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603312 Suzhou West Deane New Power Electric

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  • 27.43
  • +0.02+0.07%
Not Open Aug 30 15:00 CST
4.43BMarket Cap21.86P/E (TTM)

Suzhou West Deane New Power Electric Key Stats

All
YOY yoy
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(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
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
Assets
Current assets
Money funds
982.29%771.63M
--906.76M
99.23%78.55M
--83.25M
87.37%71.3M
----
40.76%39.43M
--38.05M
43.69%28.01M
104.22%19.49M
Transactional financial assets
--197M
--100M
----
----
----
----
----
----
----
----
Notes receivable and accounts receivable
-25.63%579.16M
--579.62M
-26.65%679.33M
--803.92M
74.48%778.77M
----
108.16%926.15M
--446.34M
173.70%444.91M
134.18%162.55M
-Notes receivable
60.84%92.79M
--72.36M
-54.05%81.22M
--65.95M
28.73%57.69M
----
1,275.45%176.78M
--44.81M
2.32%12.85M
-35.50%12.56M
-Accounts receivable
-32.55%486.37M
--507.25M
-20.18%598.11M
--737.97M
79.59%721.08M
----
73.44%749.37M
--401.53M
188.06%432.06M
200.36%149.99M
Other receivables (including interest and dividends)
153.74%1.63M
--639K
-49.72%578.29K
--632.46K
-36.79%643.96K
----
61.85%1.15M
--1.02M
148.15%710.62K
73.77%286.37K
-Other receivable
153.74%1.63M
----
-49.72%578.29K
--632.46K
-36.79%643.96K
----
61.85%1.15M
--1.02M
148.15%710.62K
73.77%286.37K
Contractual assets
9.71%161.47K
--149.69K
134.14%228.41K
--228.41K
34.84%147.17K
----
114.29%97.55K
--109.15K
38.71%45.52K
--32.82K
Advance payment
20.20%728.7K
--377.55K
-55.89%441.17K
--1.56M
-13.26%606.22K
----
83.98%1M
--698.85K
43.03%543.56K
-38.42%380.04K
Inventories
7.60%158.12M
--167.03M
-8.09%159.2M
--180.57M
8.99%146.94M
----
26.29%173.22M
--134.82M
150.26%137.17M
62.62%54.81M
Receivable financing
9.03%315.11M
--296.1M
58.11%200.32M
--189.13M
56.37%289.03M
----
38.33%126.69M
--184.83M
865.65%91.59M
-46.17%9.48M
Other current assets
96.75%7.84M
--7.26M
-35.85%7.98M
--3.9M
--3.98M
----
--12.43M
----
----
----
Total current assets
57.30%2.03B
--2.06B
-11.99%1.13B
--1.26B
60.25%1.29B
----
82.11%1.28B
--805.87M
184.56%702.98M
88.49%247.04M
Non Current assets
Fixed assets
53.19%250.21M
----
55.81%245.18M
--164.11M
232.41%163.33M
----
301.45%157.36M
--49.14M
75.87%39.2M
38.18%22.29M
Constru in process
121.61%23.2M
----
63.53%15.93M
--10.15M
-88.28%10.47M
----
-82.45%9.74M
--89.34M
3,453.12%55.52M
--1.56M
Intangible assets
192.71%38.49M
--38.44M
194.01%38.93M
--13.01M
7.51%13.15M
----
7.07%13.24M
--12.23M
9,819.57%12.37M
208.97%124.68K
Long deferred expense
-6.98%7.33M
--8.33M
74.95%9.49M
--10.76M
184.15%7.88M
----
109.08%5.43M
--2.77M
43.21%2.6M
188.96%1.81M
Deferred tax assets
13.32%11.93M
--11.47M
16.40%11.86M
--11.03M
139.34%10.53M
----
118.11%10.19M
--4.4M
129.17%4.67M
126.28%2.04M
Usufruct assets
-61.68%900.93K
--896.24K
-51.45%1.33M
--1.84M
72.51%2.35M
----
-26.39%2.74M
--1.36M
-25.31%3.72M
--4.99M
Other non current assets
43.97%3.56M
--2.14M
37.75%2.61M
--26.89M
197.76%2.47M
----
-39.57%1.89M
--829.69K
86.60%3.13M
156.93%1.68M
Total non current assets
59.68%335.63M
--325.8M
62.19%325.33M
--237.79M
31.31%210.19M
----
65.50%200.59M
--160.08M
251.41%121.2M
87.95%34.49M
Total assets
57.63%2.37B
61.23%2.38B
-1.95%1.45B
--1.5B
55.45%1.5B
--1.48B
79.66%1.48B
--965.94M
192.75%824.18M
88.42%281.53M
Liabilities
Current liabilities
Short term loan
----
--6.01M
