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688498 Yuanjie Semiconductor Technology

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  • 122.92
  • +19.48+18.83%
Market Closed Sep 30 15:00 CST
10.50BMarket Cap967.87P/E (TTM)

Yuanjie Semiconductor Technology Key Stats

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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
(Q9)Sep 30, 2022
(Q6)Jun 30, 2022
(Q3)Mar 31, 2022
Assets
Current assets
Money funds
-3.18%1.05B
19.75%1.09B
-5.36%1.34B
3,502.07%1.26B
2,353.00%1.09B
--912.58M
891.51%1.42B
--35.08M
48.58%44.3M
----
Transactional financial assets
-52.71%140.18M
-65.14%180.18M
----
55.01%106.33M
251.60%296.42M
--516.88M
-14.37%50.3M
--68.6M
-64.02%84.31M
----
Notes receivable and accounts receivable
9.95%136.46M
-15.73%128.09M
-31.92%104.89M
4.91%114.98M
13.89%124.11M
--152M
44.78%154.06M
--109.6M
102.97%108.98M
----
-Notes receivable
340.22%12.81M
26.65%12.78M
-32.31%5.15M
-34.94%7.32M
-79.84%2.91M
--10.09M
-38.08%7.61M
--11.25M
616.55%14.44M
----
-Accounts receivable
2.02%123.65M
-18.75%115.3M
-31.90%99.74M
9.46%107.66M
28.20%121.2M
--141.9M
55.61%146.45M
--98.35M
82.94%94.54M
----
Other receivables (including interest and dividends)
-39.16%118.59K
-22.95%152.43K
-54.40%88.7K
28.39%131.53K
-24.69%194.94K
--197.82K
57.68%194.52K
--102.44K
48.15%258.83K
----
-Other receivable
-39.16%118.59K
----
-54.40%88.7K
----
-24.69%194.94K
----
57.68%194.52K
--102.44K
48.15%258.83K
----
Advance payment
-18.59%4.19M
251.09%13.45M
115.45%3.45M
289.73%11.19M
80.36%5.15M
--3.83M
-41.30%1.6M
--2.87M
-7.93%2.85M
----
Inventories
13.27%147.82M
28.49%148.02M
46.80%140.82M
61.35%144.23M
67.75%130.5M
--115.2M
70.09%95.92M
--89.39M
79.93%77.79M
----
Receivable financing
-82.73%3.92M
-96.21%582.08K
32.03%19.41M
270.07%20.66M
489.75%22.68M
--15.36M
415.38%14.7M
--5.58M
344.37%3.85M
----
Non-current assets due within one year
-95.89%26.11K
-97.51%16.69K
-91.12%72.05K
77.52%356.29K
121.22%635.66K
--670.61K
--811.03K
--200.7K
--287.34K
----
Other current assets
178.89%64.3M
214.66%61.11M
63.65%18.61M
77.23%18.07M
192.54%23.06M
--19.42M
778.50%11.37M
--10.2M
155.00%7.88M
----
Total current assets
-8.31%1.55B
-6.44%1.62B
-6.73%1.63B
422.20%1.68B
411.15%1.69B
--1.74B
370.39%1.75B
--321.61M
-10.26%330.5M
----
Non Current assets
Fixed assets
16.13%499.74M
----
12.12%444.92M
----
162.21%430.33M
----
181.39%396.85M
--372.13M
18.64%164.11M
----
Constru in process
-32.69%62.83M
----
-12.80%106.86M
----
-63.64%93.34M
----
-14.88%122.55M
--140.27M
334.83%256.7M
----
Intangible assets
5.15%15.59M
14.97%16.27M
16.58%16.96M
-2.90%14.41M
-0.19%14.83M
--14.15M
9.23%14.54M
--14.84M
19.92%14.86M
----
Long deferred expense
-39.87%393.94K
-44.64%473.63K
