(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 | ||||||||||
Money funds | -55.02%2.53B | -48.20%2.94B | -35.81%3.42B | -41.46%2.84B | 8.97%5.63B | 27.14%5.68B | 19.08%5.32B | 19.65%4.85B | 15.59%5.17B | 3.41%4.47B |
Notes receivable and accounts receivable | 3.58%164.17M | 8.13%152.93M | 25.85%179.02M | -14.64%117.78M | -1.32%158.49M | 10.23%141.44M | 11.73%142.25M | 24.07%137.98M | -38.27%160.61M | -46.21%128.32M |
-Notes receivable | -9.09%80.64M | -12.35%65.13M | 68.29%44.75M | -45.31%49.97M | -16.31%88.7M | 34.98%74.3M | -50.32%26.59M | 33.67%91.36M | -46.05%105.99M | -67.39%55.04M |
-Accounts receivable | 19.69%83.53M | 30.79%87.81M | 16.09%134.28M | 45.46%67.82M | 27.76%69.79M | -8.37%67.14M | 56.74%115.66M | 8.77%46.62M | -14.29%54.62M | 5.04%73.27M |
Other receivables (including interest and dividends) | 183.61%59.64M | -14.54%19.3M | -27.75%17.15M | 492.47%131.65M | 14.42%21.03M | -33.30%22.58M | 18.96%23.73M | -28.17%22.22M | -66.53%18.38M | -33.70%33.86M |
-Dividend receivable | ---- | ---- | ---- | --110.95M | ---- | -94.95%699.47K | ---- | ---- | ---- | --13.85M |
-Other receivable | ---- | -11.80%19.3M | ---- | ---- | ---- | 9.39%21.88M | ---- | -26.63%22.22M | ---- | -60.83%20M |
Advance payment | -14.64%22.73M | 21.67%22.73M | 36.69%28.11M | 29.33%30.56M | 65.96%26.63M | 53.41%18.68M | 68.80%20.56M | 130.89%23.63M | 51.33%16.05M | 1.95%12.18M |
Inventories | 7.45%154.51M | 6.57%154.93M | 7.51%150.13M | 16.33%145.74M | -16.84%143.8M | -19.49%145.38M | -22.19%139.64M | -25.13%125.28M | -9.56%172.92M | -1.74%180.57M |
Receivable financing | 46.00%70.03M | -32.02%48.23M | 69.16%71.34M | 107.72%74.5M | -38.43%47.96M | 29.89%70.95M | 21.08%42.17M | -48.06%35.87M | --77.9M | --54.62M |
Other current assets | 581.26%64.78M | 1,244.17%141.14M | 256.15%146.35M | 116.60%178.78M | -52.29%9.51M | -51.00%10.5M | -60.44%41.09M | -35.05%82.54M | -83.57%19.93M | -84.25%21.43M |
Total current assets | -49.18%3.07B | -42.83%3.48B | -30.06%4.01B | -33.33%3.52B | 7.19%6.04B | 24.32%6.09B | 15.86%5.73B | 15.49%5.28B | 10.27%5.64B | -0.87%4.9B |
Non Current assets | ||||||||||
Other equity investment | -33.60%778.75M | -33.60%778.75M | -3.99%1.09B | -3.99%1.09B | 13.53%1.17B | 13.53%1.17B | 24.93%1.14B | 24.93%1.14B | 21.73%1.03B | 21.73%1.03B |
Long-term equity investment | -0.66%3.84B | 6.98%4.06B | 4.24%3.91B | 6.30%3.82B | 11.90%3.87B | 7.95%3.79B | 13.71%3.75B | 10.31%3.6B | 7.90%3.45B | 8.11%3.51B |
Fixed assets | ---- | -11.57%11.71B | ---- | ---- | ---- | 10.55%13.24B | ---- | -6.99%11.54B | ---- | -7.20%11.98B |
Fixed assets liquidation | ---- | 47.40%5.96M | ---- | ---- | ---- | -28.81%4.04M | ---- | -15.71%4.09M | ---- | -14.92%5.68M |
Constru in process | ---- | 419.13%1.59B | ---- | ---- | ---- | -87.57%306.1M | ---- | -1.21%2.48B | ---- | 49.02%2.46B |
Intangible assets | -2.52%2.87B | -2.41%2.89B | -2.31%2.91B | -0.74%2.93B | -0.80%2.94B | -0.32%2.96B | -0.25%2.98B | -1.05%2.95B | -1.05%2.96B | -1.49%2.97B |
Long deferred expense | 186.27%7.05M | 62.02%4.77M | 33.35%5.02M | -14.93%4.8M | -82.63%2.46M | -84.97%2.94M | -86.23%3.77M | -83.93%5.64M | -67.17%14.18M | -59.51%19.58M |
