MY Stock MarketDetailed Quotes

2089 UTDPLT

Watchlist
  • 22.920
  • +0.080+0.35%
15min DelayMarket Closed Feb 28 16:52 CST
14.26BMarket Cap29.88P/E (TTM)

UTDPLT Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-23.17%486.82M
-23.17%486.82M
-22.88%614.29M
-27.60%477.69M
-22.31%772.5M
-18.72%633.6M
-18.72%633.6M
-8.78%796.49M
31.50%659.84M
343.67%994.27M
-Cash and cash equivalents
-16.44%484.53M
-16.44%484.53M
-13.33%454.98M
-25.15%410.67M
-16.93%558.65M
7.94%579.87M
7.94%579.87M
8.14%524.94M
9.68%548.62M
202.20%672.46M
-Including:Cash
19.14%164.1M
19.14%164.1M
-13.33%454.98M
-25.15%410.67M
-16.93%558.65M
4.42%137.74M
4.42%137.74M
8.14%524.94M
9.68%548.62M
202.20%672.46M
-Including:Cash equivalents
-27.53%320.43M
-27.53%320.43M
----
----
----
9.08%442.14M
9.08%442.14M
----
----
----
-Short term investments
-95.74%2.29M
-95.74%2.29M
-41.33%159.31M
-39.73%67.03M
-33.55%213.85M
-77.82%53.73M
-77.82%53.73M
-29.96%271.55M
6,921.34%111.22M
20,319.29%321.81M
Receivables
21.04%247.97M
21.04%247.97M
34.18%222.47M
49.44%212.03M
398.58%181.28M
27.89%204.87M
27.89%204.87M
-32.14%165.8M
-72.87%141.88M
-94.21%36.36M
-Accounts receivable
21.07%232.37M
21.07%232.37M
34.18%222.47M
49.44%212.03M
398.58%181.28M
30.14%191.92M
30.14%191.92M
-32.14%165.8M
-72.87%141.88M
-94.21%36.36M
-Gross accounts receivable
21.07%232.37M
21.07%232.37M
----
----
----
30.14%191.92M
30.14%191.92M
----
----
----
-Other receivables
20.53%15.61M
20.53%15.61M
----
----
----
1.86%12.95M
1.86%12.95M
----
----
----
Inventory
-1.93%291.67M
-1.93%291.67M
-5.62%288.38M
1.91%288.6M
10.76%297.07M
12.15%297.41M
12.15%297.41M
2.25%305.56M
-10.39%283.19M
-16.11%268.22M
Prepaid assets
399.65%67.75M
399.65%67.75M
-13.37%6.69M
-45.55%2.87M
5.16%4.18M
93.99%13.56M
93.99%13.56M
-21.94%7.72M
-15.85%5.27M
4.86%3.97M
Tax assets-Current
108.73%35.09M
108.73%35.09M
94.70%34.78M
238.49%25.27M
39.02%25.91M
45,329.73%16.81M
45,329.73%16.81M
31,796.43%17.86M
-72.67%7.47M
-26.75%18.64M
Hedging assets-current
-77.82%4.37M
-77.82%4.37M
174.81%40.17M
-87.58%2.38M
-97.65%2.32M
-42.88%19.7M
-42.88%19.7M
-84.75%14.62M
129.62%19.19M
170.08%98.63M
Total current assets
-4.41%1.13B
-4.41%1.13B
-7.74%1.21B
-9.67%1.01B
-9.64%1.28B
-4.85%1.19B
-4.85%1.19B
-14.06%1.31B
-19.23%1.12B
14.72%1.42B
Non current assets
Net PPE
0.63%1.62B
0.63%1.62B
-0.78%1.65B
-0.70%1.66B
0.21%1.66B
0.26%1.61B
0.26%1.61B
2.43%1.66B
3.03%1.67B
3.07%1.66B
-Gross PP&E
2.96%3.34B
2.96%3.34B
-0.78%1.65B
-0.70%1.66B
0.21%1.66B
3.64%3.24B
3.64%3.24B
2.43%1.66B
3.03%1.67B
3.07%1.66B
-Accumulated depreciation
