-29.70%38.18M
-28.71%43.71M
-4.66%54.31M
99.00%61.31M
7.80%56.96M
-46.28%30.81M
67.42%52.84M
113.72%57.36M
--31.56M
-40.30%26.84M
Cash and equivalents
-29.35%701.33M
-52.34%795.77M
-47.42%992.63M
-27.28%1.67B
-37.58%1.89B
-6.59%2.3B
16.53%3.02B
387.12%2.46B
--2.6B
432.52%504.63M
Fixed time deposit-current assets
--130M
--70M
----
----
----
----
----
----
----
----
Financial assets at fair value-current assets
22.99%93.97M
7.82%77.16M
--76.41M
--71.56M
----
----
-83.23%35.21M
-78.25%3.26M
--210M
--15M
Total current assets
-11.14%1.22B
-38.35%1.24B
-34.28%1.38B
-17.27%2.01B
-33.73%2.09B
-4.63%2.43B
10.75%3.16B
356.23%2.54B
--2.85B
295.49%557.63M
Non-current assets
Property, plant and equipment
21.08%503.07M
48.44%453.97M
94.33%415.48M
102.25%305.82M
88.77%213.8M
69.48%151.21M
49.81%113.26M
27.02%89.22M
--75.6M
353.31%70.24M
Investment property
----
----
----
-7.17%7.01M
-6.92%7.28M
-6.69%7.55M
-64.22%7.82M
-63.98%8.09M
--21.86M
54.95%22.46M
Advance payment
-61.32%9.47M
-26.13%14.88M
54.60%24.48M
-61.71%20.14M
97.86%15.84M
555.53%52.61M
184.94%8M
132.30%8.03M
--2.81M
423.48%3.46M
Fixed time deposit-non-current assets
----
-41.18%100M
0.00%170M
--170M
--170M
----
----
----
----
----
Financial assets at fair value-non-current assets
10.86%306M
17.09%287.06M
16.84%276.03M
9.24%245.15M
--236.24M
--224.42M
----
----
----
----
Other investments
-51.34%5.92M
----
2,332.40%12.16M
----
--500K
----
----
----
----
----
Intangible assets
-2.19%522.23M
-2.06%527.87M
33.66%533.92M
94.92%538.95M
90.16%399.47M
29.38%276.5M
-3.30%210.08M
-2.55%213.72M
--217.24M
81,427.14%219.31M
Special items of non-current assets
----
1,718.32%6.06M
----
--333K
----
----
----
----
----
----
Total non-current assets
-4.23%1.39B
9.58%1.43B
36.49%1.45B
77.54%1.31B
193.28%1.06B
118.66%737.31M
12.25%362.9M
4.76%337.19M
--323.3M
864.57%321.86M
Total assets
-7.59%2.61B
-19.43%2.67B
-10.43%2.83B
4.83%3.32B
-10.34%3.16B
9.80%3.16B
10.90%3.52B
227.61%2.88B
--3.18B
404.40%879.48M
Liabilities
Current liabilities
Accounts payable
-9.49%140.99M
-73.45%137.84M
38.82%155.77M
350.73%519.07M
191.71%112.21M
233.30%115.16M
-4.36%38.47M
-27.47%34.55M
--40.22M
10.46%47.64M
Bank loans and overdrafts
--31.25M
-75.33%13.83M
----
--56.06M
--56M
----
----
----
----
----
Financial lease liabilities-current liabilities
-32.26%1.92M
-10.58%2.59M
46.94%2.83M
-18.42%2.89M
-37.36%1.93M
-61.17%3.55M
143.90%3.08M
640.39%9.13M
--1.26M
-11.87%1.23M
Total current liabilities
9.98%174.43M
-73.31%154.25M
-7.03%158.6M
386.93%578.02M
296.62%170.59M
167.42%118.71M
2.16%43.01M
-11.55%44.39M
--42.1M
12.71%50.19M
Net current assets
-13.89%1.05B
-24.22%1.08B
-36.70%1.22B
-38.06%1.43B
-38.29%1.92B
-7.68%2.31B
10.88%3.12B
392.61%2.5B
--2.81B
426.01%507.44M