-51.32%530.68K
-70.38%596.39K
-72.17%655.17K
--855.61K
-70.41%1.09M
--2.01M
-43.60%2.35M
----
Deferred tax assets
----
----
----
----
----
----
----
--12.56M
117.99%5.58M
----
Usufruct assets
112.76%4.83M
103.82%5.05M
-33.41%1.85M
-35.51%2.06M
-37.13%2.27M
--2.48M
-33.49%2.79M
--3.2M
-28.34%3.61M
----
Other non current assets
7.63%19.73M
-71.57%6.94M
-49.66%4.71M
16.22%6.25M
-1.86%18.33M
--24.41M
-82.90%9.35M
--5.37M
30.84%18.68M
----
Total non current assets
12.92%632.09M
7.58%607.07M
10.72%605.84M
2.84%566.02M
20.15%559.75M
--564.32M
49.85%547.17M
--550.39M
97.58%465.89M
----
Total assets
-3.02%2.18B
-3.00%2.23B
-2.57%2.24B
157.51%2.25B
182.41%2.25B
200.35%2.3B
211.55%2.3B
--872M
31.83%796.39M
--765.94M
Liabilities
Current liabilities
Notes payable and accounts payable
-41.44%51.45M
-21.57%77.36M
-38.69%84.28M
-20.62%83.23M
28.98%87.86M
--98.63M
82.32%137.48M
--104.85M
97.52%68.12M
----
-Notes payable
----
----
----
----
-98.09%530.16K
--530.16K
-71.62%11.22M
--21.37M
73.74%27.8M
----
-Accounts payable
-41.09%51.45M
-21.14%77.36M
-33.24%84.28M
-0.30%83.23M
116.57%87.33M
--98.1M
252.05%126.26M
--83.48M
118.10%40.32M
----
Contract liabilities
-69.15%1.54M
-72.27%2.19M
-72.32%2.1M
-53.72%3.61M
-38.22%4.99M
--7.9M
117.66%7.58M
--7.8M
2,709.74%8.08M
----
Salaries payable
-28.08%6.01M
1.20%7.3M
-47.61%6.37M
-11.22%8.83M
-4.49%8.35M
--7.21M
18.31%12.15M
--9.95M
44.13%8.74M
----
Taxs payable
1.56%905.72K
-18.11%1.4M
-78.43%932.98K
-70.05%941.74K
-93.33%891.83K
--1.7M
-55.12%4.32M
--3.14M
1,410.01%13.36M
----
Other payable (including interest and dividends)
231.98%429.32K
56.49%294.01K
12.23%496.63K
-86.76%76.37K
-64.02%129.32K
--187.88K
7.32%442.51K
--576.67K
33.34%359.42K
----
-Other payable
231.98%429.32K
----
12.23%496.63K
----
-64.02%129.32K
----
7.32%442.51K
--576.67K
33.34%359.42K
----
Non current liabilities due within one year
19.43%1.04M
8.27%933.76K
9.52%908.15K
11.94%899.83K
13.07%870.79K
--862.48K
-25.00%829.22K
--803.83K
-26.07%770.17K
----
Other current liabilities
-0.30%2.53M
-91.39%794.62K
-91.38%183.92K
-53.29%4.09M
-70.23%2.54M
--9.23M
-62.86%2.13M
--8.76M
87,217.94%8.53M
----
Total current liabilities
-39.51%63.9M
-28.21%90.27M
-42.24%95.27M
-25.17%101.68M
-2.16%105.63M
--125.73M
55.51%164.94M
--135.89M
150.80%107.96M
----
Current liabilities
Estimate liabilities
-84.20%861.47K
-37.21%3.83M
-40.47%3.75M
-24.33%4.49M
-2.89%5.45M
--6.1M
-12.43%6.3M
--5.94M
-5.40%5.61M
----
Deferred tax liabilities
-59.38%3.01M
-40.06%4.28M
-23.08%4.52M
-67.12%6.16M
3,685.46%7.42M
--7.15M
5,191.52%5.87M
--18.73M
-43.80%196.01K
----
Long term deferred income
26.65%17.59M
16.34%16.35M
8.88%15.48M
-4.61%13.72M
13.09%13.89M
--14.05M
126.07%14.22M
--14.38M
200.80%12.28M
----
Lease liabilities