-5.27%-1.71B
-5.27%-1.71B
----
----
----
-7.23%-1.62B
-7.23%-1.62B
----
----
----
Total investment
36.27%87.28M
36.27%87.28M
47.37%81.98M
29.17%68.71M
20.23%65.57M
19.61%64.05M
19.61%64.05M
28.75%55.63M
34.15%53.2M
38.39%54.54M
-Long-term equity investment
36.27%87.28M
36.27%87.28M
47.37%81.98M
29.17%68.71M
20.23%65.57M
19.61%64.05M
19.61%64.05M
28.75%55.63M
34.15%53.2M
38.39%54.54M
Long-term accounts receivable and other receivables
-1.94%405K
-1.94%405K
-31.21%487K
-55.51%315K
-44.77%391K
-40.32%413K
-40.32%413K
-55.97%708K
-86.37%708K
-86.37%708K
Financial assets
--613K
--613K
----
--214K
----
--0
--0
--0
--0
--1.41M
Goodwill and other intangible assets
0.01%396.34M
0.01%396.34M
0.00%356.86M
0.00%356.86M
0.00%356.86M
0.53%396.3M
0.53%396.3M
0.00%356.86M
0.00%356.86M
0.00%356.86M
-Goodwill
0.00%356.86M
0.00%356.86M
0.00%356.86M
0.00%356.86M
0.00%356.86M
0.00%356.86M
0.00%356.86M
0.00%356.86M
0.00%356.86M
0.00%356.86M
-Other intangible assets
0.10%39.48M
0.10%39.48M
----
----
----
5.56%39.44M
5.56%39.44M
----
----
----
Deferred tax assets-non current
--0
--0
-40.49%1.42M
-28.03%1.47M
-7.01%2.1M
3.14%2.2M
3.14%2.2M
-36.98%2.39M
-35.19%2.04M
27.11%2.26M
Total non current assets
1.54%2.11B
1.54%2.11B
0.59%2.09B
0.15%2.08B
0.61%2.08B
0.25%2.08B
0.25%2.08B
-0.21%2.08B
2.81%2.08B
3.07%2.07B
Total assets
-0.62%3.24B
-0.62%3.24B
-2.63%3.3B
-3.28%3.09B
-3.56%3.37B
-1.66%3.26B
-1.66%3.26B
-6.06%3.39B
-6.13%3.2B
7.51%3.49B
Liabilities
Current liabilities
Financial liabilities
523.90%40.7M
523.90%40.7M
--0
-43.69%11.58M
398.76%16.44M
2,530.24%6.52M
2,530.24%6.52M
-41.64%18.2M
-95.58%20.57M
-98.18%3.3M
-Financial or other derivative investment liabilities
525.87%40.69M
525.87%40.69M
--0
-43.69%11.58M
398.76%16.44M
--6.5M
--6.5M
-41.64%18.2M
-84.25%20.57M
-98.18%3.3M
-Current debt and capital lease obligation
-85.71%3K
-85.71%3K
--0
--0
--0
-91.53%21K
-91.53%21K
--0
--0
--0
-Including:Current debt
--0
--0
--0
--0
--0
-91.53%21K
-91.53%21K
--0
--0
--0
-Including:Current capital Lease obligation
--3K
--3K
----
----
----
--0
--0
----
----
----
Payables
-3.01%111.9M
-3.01%111.9M
9.05%172.79M
-20.67%162.89M
-16.55%156.09M
-21.05%115.37M
-21.05%115.37M
-52.90%158.44M
19.02%205.33M
-4.54%187.04M
-accounts payable
57.50%30.2M
57.50%30.2M
-8.53%124.35M
-46.77%97.05M
-37.34%104.1M
-25.02%19.17M
-25.02%19.17M
-43.36%135.95M
84.26%182.33M
4.12%166.12M
-Total tax payable
-23.75%36.63M
-23.75%36.63M
115.31%48.44M
186.22%65.85M
148.52%51.99M
-8.79%48.05M
-8.79%48.05M
-76.66%22.5M
-68.73%23.01M
-42.51%20.92M
-Other payable
