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300033 Hithink RoyalFlush Information Network

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  • 101.80
  • -1.11-1.08%
Market to Open Sep 2 09:30 CST
54.73BMarket Cap41.91P/E (TTM)

Hithink RoyalFlush Information Network Key Stats

All
YOY yoy
Hide blank lines yoy
(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
(Q3)Mar 31, 2022
Assets
Current assets
Money funds
-2.81%6.99B
5.56%6.9B
8.38%8.17B
2.83%6.99B
3.57%7.2B
5.23%6.53B
3.62%7.54B
3.26%6.8B
-8.40%6.95B
12.41%6.21B
Notes receivable and accounts receivable
4.35%50M
34.26%59.2M
43.14%54.08M
7.95%48.22M
1.98%47.91M
24.30%44.1M
-6.92%37.78M
20.76%44.67M
-15.20%46.98M
-11.26%35.48M
-Accounts receivable
4.35%50M
34.26%59.2M
43.14%54.08M
7.95%48.22M
1.98%47.91M
24.30%44.1M
-6.92%37.78M
20.76%44.67M
-15.20%46.98M
-11.26%35.48M
Other receivables (including interest and dividends)
-1.13%32.75M
-14.84%33.11M
2.24%30.94M
0.91%31.88M
9.99%33.13M
22.50%38.88M
2.66%30.27M
0.83%31.59M
2.11%30.12M
4.65%31.74M
-Other receivable
-1.13%32.75M
----
2.24%30.94M
----
9.99%33.13M
----
2.66%30.27M
----
2.11%30.12M
----
Advance payment
-69.98%210.72K
-85.86%99.27K
-47.40%426.92K
-6.65%702K
0.00%702K
55.74%702K
93.26%811.71K
-93.98%752K
--702K
--450.75K
Other current assets
-10.53%3.51M
-66.21%1.65M
10.49%9.61M
25.67%4.38M
23.27%3.93M
-52.46%4.87M
-21.07%8.7M
-59.70%3.49M
-67.04%3.19M
-0.37%10.25M
Total current assets
-2.76%7.08B
5.57%6.99B
8.52%8.26B
2.87%7.08B
3.60%7.28B
5.34%6.62B
3.53%7.62B
3.08%6.88B
-8.47%7.03B
12.18%6.29B
Non Current assets
Other equity investment
-14.57%6.89M
-14.33%6.92M
-14.14%6.94M
-0.81%8.06M
-0.15%8.07M
635.99%8.08M
630.19%8.08M
631.77%8.12M
--8.08M
-1.13%1.1M
Long-term equity investment
18.87%3.18M
29.54%3.12M
35.15%2.98M
29.03%2.71M
29.73%2.67M
41.59%2.41M
15.24%2.21M
61.44%2.1M
29.08%2.06M
-5.77%1.7M
Fixed assets
-4.54%650.41M
----
-5.06%665.15M
----
72.48%681.35M
----
72.75%700.62M
----
-3.56%395.03M
----
Constru in process
34.46%572.02M
----
61.60%559.49M
----
-7.58%425.41M
----
-4.61%346.22M
----
122.55%460.31M
----
Intangible assets
-2.33%335.25M
-2.32%337.25M
-2.30%339.25M
-2.29%341.25M
-2.28%343.25M
-2.26%345.25M
-2.25%347.25M
-2.24%349.25M
-2.23%351.25M
-2.21%353.25M
Goodwill
0.00%3.9M
0.00%3.9M
0.00%3.9M
0.00%3.9M
0.00%3.9M
0.00%3.9M
0.00%3.9M
0.00%3.9M
0.00%3.9M
0.00%3.9M
Long deferred expense
----
----
----
-7.87%1M
31.05%1.27M
57.97%263.68K
-67.64%155.35K
36.88%1.09M
-12.50%968.2K
-26.79%166.92K
Deferred tax assets
26.69%1.46M
14.76%1.31M
-1.65%821.7K
-2.70%1.21M
1.78%1.15M
38.06%1.15M
6.81%835.47K
496.71%1.24M
222.69%1.13M
310.21%829.95K
Usufruct assets
-50.00%927.95K
-44.44%1.16M
-40.37%1.39M
-30.30%1.78M
--1.86M
773.05%2.09M
388.02%2.33M
--2.55M
----
--239.15K
Other non current assets