Total assets less current liabilities
-8.64%2.44B
-8.06%2.52B
-10.62%2.67B
-10.07%2.74B
-14.13%2.99B
7.34%3.04B
11.02%3.48B
242.08%2.84B
--3.13B
538.72%829.3M
Non-current liabilities
Long-term bank loan
17.93%217.15M
187.68%203.59M
1,940.30%184.14M
--70.77M
--9.03M
----
----
----
----
----
Long-term accounts payable
----
----
----
----
----
----
----
----
--154K
0.00%154K
Financial lease liabilities-non-current liabilities
163.09%2.38M
-47.63%1.13M
-65.38%905K
-47.28%2.15M
-26.51%2.61M
--4.08M
625.92%3.56M
----
--490K
3.58%1.13M
Deferred tax liability
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
0.00%20.32M
--20.32M
--20.32M
Deferred income-non-current liabilities
-3.92%12.78M
661.86%13.1M
990.33%13.3M
25.18%1.72M
-61.22%1.22M
-58.16%1.37M
-10.60%3.15M
-8.55%3.28M
--3.52M
53.40%3.59M
Special items of non-current liabilities
-18.84%5.66M
-6.54%5.49M
11.61%6.97M
--5.87M
--6.25M
----
----
----
----
517.58%1.36B
Total non-current liabilities
14.47%258.29M
141.62%243.64M
472.31%225.64M
291.20%100.84M
45.89%39.43M
9.20%25.78M
10.37%27.02M
-98.30%23.6M
--24.48M
518.94%1.39B
Total liabilities
12.62%432.72M
-41.39%397.88M
82.95%384.24M
369.85%678.86M
199.88%210.02M
112.49%144.48M
5.18%70.04M
-95.27%67.99M
--66.59M
435.05%1.44B
Total assets less total liabilities
-10.77%2.18B
-13.78%2.27B
-17.08%2.44B
-12.64%2.64B
-14.60%2.95B
7.32%3.02B
11.03%3.45B
603.98%2.81B
--3.11B
-491.71%-558.21M
Total equity and non-current liabilities
-8.64%2.44B
-8.06%2.52B
-10.62%2.67B
-10.07%2.74B
-14.13%2.99B
7.34%3.04B
11.02%3.48B
242.08%2.84B
--3.13B
538.72%829.3M
Equity
Share capital
-0.07%6.36B
-0.16%6.36B
-0.16%6.36B
0.47%6.37B
0.73%6.37B
15.00%6.34B
14.50%6.32B
6,828.80%5.51B
--5.52B
57.16%79.56M
Other reserves
16.24%78.2M
16.39%74.05M
11.94%67.28M
-7.99%63.62M
-5.61%60.1M
27.07%69.14M
68.19%63.68M
54.14%54.41M
--37.86M
1,011.15%35.3M
Retained profit
-6.41%-4.18B
-10.57%-4.11B
-15.54%-3.92B
-12.34%-3.71B
-16.90%-3.4B
-21.03%-3.31B
-18.56%-2.91B
-305.72%-2.73B
---2.45B
-377.05%-673.07M
Shareholders' Equity
-10.77%2.18B
-13.78%2.27B
-17.08%2.44B
-12.64%2.64B
-14.60%2.95B
7.32%3.02B
11.03%3.45B
603.98%2.81B
--3.11B
-491.71%-558.21M
Non-controlling interest
-171.43%-38K
---28K
---14K
----
----
----
----
----
----
----
Total equity
-10.77%2.18B
-13.78%2.27B
-17.08%2.44B
-12.64%2.64B
-14.60%2.95B
7.32%3.02B
11.03%3.45B
603.98%2.81B
--3.11B
-491.71%-558.21M
Total equity and total liabilities
-7.59%2.61B
-19.43%2.67B
-10.43%2.83B
4.83%3.32B
-10.34%3.16B
9.80%3.16B
10.90%3.52B
227.61%2.88B
--3.18B
404.40%879.48M
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(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019
Assets
Current assets