Deferred tax assets | -15.51%330.38M | -15.89%344.22M | -16.22%352.76M | -16.85%365.51M | 6.94%391.06M | 7.13%409.26M | 6.91%421.03M | 7.20%439.59M | 1.34%365.68M | 0.77%382.03M |
Usufruct assets | -17.33%103.89M | -16.74%109.12M | -15.84%114.85M | -15.24%120.25M | -14.68%125.66M | -14.16%131.06M | -13.67%136.47M | 26.46%141.87M | 27.78%147.27M | 28.91%152.68M |
Other non current assets | 2,548.65%3.78B | 1,869.39%3.73B | 665.82%2.52B | 556.69%2.43B | -63.18%142.54M | -72.34%189.37M | -38.35%328.47M | -35.86%369.62M | 227.72%387.09M | 364.24%684.64M |
Total non current assets | 12.87%24.93B | 13.54%25.21B | 8.38%24.41B | 8.13%24.51B | -2.37%22.09B | -4.27%22.21B | -2.04%22.53B | -2.34%22.67B | 1.08%22.62B | 3.70%23.2B |
Total assets | -0.46%28B | 1.41%28.7B | 0.58%28.42B | 0.31%28.03B | -0.46%28.13B | 0.71%28.3B | 1.13%28.26B | 0.59%27.94B | 2.79%28.26B | 2.87%28.1B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Short term loan | 94.42%350.27M | 92.27%500.37M | 92.26%500.41M | 92.20%500.25M | -9.99%180.17M | 29.99%260.25M | -7.15%260.27M | -21.22%260.27M | -28.58%200.17M | -50.00%200.21M |
Notes payable and accounts payable | -30.48%298.38M | 0.04%323.63M | -8.67%293.35M | -2.49%253.42M | 7.64%429.2M | 15.37%323.51M | 4.73%321.19M | 8.89%259.89M | 14.22%398.75M | -6.52%280.42M |
-Accounts payable | -30.48%298.38M | 0.04%323.63M | -8.67%293.35M | -2.49%253.42M | 7.64%429.2M | 15.37%323.51M | 4.73%321.19M | 8.89%259.89M | 14.22%398.75M | -6.46%280.42M |
Contract liabilities | 9.74%737.84M | 4.00%615.19M | 10.05%599.01M | 0.18%564.48M | -1.41%672.34M | 0.60%591.55M | -1.99%544.3M | -19.99%563.48M | 3.43%681.96M | 13.49%588.01M |
Salaries payable | -22.74%489.22M | -22.44%549.24M | -21.93%528.64M | -21.40%583.28M | -16.98%633.24M | -10.44%708.2M | -9.88%677.14M | -7.06%742.09M | 3.25%762.79M | -0.98%790.79M |
Taxs payable | -11.56%30.09M | -62.66%30.96M | -3.71%33.36M | -49.74%21.76M | -53.68%34.02M | -23.41%82.91M | -69.80%34.65M | -50.59%43.3M | -11.67%73.44M | -10.86%108.25M |
Other payable (including interest and dividends) | -46.65%252.44M | 13.29%965.05M | -5.85%509.77M | 10.09%603.78M | -28.40%473.22M | -15.93%851.83M | -25.94%541.45M | -38.96%548.46M | -12.34%660.94M | -11.62%1.01B |
-Dividend payable | 5,063.18%609.91K | 16.90%463.76M | 20.72%2.22K | 29.13%3.47K | -8.65%11.81K | 26.79%396.71M | 14.38%1.84K | 2.05%2.69K | 10.64%12.93K | -12.50%312.9M |
-Other payable | ---- | 10.15%501.3M | ---- | ---- | ---- | -35.01%455.12M | ---- | -38.96%548.46M | ---- | -11.22%700.33M |
Non current liabilities due within one year | 56.52%847.72M | 10.55%780.39M | -4.51%582.3M | -6.91%633.72M | -9.74%541.6M | 26.27%705.92M | 0.96%609.78M | -18.97%680.77M | -30.32%600.03M | -38.36%559.07M |
Total current liabilities | 1.42%3.01B | 6.83%3.76B | 1.94%3.05B | 2.01%3.16B | -12.26%2.96B | -0.45%3.52B | -10.61%2.99B | -20.52%3.1B | -9.33%3.38B | -15.55%3.54B |
Current liabilities | ||||||||||
Long term loan | -16.78%4.44B | -12.45%4.68B | -14.46%5.04B | -16.03%5B | -14.75%5.33B | -16.35%5.34B | -10.84%5.9B | -4.94%5.95B | -0.87%6.25B | 7.82%6.39B |