----
----
----
----
----
----
----
--12.5M
--12.5M
--12.5M
Total non current assets
7.16%1.57B
9.22%1.58B
11.92%1.58B
10.31%1.47B
18.92%1.47B
21.72%1.45B
23.29%1.41B
30.56%1.33B
25.71%1.24B
24.26%1.19B
Total assets
-1.10%8.66B
6.22%8.57B
9.05%9.84B
4.07%8.55B
5.89%8.75B
7.94%8.07B
6.19%9.03B
6.72%8.21B
-4.59%8.26B
13.94%7.47B
Liabilities
Current liabilities
Notes payable and accounts payable
51.21%132.37M
85.11%144.19M
49.87%165.14M
-20.47%63.4M
42.11%87.54M
-17.26%77.89M
39.29%110.19M
75.61%79.72M
35.88%61.6M
102.86%94.14M
-Accounts payable
51.21%132.37M
85.11%144.19M
49.87%165.14M
-20.47%63.4M
42.11%87.54M
-17.26%77.89M
39.29%110.19M
75.61%79.72M
35.88%61.6M
102.86%94.14M
Contract liabilities
9.70%1.2B
4.15%1.12B
12.22%1.1B
-7.23%1.07B
-2.18%1.1B
-6.62%1.07B
-5.95%981.58M
1.66%1.15B
3.93%1.12B
6.94%1.15B
Salaries payable
-5.57%108.58M
-5.76%58.9M
1.49%208.07M
19.41%168.13M
21.09%114.98M
22.74%62.5M
25.07%205M
9.97%140.79M
9.91%94.95M
12.48%50.92M
Taxs payable
-21.47%62.83M
-22.59%125.38M
-22.64%134.67M
-38.64%78.05M
-11.15%80M
-16.13%161.98M
-14.46%174.08M
-12.63%127.2M
-11.83%90.04M
48.92%193.13M
Other payable (including interest and dividends)
-37.32%540.38M
37.01%778.73M
284.23%805.27M
76.68%368.15M
5.15%862.11M
83.53%568.39M
-54.88%209.58M
-60.57%208.37M
-59.96%819.86M
-15.51%309.69M
-Dividend payable
----
----
--127.2M
----
----
----
----
----
----
----
-Other payable
-37.32%540.38M
----
223.54%678.06M
----
5.15%862.11M
----
-54.88%209.58M
----
-59.96%819.86M
----
Non current liabilities due within one year
0.00%970.49K
1.66%959.69K
3.43%948.9K
--954.29K
--970.49K
--943.98K
--917.47K
----
----
----
Other current liabilities
3.52%353.7K
-3.30%301.27K
-17.89%333.69K
-18.52%344.41K
100.36%341.68K
39.80%311.54K
-8.63%406.39K
-22.10%422.7K
-69.20%170.53K
-65.63%222.86K
Total current liabilities
-8.66%2.05B
14.45%2.22B
43.66%2.42B
2.31%1.75B
2.51%2.24B
8.24%1.94B
-13.98%1.68B
-13.78%1.71B
-34.91%2.19B
8.07%1.8B
Current liabilities
Estimate liabilities
54.79%3.91M
65.69%3.64M
103.78%3.31M
-4.08%3.24M
-9.33%2.53M
-12.79%2.2M
-30.52%1.63M
14.95%3.38M
7.88%2.79M
22.88%2.52M
Deferred tax liabilities
----
--50.06K
-5.30%110.76K
----
----
----
--116.96K
----
----
----
Long term deferred income
228.66%1.56M
220.01%1.68M
-34.78%375K
-46.20%425K
-46.78%475K
-47.24%525K
-47.62%575K
-38.00%789.94K
-37.20%892.51K
-36.55%995.08K
Lease liabilities
----
----
----
----
--948.9K
--948.9K
--948.9K
--1.84M
----
----
Other non current liabilities
-14.03%94.98M
-7.48%95.54M
8.53%105.77M
69.64%95.81M
97.65%110.48M
83.04%103.26M
47.64%97.46M
-61.96%56.48M
-62.22%55.9M
-60.69%56.41M
Total non current liabilities
-12.22%100.45M
-5.63%100.9M
8.78%109.57M
59.19%99.48M
92.08%114.43M
78.44%106.93M
45.04%100.73M
-59.08%62.49M
-60.80%59.57M
-59.26%59.93M