-6.41%45.07M
-6.41%45.07M
----
----
----
-29.06%48.16M
-29.06%48.16M
----
----
----
Pension and other retirement benefit plans
12.14%2.95M
12.14%2.95M
169.16%2.63M
169.16%2.63M
-1.76%2.63M
-1.76%2.63M
-1.76%2.63M
-58.31%976K
-58.31%976K
14.22%2.67M
Accrued and deferred income
7.05%66.66M
7.05%66.66M
----
----
----
3.67%62.27M
3.67%62.27M
----
----
----
Current liabilities
18.95%222.2M
18.95%222.2M
-1.24%175.42M
-21.94%177.1M
-9.25%175.16M
-10.67%186.8M
-10.67%186.8M
-51.99%177.62M
-64.58%226.87M
-49.12%193.01M
Non current liabilities
Non current financial liabilities
5.97%13.45M
5.97%13.45M
6.00%13.26M
-27.13%13.18M
9.06%13.25M
6.00%12.69M
6.00%12.69M
152.23%12.51M
-23.89%18.08M
-85.32%12.15M
-Long term debt and capital lease obligation
5.97%13.45M
5.97%13.45M
6.00%13.26M
6.00%13.07M
6.00%12.88M
6.00%12.69M
6.00%12.69M
--12.51M
--12.33M
--12.15M
-Including:Long term capital lease obligation
5.97%13.45M
5.97%13.45M
6.00%13.26M
6.00%13.07M
6.00%12.88M
6.00%12.69M
6.00%12.69M
--12.51M
--12.33M
--12.15M
-Derivative product liabilities
----
----
----
-98.14%107K
--372K
----
----
----
-75.79%5.75M
----
Long term pension and other post-retirement benefit plans
-0.11%14.08M
-0.11%14.08M
-8.27%14.05M
-7.99%14.05M
7.57%13.91M
10.10%14.1M
10.10%14.1M
1.76%15.32M
5.24%15.27M
-8.60%12.93M
Non current deferred liabilities
-3.46%176.29M
-3.46%176.29M
6.93%194.48M
13.91%188.19M
-6.67%185.91M
1.36%182.6M
1.36%182.6M
-10.72%181.88M
23.61%165.21M
109.23%199.21M
Total non current liabilities
-2.66%203.82M
-2.66%203.82M
5.76%221.78M
8.49%215.41M
-5.00%213.07M
2.18%209.39M
2.18%209.39M
-6.27%209.7M
15.50%198.55M
16.75%224.29M
Total liabilities
7.53%426.02M
7.53%426.02M
2.55%397.2M
-7.74%392.51M
-6.97%388.23M
-4.31%396.19M
-4.31%396.19M
-34.76%387.32M
-47.63%425.42M
-26.98%417.3M
Shareholders'equity
Share capital
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
-common stock
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
0.00%390.05M
Retained earnings
0.41%2.46B
0.41%2.46B
-2.06%2.53B
-1.48%2.31B
-0.78%2.58B
-1.64%2.45B
-1.64%2.45B
3.45%2.58B
2.15%2.35B
5.56%2.6B
Less: Treasury stock
0.00%18.67M
0.00%18.67M
0.00%18.67M
0.00%18.67M
0.00%18.67M
0.00%18.67M
0.00%18.67M
0.00%18.67M
0.00%18.67M
0.00%18.67M
Other reserves
-218.34%-32.94M
-218.34%-32.94M
-157.88%-16.47M
-101.37%-487K
-92.68%6.12M
2.59%27.83M
2.59%27.83M
-77.85%28.46M
139.31%35.45M
147.83%83.66M
Total stockholders'equity
-1.78%2.8B
-1.78%2.8B
-3.29%2.88B
-2.57%2.68B
-3.20%2.96B
-1.39%2.85B
-1.39%2.85B
-0.46%2.98B
6.78%2.76B
14.86%3.06B
Noncontrolling interests