-57.34%15.91M
--30.93M
67.54%41.93M
----
12.44%37.3M
--25.03M
-12.98%33.18M
241.81%38.12M
Notes payable and accounts payable
-25.88%616.28M
--569.8M
-34.49%596.67M
--778.6M
58.10%831.42M
----
96.31%910.83M
--525.88M
343.77%463.98M
741.23%104.55M
-Notes payable
-99.96%129.4K
--5.84M
-68.78%66.18M
--198.92M
174.90%294.64M
----
82.60%211.96M
--107.18M
5,277.65%116.07M
--2.16M
-Accounts payable
14.78%616.15M
--563.96M
-24.09%530.49M
--579.68M
28.20%536.79M
----
100.88%698.87M
--418.7M
239.77%347.91M
723.86%102.4M
Contract liabilities
-5.25%9.65M
--12.96M
92.60%13.34M
--9.37M
254.85%10.19M
----
323.21%6.93M
--2.87M
101.50%1.64M
--812.23K
Salaries payable
9.13%15.39M
--12.4M
6.61%17.51M
--18.21M
21.49%14.1M
----
89.70%16.42M
--11.61M
59.04%8.66M
24.60%5.44M
Taxs payable
81.55%15.27M
--14.73M
95.63%18.53M
--13.94M
12.00%8.41M
----
15.81%9.47M
--7.51M
3.95%8.18M
102.10%7.87M
Other payable (including interest and dividends)
94.00%1.23M
--864.65K
17.20%733.52K
--627.42K
1.57%636.55K
----
-19.48%625.89K
--626.71K
-76.84%777.26K
-87.04%3.36M
-Dividend payable
----
----
----
----
----
----
----
----
----
--548.15K
-Other payable
94.00%1.23M
----
17.20%733.52K
--627.42K
1.57%636.55K
----
-19.48%625.89K
--626.71K
-72.32%777.26K
-89.15%2.81M
Non current liabilities due within one year
-98.43%815.97K
--784.16K
95.08%61.58M
--56.84M
358.98%51.97M
----
872.63%31.57M
--11.32M
7.68%3.25M
--3.01M
Other current liabilities
211.94%43.51K
--62.45K
-22.31%37.89K
--33.88K
-83.17%13.95K
----
-37.18%48.77K
--82.88K
26.33%77.65K
--61.46K
Total current liabilities
-31.29%658.69M
--617.61M
-28.51%724.31M
--908.55M
63.89%958.67M
----
94.94%1.01B
--584.93M
218.40%519.74M
180.89%163.24M
Current liabilities
Long term loan
----
----
218.18%85.21M
--5.81M
-46.93%13.8M
----
22.06%26.78M
--26M
--21.94M
----
Estimate liabilities
--3.97M
----
----
----
----
----
----
----
----
----
Long term deferred income
-46.15%93.33K
--113.33K
-37.50%133.33K
--153.33K
-31.58%173.33K
----
-27.27%213.33K
--253.33K
-21.43%293.33K
-6.67%373.33K
Lease liabilities
--134.71K
----
----
----
----
----
65.33%732.92K
--128.51K
-75.65%443.3K
--1.82M
Total non current liabilities
-69.92%4.2M
--113.33K
207.80%85.35M
--5.97M
-47.04%13.97M
----
22.27%27.73M
--26.38M
933.52%22.68M
448.53%2.19M
Total liabilities
-31.85%662.89M
-37.81%617.72M
-22.22%809.66M
--914.52M
59.11%972.64M
--993.24M
91.91%1.04B
--611.31M
227.88%542.41M
182.72%165.43M
Shareholders equity
Paid-in capital
33.33%161.6M
--161.6M
0.00%121.2M
--121.2M
0.00%121.2M
----
0.00%121.2M
--121.2M
54.71%121.2M
1,104.84%78.34M
Capital reserve funds
821.08%1.16B
--1.16B
3.49%128.47M
--127.38M
3.61%126.29M
----
2.96%124.13M
--121.89M
52,730.04%120.56M
2,759.59%228.21K
Surplus reserve funds
48.48%27.88M
--27.88M
48.48%27.88M
--18.78M
333.69%18.78M
----
333.69%18.78M
--4.33M
-21.10%4.33M
68.78%5.49M
Retained profit
33.76%351.38M
--414.37M
107.56%364.75M
--319.1M
145.02%262.7M
----
392.57%175.73M
--107.22M
11.33%35.68M
-60.51%32.05M
Shareholders equity without minority interests
222.16%1.7B
--1.77B
46.03%642.3M
--586.46M
49.16%528.97M
----
56.10%439.84M
--354.64M
142.69%281.77M
27.72%116.1M
Total shareholder equity
222.16%1.7B
263.95%1.77B
46.03%642.3M
--586.46M
49.16%528.97M
--485.23M
56.10%439.84M
--354.64M
142.69%281.77M
27.72%116.1M
Total liabilityies and equity
57.63%2.37B
61.23%2.38B
-1.95%1.45B
--1.5B
55.45%1.5B
--1.48B
79.66%1.48B
--965.94M
192.75%824.18M
88.42%281.53M