Total liabilities
-8.83%2.15B
13.41%2.33B
41.69%2.53B
4.32%1.85B
4.89%2.36B
10.51%2.05B
-11.95%1.78B
-17.03%1.77B
-36.03%2.25B
2.59%1.86B
Shareholders equity
Paid-in capital
0.00%537.6M
0.00%537.6M
0.00%537.6M
0.00%537.6M
0.00%537.6M
0.00%537.6M
0.00%537.6M
0.00%537.6M
0.00%537.6M
0.00%537.6M
Capital reserve funds
0.00%356.8M
0.01%356.8M
0.01%356.8M
0.01%356.8M
0.01%356.8M
0.00%356.78M
0.00%356.78M
0.00%356.78M
0.00%356.78M
0.00%356.78M
Surplus reserve funds
0.00%360.82M
0.00%360.82M
0.00%360.82M
0.00%360.82M
0.00%360.82M
0.00%360.82M
0.00%360.82M
0.00%360.82M
0.00%360.82M
0.00%360.82M
Retained profit
2.40%5.21B
4.21%4.95B
0.96%6.03B
4.56%5.4B
6.74%5.09B
8.13%4.75B
13.78%5.97B
19.29%5.17B
21.73%4.77B
25.24%4.4B
Other composite income
-20.43%39.55M
306.74%35.49M
110.63%31.78M
94.21%46.65M
994.29%49.7M
127.10%8.72M
150.52%15.09M
214.74%24.02M
74.43%-5.56M
-129.47%-32.19M
Shareholders equity without minority interests
1.75%6.51B
3.77%6.24B
1.02%7.32B
4.00%6.7B
6.26%6.4B
7.09%6.02B
11.86%7.25B
15.82%6.45B
16.84%6.02B
18.26%5.62B
Minority interests
4.23%178.16K
--187.22K
--206.17K
--146.43K
--170.92K
----
----
----
----
----
Total shareholder equity
1.75%6.51B
3.77%6.24B
1.03%7.32B
4.01%6.7B
6.26%6.4B
7.09%6.02B
11.86%7.25B
15.82%6.45B
16.84%6.02B
18.26%5.62B
Total liabilityies and equity
-1.10%8.66B
6.22%8.57B
9.05%9.84B
4.07%8.55B
5.89%8.75B
7.94%8.07B
6.19%9.03B
6.72%8.21B
-4.59%8.26B
13.94%7.47B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
Audit Opinions
--
--
Unqualified opinion
--
--
--
Unqualified opinion
--
--
--
Auditor
--
--
Tianjian Certified Public Accountants (Special General Partnership)
--
--
--
Tianjian Certified Public Accountants (Special General Partnership)
--
--
--
(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(Q3)Mar 31, 2022
Assets
Current assets
Money funds -2.81%6.99B5.56%6.9B8.38%8.17B2.83%6.99B3.57%7.2B5.23%6.53B3.62%7.54B3.26%6.8B-8.40%6.95B12.41%6.21B
Notes receivable and accounts receivable 4.35%50M34.26%59.2M43.14%54.08M7.95%48.22M1.98%47.91M24.30%44.1M-6.92%37.78M20.76%44.67M-15.20%46.98M-11.26%35.48M
-Accounts receivable 4.35%50M34.26%59.2M43.14%54.08M7.95%48.22M1.98%47.91M24.30%44.1M-6.92%37.78M20.76%44.67M-15.20%46.98M-11.26%35.48M
Other receivables (including interest and dividends) -1.13%32.75M-14.84%33.11M2.24%30.94M0.91%31.88M9.99%33.13M22.50%38.88M2.66%30.27M0.83%31.59M2.11%30.12M4.65%31.74M
-Other receivable -1.13%32.75M----2.24%30.94M----9.99%33.13M----2.66%30.27M----2.11%30.12M----
Advance payment -69.98%210.72K-85.86%99.27K-47.40%426.92K-6.65%702K0.00%702K55.74%702K93.26%811.71K-93.98%752K--702K--450.75K
Other current assets -10.53%3.51M-66.21%1.65M10.49%9.61M25.67%4.38M23.27%3.93M-52.46%4.87M-21.07%8.7M-59.70%3.49M-67.04%3.19M-0.37%10.25M