2.77%17.45M
2.77%17.45M
-5.37%15.46M
-7.82%15.54M
17.39%17.64M
21.04%16.98M
21.04%16.98M
12.14%16.34M
21.73%16.86M
18.81%15.03M
Total equity
-1.75%2.82B
-1.75%2.82B
-3.30%2.9B
-2.60%2.7B
-3.09%2.98B
-1.29%2.87B
-1.29%2.87B
-0.40%3B
6.86%2.77B
14.88%3.07B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -23.17%486.82M-23.17%486.82M-22.88%614.29M-27.60%477.69M-22.31%772.5M-18.72%633.6M-18.72%633.6M-8.78%796.49M31.50%659.84M343.67%994.27M
-Cash and cash equivalents -16.44%484.53M-16.44%484.53M-13.33%454.98M-25.15%410.67M-16.93%558.65M7.94%579.87M7.94%579.87M8.14%524.94M9.68%548.62M202.20%672.46M
-Including:Cash 19.14%164.1M19.14%164.1M-13.33%454.98M-25.15%410.67M-16.93%558.65M4.42%137.74M4.42%137.74M8.14%524.94M9.68%548.62M202.20%672.46M
-Including:Cash equivalents -27.53%320.43M-27.53%320.43M------------9.08%442.14M9.08%442.14M------------
-Short term investments -95.74%2.29M-95.74%2.29M-41.33%159.31M-39.73%67.03M-33.55%213.85M-77.82%53.73M-77.82%53.73M-29.96%271.55M6,921.34%111.22M20,319.29%321.81M
Receivables 21.04%247.97M21.04%247.97M34.18%222.47M49.44%212.03M398.58%181.28M27.89%204.87M27.89%204.87M-32.14%165.8M-72.87%141.88M-94.21%36.36M
-Accounts receivable 21.07%232.37M21.07%232.37M34.18%222.47M49.44%212.03M398.58%181.28M30.14%191.92M30.14%191.92M-32.14%165.8M-72.87%141.88M-94.21%36.36M
-Gross accounts receivable 21.07%232.37M21.07%232.37M------------30.14%191.92M30.14%191.92M------------
-Other receivables 20.53%15.61M20.53%15.61M------------1.86%12.95M1.86%12.95M------------
Inventory -1.93%291.67M-1.93%291.67M-5.62%288.38M1.91%288.6M10.76%297.07M12.15%297.41M12.15%297.41M2.25%305.56M-10.39%283.19M-16.11%268.22M
Prepaid assets 399.65%67.75M399.65%67.75M-13.37%6.69M-45.55%2.87M5.16%4.18M93.99%13.56M93.99%13.56M-21.94%7.72M-15.85%5.27M4.86%3.97M
Tax assets-Current 108.73%35.09M108.73%35.09M94.70%34.78M238.49%25.27M39.02%25.91M45,329.73%16.81M45,329.73%16.81M31,796.43%17.86M-72.67%7.47M-26.75%18.64M
Hedging assets-current -77.82%4.37M-77.82%4.37M174.81%40.17M-87.58%2.38M-97.65%2.32M-42.88%19.7M-42.88%19.7M-84.75%14.62M129.62%19.19M170.08%98.63M
Total current assets -4.41%1.13B-4.41%1.13B-7.74%1.21B-9.67%1.01B-9.64%1.28B-4.85%1.19B-4.85%1.19B-14.06%1.31B-19.23%1.12B14.72%1.42B
Non current assets
Net PPE 0.63%1.62B0.63%1.62B-0.78%1.65B-0.70%1.66B0.21%1.66B0.26%1.61B0.26%1.61B2.43%1.66B3.03%1.67B3.07%1.66B
-Gross PP&E 2.96%3.34B2.96%3.34B-0.78%1.65B-0.70%1.66B0.21%1.66B3.64%3.24B3.64%3.24B2.43%1.66B3.03%1.67B3.07%1.66B
-Accumulated depreciation -5.27%-1.71B-5.27%-1.71B-------------7.23%-1.62B-7.23%-1.62B------------