Inventory -6.36%157.16M34.17%170.65M99.65%167.83M92.39%127.18M80.69%84.06M161.45%66.11M202.86%46.52M126.51%25.29M--15.36M770.75%11.16M
Accounts receivable 20.29%102.08M3.20%80.21M30.86%84.87M133.18%77.73M--64.85M--33.33M----------------
Advance deposits and other receivables -29.70%38.18M-28.71%43.71M-4.66%54.31M99.00%61.31M7.80%56.96M-46.28%30.81M67.42%52.84M113.72%57.36M--31.56M-40.30%26.84M
Cash and equivalents -29.35%701.33M-52.34%795.77M-47.42%992.63M-27.28%1.67B-37.58%1.89B-6.59%2.3B16.53%3.02B387.12%2.46B--2.6B432.52%504.63M
Fixed time deposit-current assets --130M--70M--------------------------------
Financial assets at fair value-current assets 22.99%93.97M7.82%77.16M--76.41M--71.56M---------83.23%35.21M-78.25%3.26M--210M--15M
Total current assets -11.14%1.22B-38.35%1.24B-34.28%1.38B-17.27%2.01B-33.73%2.09B-4.63%2.43B10.75%3.16B356.23%2.54B--2.85B295.49%557.63M
Non-current assets
Property, plant and equipment 21.08%503.07M48.44%453.97M94.33%415.48M102.25%305.82M88.77%213.8M69.48%151.21M49.81%113.26M27.02%89.22M--75.6M353.31%70.24M
Investment property -------------7.17%7.01M-6.92%7.28M-6.69%7.55M-64.22%7.82M-63.98%8.09M--21.86M54.95%22.46M
Advance payment -61.32%9.47M-26.13%14.88M54.60%24.48M-61.71%20.14M97.86%15.84M555.53%52.61M184.94%8M132.30%8.03M--2.81M423.48%3.46M
Fixed time deposit-non-current assets -----41.18%100M0.00%170M--170M--170M--------------------
Financial assets at fair value-non-current assets 10.86%306M17.09%287.06M16.84%276.03M9.24%245.15M--236.24M--224.42M----------------
Other investments -51.34%5.92M----2,332.40%12.16M------500K--------------------
Intangible assets -2.19%522.23M-2.06%527.87M33.66%533.92M94.92%538.95M90.16%399.47M29.38%276.5M-3.30%210.08M-2.55%213.72M--217.24M81,427.14%219.31M
Special items of non-current assets ----1,718.32%6.06M------333K------------------------
Total non-current assets -4.23%1.39B9.58%1.43B36.49%1.45B77.54%1.31B193.28%1.06B118.66%737.31M12.25%362.9M4.76%337.19M--323.3M864.57%321.86M
Total assets -7.59%2.61B-19.43%2.67B-10.43%2.83B4.83%3.32B-10.34%3.16B9.80%3.16B10.90%3.52B227.61%2.88B--3.18B404.40%879.48M
Liabilities
Current liabilities
Accounts payable -9.49%140.99M-73.45%137.84M38.82%155.77M350.73%519.07M191.71%112.21M233.30%115.16M-4.36%38.47M-27.47%34.55M--40.22M10.46%47.64M
Bank loans and overdrafts --31.25M-75.33%13.83M------56.06M--56M--------------------
Financial lease liabilities-current liabilities -32.26%1.92M-10.58%2.59M46.94%2.83M-18.42%2.89M-37.36%1.93M-61.17%3.55M143.90%3.08M640.39%9.13M--1.26M-11.87%1.23M
Total current liabilities 9.98%174.43M-73.31%154.25M-7.03%158.6M386.93%578.02M296.62%170.59M167.42%118.71M2.16%43.01M-11.55%44.39M--42.1M12.71%50.19M
Net current assets -13.89%1.05B-24.22%1.08B-36.70%1.22B-38.06%1.43B-38.29%1.92B-7.68%2.31B10.88%3.12B392.61%2.5B--2.81B426.01%507.44M