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
--
Unqualified opinion
Unqualified opinion
Auditor
--
--
Rong Shing Certified Public Accountants (Special General Partnership)
--
--
--
Rong Shing Certified Public Accountants (Special General Partnership)
--
Rong Shing Certified Public Accountants (Special General Partnership)
Rong Shing 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(Q6)Jun 30, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020
Assets
Current assets
Money funds 982.29%771.63M--906.76M99.23%78.55M--83.25M87.37%71.3M----40.76%39.43M--38.05M43.69%28.01M104.22%19.49M
Transactional financial assets --197M--100M--------------------------------
Notes receivable and accounts receivable -25.63%579.16M--579.62M-26.65%679.33M--803.92M74.48%778.77M----108.16%926.15M--446.34M173.70%444.91M134.18%162.55M
-Notes receivable 60.84%92.79M--72.36M-54.05%81.22M--65.95M28.73%57.69M----1,275.45%176.78M--44.81M2.32%12.85M-35.50%12.56M
-Accounts receivable -32.55%486.37M--507.25M-20.18%598.11M--737.97M79.59%721.08M----73.44%749.37M--401.53M188.06%432.06M200.36%149.99M
Other receivables (including interest and dividends) 153.74%1.63M--639K-49.72%578.29K--632.46K-36.79%643.96K----61.85%1.15M--1.02M148.15%710.62K73.77%286.37K
-Other receivable 153.74%1.63M-----49.72%578.29K--632.46K-36.79%643.96K----61.85%1.15M--1.02M148.15%710.62K73.77%286.37K
Contractual assets 9.71%161.47K--149.69K134.14%228.41K--228.41K34.84%147.17K----114.29%97.55K--109.15K38.71%45.52K--32.82K
Advance payment 20.20%728.7K--377.55K-55.89%441.17K--1.56M-13.26%606.22K----83.98%1M--698.85K43.03%543.56K-38.42%380.04K
Inventories 7.60%158.12M--167.03M-8.09%159.2M--180.57M8.99%146.94M----26.29%173.22M--134.82M150.26%137.17M62.62%54.81M
Receivable financing 9.03%315.11M--296.1M58.11%200.32M--189.13M56.37%289.03M----38.33%126.69M--184.83M865.65%91.59M-46.17%9.48M
Other current assets 96.75%7.84M--7.26M-35.85%7.98M--3.9M--3.98M------12.43M------------
Total current assets 57.30%2.03B--2.06B-11.99%1.13B--1.26B60.25%1.29B----82.11%1.28B--805.87M184.56%702.98M88.49%247.04M
Non Current assets
Fixed assets 53.19%250.21M----55.81%245.18M--164.11M232.41%163.33M----301.45%157.36M--49.14M75.87%39.2M38.18%22.29M
Constru in process 121.61%23.2M----63.53%15.93M--10.15M-88.28%10.47M-----82.45%9.74M--89.34M3,453.12%55.52M--1.56M
Intangible assets 192.71%38.49M--38.44M194.01%38.93M--13.01M7.51%13.15M----7.07%13.24M--12.23M9,819.57%12.37M208.97%124.68K
Long deferred expense -6.98%7.33M--8.33M74.95%9.49M--10.76M184.15%7.88M----109.08%5.43M--2.77M43.21%2.6M188.96%1.81M
Deferred tax assets 13.32%11.93M--11.47M16.40%11.86M--11.03M139.34%10.53M----118.11%10.19M--4.4M129.17%4.67M126.28%2.04M
Usufruct assets -61.68%900.93K--896.24K-51.45%1.33M--1.84M72.51%2.35M-----26.39%2.74M--1.36M-25.31%3.72M--4.99M
Other non current assets 43.97%3.56M--2.14M37.75%2.61M--26.89M197.76%2.47M-----39.57%1.89M--829.69K86.60%3.13M156.93%1.68M
Total non current assets 59.68%335.63M--325.8M62.19%325.33M--237.79M31.31%210.19M----65.50%200.59M--160.08M251.41%121.2M87.95%34.49M
Total assets 57.63%2.37B61.23%2.38B-1.95%1.45B--1.5B55.45%1.5B--1.48B79.66%1.48B--965.94M192.75%824.18M88.42%281.53M
Liabilities
Current liabilities
Short term loan ------6.01M-57.34%15.91M--30.93M67.54%41.93M----12.44%37.3M--25.03M-12.98%33.18M241.81%38.12M
Notes payable and accounts payable -25.88%616.28M--569.8M-34.49%596.67M--778.6M58.10%831.42M----96.31%910.83M--525.88M343.77%463.98M741.23%104.55M