Total investment 36.27%87.28M36.27%87.28M47.37%81.98M29.17%68.71M20.23%65.57M19.61%64.05M19.61%64.05M28.75%55.63M34.15%53.2M38.39%54.54M
-Long-term equity investment 36.27%87.28M36.27%87.28M47.37%81.98M29.17%68.71M20.23%65.57M19.61%64.05M19.61%64.05M28.75%55.63M34.15%53.2M38.39%54.54M
Long-term accounts receivable and other receivables -1.94%405K-1.94%405K-31.21%487K-55.51%315K-44.77%391K-40.32%413K-40.32%413K-55.97%708K-86.37%708K-86.37%708K
Financial assets --613K--613K------214K------0--0--0--0--1.41M
Goodwill and other intangible assets 0.01%396.34M0.01%396.34M0.00%356.86M0.00%356.86M0.00%356.86M0.53%396.3M0.53%396.3M0.00%356.86M0.00%356.86M0.00%356.86M
-Goodwill 0.00%356.86M0.00%356.86M0.00%356.86M0.00%356.86M0.00%356.86M0.00%356.86M0.00%356.86M0.00%356.86M0.00%356.86M0.00%356.86M
-Other intangible assets 0.10%39.48M0.10%39.48M------------5.56%39.44M5.56%39.44M------------
Deferred tax assets-non current --0--0-40.49%1.42M-28.03%1.47M-7.01%2.1M3.14%2.2M3.14%2.2M-36.98%2.39M-35.19%2.04M27.11%2.26M
Total non current assets 1.54%2.11B1.54%2.11B0.59%2.09B0.15%2.08B0.61%2.08B0.25%2.08B0.25%2.08B-0.21%2.08B2.81%2.08B3.07%2.07B
Total assets -0.62%3.24B-0.62%3.24B-2.63%3.3B-3.28%3.09B-3.56%3.37B-1.66%3.26B-1.66%3.26B-6.06%3.39B-6.13%3.2B7.51%3.49B
Liabilities
Current liabilities
Financial liabilities 523.90%40.7M523.90%40.7M--0-43.69%11.58M398.76%16.44M2,530.24%6.52M2,530.24%6.52M-41.64%18.2M-95.58%20.57M-98.18%3.3M
-Financial or other derivative investment liabilities 525.87%40.69M525.87%40.69M--0-43.69%11.58M398.76%16.44M--6.5M--6.5M-41.64%18.2M-84.25%20.57M-98.18%3.3M
-Current debt and capital lease obligation -85.71%3K-85.71%3K--0--0--0-91.53%21K-91.53%21K--0--0--0
-Including:Current debt --0--0--0--0--0-91.53%21K-91.53%21K--0--0--0
-Including:Current capital Lease obligation --3K--3K--------------0--0------------
Payables -3.01%111.9M-3.01%111.9M9.05%172.79M-20.67%162.89M-16.55%156.09M-21.05%115.37M-21.05%115.37M-52.90%158.44M19.02%205.33M-4.54%187.04M
-accounts payable 57.50%30.2M57.50%30.2M-8.53%124.35M-46.77%97.05M-37.34%104.1M-25.02%19.17M-25.02%19.17M-43.36%135.95M84.26%182.33M4.12%166.12M
-Total tax payable -23.75%36.63M-23.75%36.63M115.31%48.44M186.22%65.85M148.52%51.99M-8.79%48.05M-8.79%48.05M-76.66%22.5M-68.73%23.01M-42.51%20.92M
-Other payable -6.41%45.07M-6.41%45.07M-------------29.06%48.16M-29.06%48.16M------------
Pension and other retirement benefit plans 12.14%2.95M12.14%2.95M169.16%2.63M169.16%2.63M-1.76%2.63M-1.76%2.63M-1.76%2.63M-58.31%976K-58.31%976K14.22%2.67M