Total assets less current liabilities -8.64%2.44B-8.06%2.52B-10.62%2.67B-10.07%2.74B-14.13%2.99B7.34%3.04B11.02%3.48B242.08%2.84B--3.13B538.72%829.3M
Non-current liabilities
Long-term bank loan 17.93%217.15M187.68%203.59M1,940.30%184.14M--70.77M--9.03M--------------------
Long-term accounts payable ----------------------------------154K0.00%154K
Financial lease liabilities-non-current liabilities 163.09%2.38M-47.63%1.13M-65.38%905K-47.28%2.15M-26.51%2.61M--4.08M625.92%3.56M------490K3.58%1.13M
Deferred tax liability 0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M0.00%20.32M--20.32M--20.32M
Deferred income-non-current liabilities -3.92%12.78M661.86%13.1M990.33%13.3M25.18%1.72M-61.22%1.22M-58.16%1.37M-10.60%3.15M-8.55%3.28M--3.52M53.40%3.59M
Special items of non-current liabilities -18.84%5.66M-6.54%5.49M11.61%6.97M--5.87M--6.25M----------------517.58%1.36B
Total non-current liabilities 14.47%258.29M141.62%243.64M472.31%225.64M291.20%100.84M45.89%39.43M9.20%25.78M10.37%27.02M-98.30%23.6M--24.48M518.94%1.39B
Total liabilities 12.62%432.72M-41.39%397.88M82.95%384.24M369.85%678.86M199.88%210.02M112.49%144.48M5.18%70.04M-95.27%67.99M--66.59M435.05%1.44B
Total assets less total liabilities -10.77%2.18B-13.78%2.27B-17.08%2.44B-12.64%2.64B-14.60%2.95B7.32%3.02B11.03%3.45B603.98%2.81B--3.11B-491.71%-558.21M
Total equity and non-current liabilities -8.64%2.44B-8.06%2.52B-10.62%2.67B-10.07%2.74B-14.13%2.99B7.34%3.04B11.02%3.48B242.08%2.84B--3.13B538.72%829.3M
Equity
Share capital -0.07%6.36B-0.16%6.36B-0.16%6.36B0.47%6.37B0.73%6.37B15.00%6.34B14.50%6.32B6,828.80%5.51B--5.52B57.16%79.56M
Other reserves 16.24%78.2M16.39%74.05M11.94%67.28M-7.99%63.62M-5.61%60.1M27.07%69.14M68.19%63.68M54.14%54.41M--37.86M1,011.15%35.3M
Retained profit -6.41%-4.18B-10.57%-4.11B-15.54%-3.92B-12.34%-3.71B-16.90%-3.4B-21.03%-3.31B-18.56%-2.91B-305.72%-2.73B---2.45B-377.05%-673.07M
Shareholders' Equity -10.77%2.18B-13.78%2.27B-17.08%2.44B-12.64%2.64B-14.60%2.95B7.32%3.02B11.03%3.45B603.98%2.81B--3.11B-491.71%-558.21M
Non-controlling interest -171.43%-38K---28K---14K----------------------------
Total equity -10.77%2.18B-13.78%2.27B-17.08%2.44B-12.64%2.64B-14.60%2.95B7.32%3.02B11.03%3.45B603.98%2.81B--3.11B-491.71%-558.21M
Total equity and total liabilities -7.59%2.61B-19.43%2.67B-10.43%2.83B4.83%3.32B-10.34%3.16B9.80%3.16B10.90%3.52B227.61%2.88B--3.18B404.40%879.48M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--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.

Analysis

Analyst Rating

No Data

Price Target

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Heat List
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