Total current assets -2.76%7.08B5.57%6.99B8.52%8.26B2.87%7.08B3.60%7.28B5.34%6.62B3.53%7.62B3.08%6.88B-8.47%7.03B12.18%6.29B
Non Current assets
Other equity investment -14.57%6.89M-14.33%6.92M-14.14%6.94M-0.81%8.06M-0.15%8.07M635.99%8.08M630.19%8.08M631.77%8.12M--8.08M-1.13%1.1M
Long-term equity investment 18.87%3.18M29.54%3.12M35.15%2.98M29.03%2.71M29.73%2.67M41.59%2.41M15.24%2.21M61.44%2.1M29.08%2.06M-5.77%1.7M
Fixed assets -4.54%650.41M-----5.06%665.15M----72.48%681.35M----72.75%700.62M-----3.56%395.03M----
Constru in process 34.46%572.02M----61.60%559.49M-----7.58%425.41M-----4.61%346.22M----122.55%460.31M----
Intangible assets -2.33%335.25M-2.32%337.25M-2.30%339.25M-2.29%341.25M-2.28%343.25M-2.26%345.25M-2.25%347.25M-2.24%349.25M-2.23%351.25M-2.21%353.25M
Goodwill 0.00%3.9M0.00%3.9M0.00%3.9M0.00%3.9M0.00%3.9M0.00%3.9M0.00%3.9M0.00%3.9M0.00%3.9M0.00%3.9M
Long deferred expense -------------7.87%1M31.05%1.27M57.97%263.68K-67.64%155.35K36.88%1.09M-12.50%968.2K-26.79%166.92K
Deferred tax assets 26.69%1.46M14.76%1.31M-1.65%821.7K-2.70%1.21M1.78%1.15M38.06%1.15M6.81%835.47K496.71%1.24M222.69%1.13M310.21%829.95K
Usufruct assets -50.00%927.95K-44.44%1.16M-40.37%1.39M-30.30%1.78M--1.86M773.05%2.09M388.02%2.33M--2.55M------239.15K
Other non current assets ------------------------------12.5M--12.5M--12.5M
Total non current assets 7.16%1.57B9.22%1.58B11.92%1.58B10.31%1.47B18.92%1.47B21.72%1.45B23.29%1.41B30.56%1.33B25.71%1.24B24.26%1.19B
Total assets -1.10%8.66B6.22%8.57B9.05%9.84B4.07%8.55B5.89%8.75B7.94%8.07B6.19%9.03B6.72%8.21B-4.59%8.26B13.94%7.47B
Liabilities
Current liabilities
Notes payable and accounts payable 51.21%132.37M85.11%144.19M49.87%165.14M-20.47%63.4M42.11%87.54M-17.26%77.89M39.29%110.19M75.61%79.72M35.88%61.6M102.86%94.14M
-Accounts payable 51.21%132.37M85.11%144.19M49.87%165.14M-20.47%63.4M42.11%87.54M-17.26%77.89M39.29%110.19M75.61%79.72M35.88%61.6M102.86%94.14M
Contract liabilities 9.70%1.2B4.15%1.12B12.22%1.1B-7.23%1.07B-2.18%1.1B-6.62%1.07B-5.95%981.58M1.66%1.15B3.93%1.12B6.94%1.15B
Salaries payable -5.57%108.58M-5.76%58.9M1.49%208.07M19.41%168.13M21.09%114.98M22.74%62.5M25.07%205M9.97%140.79M9.91%94.95M12.48%50.92M
Taxs payable -21.47%62.83M-22.59%125.38M-22.64%134.67M-38.64%78.05M-11.15%80M-16.13%161.98M-14.46%174.08M-12.63%127.2M-11.83%90.04M48.92%193.13M
Other payable (including interest and dividends) -37.32%540.38M37.01%778.73M284.23%805.27M76.68%368.15M5.15%862.11M83.53%568.39M-54.88%209.58M-60.57%208.37M-59.96%819.86M-15.51%309.69M
-Dividend payable ----------127.2M----------------------------
-Other payable -37.32%540.38M----223.54%678.06M----5.15%862.11M-----54.88%209.58M-----59.96%819.86M----
Non current liabilities due within one year 0.00%970.49K1.66%959.69K3.43%948.9K--954.29K--970.49K--943.98K--917.47K------------