174.26%3.82M
176.99%3.83M
-48.08%980.23K
-48.63%969K
-39.12%1.39M
--1.38M
-30.51%1.89M
--1.89M
-26.11%2.29M
----
Total non current liabilities
-10.19%25.28M
-1.36%28.29M
-12.55%24.73M
-38.10%25.34M
38.15%28.15M
--28.68M
73.37%28.28M
--40.94M
51.37%20.38M
----
Total liabilities
-33.34%89.18M
-23.22%118.56M
-37.89%119.99M
-28.16%127.02M
4.24%133.78M
22.88%154.41M
57.89%193.21M
--176.82M
127.12%128.34M
--125.66M
Shareholders equity
Paid-in capital
0.73%85.46M
41.03%85.46M
41.40%84.84M
88.53%84.84M
88.53%84.84M
--60.6M
33.33%60M
--45M
0.00%45M
----
Capital reserve funds
1.28%1.87B
0.03%1.87B
0.51%1.84B
293.01%1.84B
294.67%1.84B
--1.87B
296.79%1.84B
--469.28M
1.88%467.02M
----
Surplus reserve funds
7.10%29.39M
7.10%29.39M
7.09%29.39M
57.60%27.44M
57.60%27.44M
--27.44M
57.61%27.44M
--17.41M
120.85%17.41M
----
Retained profit
0.24%160.23M
-12.09%168.52M
-12.16%157.98M
-0.97%161.9M
15.31%159.84M
--191.69M
100.81%179.85M
--163.49M
282.01%138.61M
----
Less:Treasury stock
--49.98M
--37.24M
----
----
----
----
----
----
----
----
Other composite income
---16.79K
---25.18K
---28.74K
----
----
----
----
----
----
----
Shareholders equity without minority interests
-1.11%2.09B
-1.54%2.11B
0.68%2.12B
204.74%2.12B
216.64%2.12B
--2.15B
242.15%2.1B
--695.18M
22.00%668.05M
----
Total shareholder equity
-1.11%2.09B
-1.54%2.11B
0.68%2.12B
204.74%2.12B
216.64%2.12B
235.17%2.15B
242.15%2.1B
--695.18M
22.00%668.05M
--640.28M
Total liabilityies and equity
-3.02%2.18B
-3.00%2.23B
-2.57%2.24B
157.51%2.25B
182.41%2.25B
200.35%2.3B
211.55%2.3B
--872M
31.83%796.39M
--765.94M
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
--
--
--
--
--
--
--
Auditor
--
--
Lixin Certified Public Accountants (Special General Partnership)
--
--
--
Lixin 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 -3.18%1.05B19.75%1.09B-5.36%1.34B3,502.07%1.26B2,353.00%1.09B--912.58M891.51%1.42B--35.08M48.58%44.3M----
Transactional financial assets -52.71%140.18M-65.14%180.18M----55.01%106.33M251.60%296.42M--516.88M-14.37%50.3M--68.6M-64.02%84.31M----
Notes receivable and accounts receivable 9.95%136.46M-15.73%128.09M-31.92%104.89M4.91%114.98M13.89%124.11M--152M44.78%154.06M--109.6M102.97%108.98M----
-Notes receivable 340.22%12.81M26.65%12.78M-32.31%5.15M-34.94%7.32M-79.84%2.91M--10.09M-38.08%7.61M--11.25M616.55%14.44M----
-Accounts receivable 2.02%123.65M-18.75%115.3M-31.90%99.74M9.46%107.66M28.20%121.2M--141.9M55.61%146.45M--98.35M82.94%94.54M----
Other receivables (including interest and dividends) -39.16%118.59K-22.95%152.43K-54.40%88.7K28.39%131.53K-24.69%194.94K--197.82K57.68%194.52K--102.44K48.15%258.83K----
-Other receivable -39.16%118.59K-----54.40%88.7K-----24.69%194.94K----57.68%194.52K--102.44K48.15%258.83K----