Long term account payable | ---- | -5.88%32M | ---- | ---- | ---- | -5.56%34M | ---- | -5.56%34M | ---- | -59.09%36M |
Long term salaries pay | -26.32%227.92M | -26.32%227.92M | -28.03%267.84M | -28.03%267.84M | -14.07%309.33M | -14.07%309.33M | -18.08%372.19M | -18.08%372.19M | -6.82%359.96M | -6.82%359.96M |
Deferred tax liabilities | -71.08%31.74M | -71.08%31.74M | -11.24%89.47M | -11.24%89.47M | 46.68%109.77M | 46.68%109.77M | 128.66%100.8M | 128.66%100.8M | 160.49%74.84M | 160.49%74.84M |
Long term deferred income | -16.80%97.05M | -20.17%100.73M | -22.65%104.42M | -24.90%108.1M | -23.30%116.64M | -21.56%126.19M | -20.39%135M | -17.88%143.94M | -16.38%152.09M | -15.66%160.87M |
Lease liabilities | ---- | ---- | -99.95%7.88K | -99.96%7.22K | -66.91%8.43M | -67.50%8.11M | -49.27%17.14M | 5,074.19%16.72M | 7,914.61%25.48M | 7,884.62%24.96M |
Total non current liabilities | -18.86%4.79B | -14.51%5.07B | -15.53%5.54B | -16.99%5.49B | -14.39%5.91B | -15.81%5.93B | -10.82%6.55B | -5.05%6.62B | -1.31%6.9B | 6.43%7.04B |
Total liabilities | -12.08%7.8B | -6.55%8.83B | -10.06%8.58B | -10.93%8.65B | -13.69%8.87B | -10.67%9.45B | -10.76%9.54B | -10.60%9.72B | -4.10%10.28B | -2.09%10.58B |
Shareholders equity | ||||||||||
Paid-in capital | 0.00%5.59B | 0.00%5.59B | 0.00%5.59B | 0.00%5.59B | 0.00%5.59B | 0.00%5.59B | 0.00%5.59B | 0.00%5.59B | 0.00%5.59B | 0.00%5.59B |
Capital reserve funds | 0.64%5.24B | 0.63%5.24B | 0.64%5.24B | 0.66%5.24B | 0.00%5.21B | 0.00%5.21B | 0.00%5.21B | 0.00%5.21B | 0.00%5.21B | 0.00%5.21B |
Surplus reserve funds | 7.09%1.75B | 7.09%1.75B | 7.34%1.75B | 7.34%1.75B | 6.81%1.63B | 6.81%1.63B | 6.81%1.63B | 6.81%1.63B | 6.74%1.53B | 6.74%1.53B |
Retained profit | 20.80%5.99B | 23.65%5.66B | 23.01%5.51B | 24.99%5.08B | 24.66%4.96B | 28.26%4.58B | 27.77%4.48B | 28.12%4.06B | 24.20%3.98B | 21.93%3.57B |
Other composite income | -22.84%555.05M | -21.45%547.29M | -4.64%656.89M | 0.84%645.07M | 15.78%719.33M | 18.02%696.7M | 73.10%688.86M | 60.61%639.71M | 88.21%621.27M | 78.86%590.34M |
Specific reserves | -35.17%129.54M | -34.37%129.74M | -33.46%132.47M | -37.56%119.95M | 7.85%199.81M | 8.25%197.69M | 12.30%199.09M | 18.01%192.11M | 9.48%185.27M | 11.74%182.63M |
Shareholders equity without minority interests | 5.17%19.25B | 5.66%18.91B | 6.10%18.88B | 6.36%18.42B | 7.00%18.3B | 7.40%17.9B | 8.47%17.8B | 7.89%17.32B | 7.40%17.11B | 6.50%16.67B |
Minority interests | -0.24%952.82M | 0.42%950.14M | 4.21%960.05M | 4.99%948.59M | 9.08%955.09M | 11.22%946.17M | 8.81%921.25M | 5.75%903.47M | 3.23%875.58M | -0.78%850.75M |
Total shareholder equity | 4.90%20.2B | 5.40%19.86B | 6.01%19.84B | 6.29%19.37B | 7.10%19.26B | 7.59%18.85B | 8.49%18.72B | 7.78%18.23B | 7.19%17.98B | 6.13%17.52B |
Total liabilityies and equity | -0.46%28B | 1.41%28.7B | 0.58%28.42B | 0.31%28.03B | -0.46%28.13B | 0.71%28.3B | 1.13%28.26B | 0.59%27.94B | 2.79%28.26B | 2.87%28.1B |
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 | -- | -- | -- | Ernst & Young Huaming Certified Public Accountants (Special General Partnership) | -- | -- | -- | Ernst & Young Huaming 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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