Other current liabilities 3.52%353.7K-3.30%301.27K-17.89%333.69K-18.52%344.41K100.36%341.68K39.80%311.54K-8.63%406.39K-22.10%422.7K-69.20%170.53K-65.63%222.86K
Total current liabilities -8.66%2.05B14.45%2.22B43.66%2.42B2.31%1.75B2.51%2.24B8.24%1.94B-13.98%1.68B-13.78%1.71B-34.91%2.19B8.07%1.8B
Current liabilities
Estimate liabilities 54.79%3.91M65.69%3.64M103.78%3.31M-4.08%3.24M-9.33%2.53M-12.79%2.2M-30.52%1.63M14.95%3.38M7.88%2.79M22.88%2.52M
Deferred tax liabilities ------50.06K-5.30%110.76K--------------116.96K------------
Long term deferred income 228.66%1.56M220.01%1.68M-34.78%375K-46.20%425K-46.78%475K-47.24%525K-47.62%575K-38.00%789.94K-37.20%892.51K-36.55%995.08K
Lease liabilities ------------------948.9K--948.9K--948.9K--1.84M--------
Other non current liabilities -14.03%94.98M-7.48%95.54M8.53%105.77M69.64%95.81M97.65%110.48M83.04%103.26M47.64%97.46M-61.96%56.48M-62.22%55.9M-60.69%56.41M
Total non current liabilities -12.22%100.45M-5.63%100.9M8.78%109.57M59.19%99.48M92.08%114.43M78.44%106.93M45.04%100.73M-59.08%62.49M-60.80%59.57M-59.26%59.93M
Total liabilities -8.83%2.15B13.41%2.33B41.69%2.53B4.32%1.85B4.89%2.36B10.51%2.05B-11.95%1.78B-17.03%1.77B-36.03%2.25B2.59%1.86B
Shareholders equity
Paid-in capital 0.00%537.6M0.00%537.6M0.00%537.6M0.00%537.6M0.00%537.6M0.00%537.6M0.00%537.6M0.00%537.6M0.00%537.6M0.00%537.6M
Capital reserve funds 0.00%356.8M0.01%356.8M0.01%356.8M0.01%356.8M0.01%356.8M0.00%356.78M0.00%356.78M0.00%356.78M0.00%356.78M0.00%356.78M
Surplus reserve funds 0.00%360.82M0.00%360.82M0.00%360.82M0.00%360.82M0.00%360.82M0.00%360.82M0.00%360.82M0.00%360.82M0.00%360.82M0.00%360.82M
Retained profit 2.40%5.21B4.21%4.95B0.96%6.03B4.56%5.4B6.74%5.09B8.13%4.75B13.78%5.97B19.29%5.17B21.73%4.77B25.24%4.4B
Other composite income -20.43%39.55M306.74%35.49M110.63%31.78M94.21%46.65M994.29%49.7M127.10%8.72M150.52%15.09M214.74%24.02M74.43%-5.56M-129.47%-32.19M
Shareholders equity without minority interests 1.75%6.51B3.77%6.24B1.02%7.32B4.00%6.7B6.26%6.4B7.09%6.02B11.86%7.25B15.82%6.45B16.84%6.02B18.26%5.62B
Minority interests 4.23%178.16K--187.22K--206.17K--146.43K--170.92K--------------------
Total shareholder equity 1.75%6.51B3.77%6.24B1.03%7.32B4.01%6.7B6.26%6.4B7.09%6.02B11.86%7.25B15.82%6.45B16.84%6.02B18.26%5.62B
Total liabilityies and equity -1.10%8.66B6.22%8.57B9.05%9.84B4.07%8.55B5.89%8.75B7.94%8.07B6.19%9.03B6.72%8.21B-4.59%8.26B13.94%7.47B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)
Audit Opinions ----Unqualified opinion------Unqualified opinion------
Auditor ----Tianjian Certified Public Accountants (Special General Partnership)------Tianjian Certified Public Accountants (Special General Partnership)------

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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