Accrued and deferred income 7.05%66.66M7.05%66.66M------------3.67%62.27M3.67%62.27M------------
Current liabilities 18.95%222.2M18.95%222.2M-1.24%175.42M-21.94%177.1M-9.25%175.16M-10.67%186.8M-10.67%186.8M-51.99%177.62M-64.58%226.87M-49.12%193.01M
Non current liabilities
Non current financial liabilities 5.97%13.45M5.97%13.45M6.00%13.26M-27.13%13.18M9.06%13.25M6.00%12.69M6.00%12.69M152.23%12.51M-23.89%18.08M-85.32%12.15M
-Long term debt and capital lease obligation 5.97%13.45M5.97%13.45M6.00%13.26M6.00%13.07M6.00%12.88M6.00%12.69M6.00%12.69M--12.51M--12.33M--12.15M
-Including:Long term capital lease obligation 5.97%13.45M5.97%13.45M6.00%13.26M6.00%13.07M6.00%12.88M6.00%12.69M6.00%12.69M--12.51M--12.33M--12.15M
-Derivative product liabilities -------------98.14%107K--372K-------------75.79%5.75M----
Long term pension and other post-retirement benefit plans -0.11%14.08M-0.11%14.08M-8.27%14.05M-7.99%14.05M7.57%13.91M10.10%14.1M10.10%14.1M1.76%15.32M5.24%15.27M-8.60%12.93M
Non current deferred liabilities -3.46%176.29M-3.46%176.29M6.93%194.48M13.91%188.19M-6.67%185.91M1.36%182.6M1.36%182.6M-10.72%181.88M23.61%165.21M109.23%199.21M
Total non current liabilities -2.66%203.82M-2.66%203.82M5.76%221.78M8.49%215.41M-5.00%213.07M2.18%209.39M2.18%209.39M-6.27%209.7M15.50%198.55M16.75%224.29M
Total liabilities 7.53%426.02M7.53%426.02M2.55%397.2M-7.74%392.51M-6.97%388.23M-4.31%396.19M-4.31%396.19M-34.76%387.32M-47.63%425.42M-26.98%417.3M
Shareholders'equity
Share capital 0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M
-common stock 0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M0.00%390.05M
Retained earnings 0.41%2.46B0.41%2.46B-2.06%2.53B-1.48%2.31B-0.78%2.58B-1.64%2.45B-1.64%2.45B3.45%2.58B2.15%2.35B5.56%2.6B
Less: Treasury stock 0.00%18.67M0.00%18.67M0.00%18.67M0.00%18.67M0.00%18.67M0.00%18.67M0.00%18.67M0.00%18.67M0.00%18.67M0.00%18.67M
Other reserves -218.34%-32.94M-218.34%-32.94M-157.88%-16.47M-101.37%-487K-92.68%6.12M2.59%27.83M2.59%27.83M-77.85%28.46M139.31%35.45M147.83%83.66M
Total stockholders'equity -1.78%2.8B-1.78%2.8B-3.29%2.88B-2.57%2.68B-3.20%2.96B-1.39%2.85B-1.39%2.85B-0.46%2.98B6.78%2.76B14.86%3.06B
Noncontrolling interests 2.77%17.45M2.77%17.45M-5.37%15.46M-7.82%15.54M17.39%17.64M21.04%16.98M21.04%16.98M12.14%16.34M21.73%16.86M18.81%15.03M
Total equity -1.75%2.82B-1.75%2.82B-3.30%2.9B-2.60%2.7B-3.09%2.98B-1.29%2.87B-1.29%2.87B-0.40%3B6.86%2.77B14.88%3.07B
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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.