-Notes payable -99.96%129.4K--5.84M-68.78%66.18M--198.92M174.90%294.64M----82.60%211.96M--107.18M5,277.65%116.07M--2.16M
-Accounts payable 14.78%616.15M--563.96M-24.09%530.49M--579.68M28.20%536.79M----100.88%698.87M--418.7M239.77%347.91M723.86%102.4M
Contract liabilities -5.25%9.65M--12.96M92.60%13.34M--9.37M254.85%10.19M----323.21%6.93M--2.87M101.50%1.64M--812.23K
Salaries payable 9.13%15.39M--12.4M6.61%17.51M--18.21M21.49%14.1M----89.70%16.42M--11.61M59.04%8.66M24.60%5.44M
Taxs payable 81.55%15.27M--14.73M95.63%18.53M--13.94M12.00%8.41M----15.81%9.47M--7.51M3.95%8.18M102.10%7.87M
Other payable (including interest and dividends) 94.00%1.23M--864.65K17.20%733.52K--627.42K1.57%636.55K-----19.48%625.89K--626.71K-76.84%777.26K-87.04%3.36M
-Dividend payable --------------------------------------548.15K
-Other payable 94.00%1.23M----17.20%733.52K--627.42K1.57%636.55K-----19.48%625.89K--626.71K-72.32%777.26K-89.15%2.81M
Non current liabilities due within one year -98.43%815.97K--784.16K95.08%61.58M--56.84M358.98%51.97M----872.63%31.57M--11.32M7.68%3.25M--3.01M
Other current liabilities 211.94%43.51K--62.45K-22.31%37.89K--33.88K-83.17%13.95K-----37.18%48.77K--82.88K26.33%77.65K--61.46K
Total current liabilities -31.29%658.69M--617.61M-28.51%724.31M--908.55M63.89%958.67M----94.94%1.01B--584.93M218.40%519.74M180.89%163.24M
Current liabilities
Long term loan --------218.18%85.21M--5.81M-46.93%13.8M----22.06%26.78M--26M--21.94M----
Estimate liabilities --3.97M------------------------------------
Long term deferred income -46.15%93.33K--113.33K-37.50%133.33K--153.33K-31.58%173.33K-----27.27%213.33K--253.33K-21.43%293.33K-6.67%373.33K
Lease liabilities --134.71K--------------------65.33%732.92K--128.51K-75.65%443.3K--1.82M
Total non current liabilities -69.92%4.2M--113.33K207.80%85.35M--5.97M-47.04%13.97M----22.27%27.73M--26.38M933.52%22.68M448.53%2.19M
Total liabilities -31.85%662.89M-37.81%617.72M-22.22%809.66M--914.52M59.11%972.64M--993.24M91.91%1.04B--611.31M227.88%542.41M182.72%165.43M
Shareholders equity
Paid-in capital 33.33%161.6M--161.6M0.00%121.2M--121.2M0.00%121.2M----0.00%121.2M--121.2M54.71%121.2M1,104.84%78.34M
Capital reserve funds 821.08%1.16B--1.16B3.49%128.47M--127.38M3.61%126.29M----2.96%124.13M--121.89M52,730.04%120.56M2,759.59%228.21K
Surplus reserve funds 48.48%27.88M--27.88M48.48%27.88M--18.78M333.69%18.78M----333.69%18.78M--4.33M-21.10%4.33M68.78%5.49M
Retained profit 33.76%351.38M--414.37M107.56%364.75M--319.1M145.02%262.7M----392.57%175.73M--107.22M11.33%35.68M-60.51%32.05M
Shareholders equity without minority interests 222.16%1.7B--1.77B46.03%642.3M--586.46M49.16%528.97M----56.10%439.84M--354.64M142.69%281.77M27.72%116.1M
Total shareholder equity 222.16%1.7B263.95%1.77B46.03%642.3M--586.46M49.16%528.97M--485.23M56.10%439.84M--354.64M142.69%281.77M27.72%116.1M
Total liabilityies and equity 57.63%2.37B61.23%2.38B-1.95%1.45B--1.5B55.45%1.5B--1.48B79.66%1.48B--965.94M192.75%824.18M88.42%281.53M
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--Unqualified opinionUnqualified opinion
Auditor ----Rong Shing Certified Public Accountants (Special General Partnership)------Rong Shing Certified Public Accountants (Special General Partnership)--Rong Shing Certified Public Accountants (Special General Partnership)Rong Shing 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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