Advance payment -18.59%4.19M251.09%13.45M115.45%3.45M289.73%11.19M80.36%5.15M--3.83M-41.30%1.6M--2.87M-7.93%2.85M----
Inventories 13.27%147.82M28.49%148.02M46.80%140.82M61.35%144.23M67.75%130.5M--115.2M70.09%95.92M--89.39M79.93%77.79M----
Receivable financing -82.73%3.92M-96.21%582.08K32.03%19.41M270.07%20.66M489.75%22.68M--15.36M415.38%14.7M--5.58M344.37%3.85M----
Non-current assets due within one year -95.89%26.11K-97.51%16.69K-91.12%72.05K77.52%356.29K121.22%635.66K--670.61K--811.03K--200.7K--287.34K----
Other current assets 178.89%64.3M214.66%61.11M63.65%18.61M77.23%18.07M192.54%23.06M--19.42M778.50%11.37M--10.2M155.00%7.88M----
Total current assets -8.31%1.55B-6.44%1.62B-6.73%1.63B422.20%1.68B411.15%1.69B--1.74B370.39%1.75B--321.61M-10.26%330.5M----
Non Current assets
Fixed assets 16.13%499.74M----12.12%444.92M----162.21%430.33M----181.39%396.85M--372.13M18.64%164.11M----
Constru in process -32.69%62.83M-----12.80%106.86M-----63.64%93.34M-----14.88%122.55M--140.27M334.83%256.7M----
Intangible assets 5.15%15.59M14.97%16.27M16.58%16.96M-2.90%14.41M-0.19%14.83M--14.15M9.23%14.54M--14.84M19.92%14.86M----
Long deferred expense -39.87%393.94K-44.64%473.63K-51.32%530.68K-70.38%596.39K-72.17%655.17K--855.61K-70.41%1.09M--2.01M-43.60%2.35M----
Deferred tax assets ------------------------------12.56M117.99%5.58M----
Usufruct assets 112.76%4.83M103.82%5.05M-33.41%1.85M-35.51%2.06M-37.13%2.27M--2.48M-33.49%2.79M--3.2M-28.34%3.61M----
Other non current assets 7.63%19.73M-71.57%6.94M-49.66%4.71M16.22%6.25M-1.86%18.33M--24.41M-82.90%9.35M--5.37M30.84%18.68M----
Total non current assets 12.92%632.09M7.58%607.07M10.72%605.84M2.84%566.02M20.15%559.75M--564.32M49.85%547.17M--550.39M97.58%465.89M----
Total assets -3.02%2.18B-3.00%2.23B-2.57%2.24B157.51%2.25B182.41%2.25B200.35%2.3B211.55%2.3B--872M31.83%796.39M--765.94M
Liabilities
Current liabilities
Notes payable and accounts payable -41.44%51.45M-21.57%77.36M-38.69%84.28M-20.62%83.23M28.98%87.86M--98.63M82.32%137.48M--104.85M97.52%68.12M----
-Notes payable -----------------98.09%530.16K--530.16K-71.62%11.22M--21.37M73.74%27.8M----
-Accounts payable -41.09%51.45M-21.14%77.36M-33.24%84.28M-0.30%83.23M116.57%87.33M--98.1M252.05%126.26M--83.48M118.10%40.32M----
Contract liabilities -69.15%1.54M-72.27%2.19M-72.32%2.1M-53.72%3.61M-38.22%4.99M--7.9M117.66%7.58M--7.8M2,709.74%8.08M----
Salaries payable -28.08%6.01M1.20%7.3M-47.61%6.37M-11.22%8.83M-4.49%8.35M--7.21M18.31%12.15M--9.95M44.13%8.74M----
Taxs payable 1.56%905.72K-18.11%1.4M-78.43%932.98K-70.05%941.74K-93.33%891.83K--1.7M-55.12%4.32M--3.14M1,410.01%13.36M----
Other payable (including interest and dividends) 231.98%429.32K56.49%294.01K12.23%496.63K-86.76%76.37K-64.02%129.32K--187.88K7.32%442.51K--576.67K33.34%359.42K----
-Other payable 231.98%429.32K----12.23%496.63K-----64.02%129.32K----7.32%442.51K--576.67K33.34%359.42K----
Non current liabilities due within one year 19.43%1.04M8.27%933.76K9.52%908.15K11.94%899.83K13.07%870.79K--862.48K-25.00%829.22K--803.83K-26.07%770.17K----
Other current liabilities -0.30%2.53M-91.39%794.62K-91.38%183.92K-53.29%4.09M-70.23%2.54M--9.23M-62.86%2.13M--8.76M87,217.94%8.53M----
Total current liabilities -39.51%63.9M-28.21%90.27M-42.24%95.27M-25.17%101.68M-2.16%105.63M--125.73M55.51%164.94M--135.89M150.80%107.96M----
Current liabilities
Estimate liabilities -84.20%861.47K-37.21%3.83M-40.47%3.75M-24.33%4.49M-2.89%5.45M--6.1M-12.43%6.3M--5.94M-5.40%5.61M----
Deferred tax liabilities -59.38%3.01M-40.06%4.28M-23.08%4.52M-67.12%6.16M3,685.46%7.42M--7.15M5,191.52%5.87M--18.73M-43.80%196.01K----
Long term deferred income 26.65%17.59M16.34%16.35M8.88%15.48M-4.61%13.72M13.09%13.89M--14.05M126.07%14.22M--14.38M200.80%12.28M----
Lease liabilities 174.26%3.82M176.99%3.83M-48.08%980.23K-48.63%969K-39.12%1.39M--1.38M-30.51%1.89M--1.89M-26.11%2.29M----
Total non current liabilities -10.19%25.28M-1.36%28.29M-12.55%24.73M-38.10%25.34M38.15%28.15M--28.68M73.37%28.28M--40.94M51.37%20.38M----
Total liabilities -33.34%89.18M-23.22%118.56M-37.89%119.99M-28.16%127.02M4.24%133.78M22.88%154.41M57.89%193.21M--176.82M127.12%128.34M--125.66M
Shareholders equity
Paid-in capital 0.73%85.46M41.03%85.46M41.40%84.84M88.53%84.84M88.53%84.84M--60.6M33.33%60M--45M0.00%45M----
Capital reserve funds 1.28%1.87B0.03%1.87B0.51%1.84B293.01%1.84B294.67%1.84B--1.87B296.79%1.84B--469.28M1.88%467.02M----
Surplus reserve funds 7.10%29.39M7.10%29.39M7.09%29.39M57.60%27.44M57.60%27.44M--27.44M57.61%27.44M--17.41M120.85%17.41M----
Retained profit 0.24%160.23M-12.09%168.52M-12.16%157.98M-0.97%161.9M15.31%159.84M--191.69M100.81%179.85M--163.49M282.01%138.61M----
Less:Treasury stock --49.98M--37.24M--------------------------------
Other composite income ---16.79K---25.18K---28.74K----------------------------
Shareholders equity without minority interests -1.11%2.09B-1.54%2.11B0.68%2.12B204.74%2.12B216.64%2.12B--2.15B242.15%2.1B--695.18M22.00%668.05M----
Total shareholder equity -1.11%2.09B-1.54%2.11B0.68%2.12B204.74%2.12B216.64%2.12B235.17%2.15B242.15%2.1B--695.18M22.00%668.05M--640.28M
Total liabilityies and equity -3.02%2.18B-3.00%2.23B-2.57%2.24B157.51%2.25B182.41%2.25B200.35%2.3B211.55%2.3B--872M31.83%796.39M--765.94M
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--------------
Auditor ----Lixin Certified Public Accountants (Special General Partnership)------Lixin 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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