MY Stock MarketDetailed Quotes

7113 TOPGLOV

Watchlist
  • 1.100
  • +0.030+2.80%
15min DelayMarket Closed Jun 28 16:58 CST
8.81BMarket Cap-16923P/E (TTM)

TOPGLOV Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)May 31, 2024
(Q2)Feb 29, 2024
(Q1)Nov 30, 2023
(FY)Aug 31, 2023
(Q4)Aug 31, 2023
(Q3)May 31, 2023
(Q2)Feb 28, 2023
(Q1)Nov 30, 2022
(FY)Aug 31, 2022
(Q4)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-2.96%958.66M
32.90%935.5M
34.81%1B
12.60%942.82M
12.60%942.82M
-1.57%987.88M
-47.02%703.89M
-59.14%742.45M
-66.58%837.3M
-66.58%837.3M
-Cash and cash equivalents
-6.07%367.2M
-27.86%248.99M
-27.90%291.67M
-13.64%279.77M
-13.64%279.77M
-19.93%390.93M
-38.64%345.13M
-54.80%404.56M
-62.98%323.98M
-62.98%323.98M
-Including:Cash
-6.07%367.2M
-27.86%248.99M
-27.90%291.67M
-13.64%279.77M
-13.64%279.77M
-19.93%390.93M
-38.64%345.13M
-54.80%404.56M
-53.97%323.98M
-53.97%323.98M
-Short term investments
-0.92%591.47M
91.36%686.51M
109.90%709.23M
29.17%663.05M
29.17%663.05M
15.82%596.96M
-53.17%358.75M
-63.36%337.89M
-68.51%513.32M
-68.51%513.32M
Receivables
-1.50%226.24M
-13.27%234.91M
-5.23%204.89M
-28.23%180.89M
-28.23%180.89M
-43.62%229.69M
-31.64%270.85M
-37.27%216.2M
-54.99%252.04M
-54.99%252.04M
-Accounts receivable
-1.50%226.24M
-13.27%234.91M
-5.23%204.89M
-27.73%167.03M
-27.73%167.03M
-43.62%229.69M
-31.64%270.85M
-37.27%216.2M
-57.30%231.13M
-57.30%231.13M
-Gross accounts receivable
----
----
----
-26.83%170.38M
-26.83%170.38M
----
----
----
-57.08%232.85M
-57.08%232.85M
-Bad debt provision
----
----
----
-94.77%-3.35M
-94.77%-3.35M
----
----
----
-44.66%-1.72M
-44.66%-1.72M
-Other receivables
----
----
----
-33.69%13.86M
-33.69%13.86M
----
----
----
11.70%20.9M
11.70%20.9M
Inventory
6.41%351.23M
-17.26%336.48M
-37.15%286.98M
-47.59%301.5M
-47.59%301.5M
-55.67%330.07M
-53.76%406.7M
-54.20%456.63M
-49.75%575.26M
-49.75%575.26M
Prepaid assets
----
----
----
-16.73%65.44M
-16.73%65.44M
----
----
----
-22.99%78.59M
-22.99%78.59M
Restricted cash
----
----
----
-95.03%5.64M
-95.03%5.64M
----
----
----
3,398.06%113.62M
3,398.06%113.62M
Tax assets-Current
-45.34%7.53M
-92.81%9.49M
-95.33%10.17M
-87.52%31.75M
-87.52%31.75M
-95.44%13.78M
-34.59%132.04M
26.27%217.52M
801.29%254.32M
801.29%254.32M
Hedging assets-current
----
----
--78K
--0
--0
----
----
----
-99.88%3K
-99.88%3K
Holding assets for sale
--167.07M
--180.88M
--111.2M
--159.98M
--159.98M
----
----
----
--0
--0
Other current assets
-5.41%92.39M
1.03%104.44M
-14.64%96.3M
----
----
4.10%97.67M
-2.93%103.37M
-8.19%112.82M
----
----
Total current assets
8.68%1.8B
11.43%1.8B
-2.01%1.71B
-20.04%1.69B
-20.04%1.69B
-34.99%1.66B
-44.49%1.62B
-49.46%1.75B
-51.42%2.11B
-51.42%2.11B
Non current assets
Net PPE
-18.56%3.82B
-17.29%3.9B
-14.82%4.02B
-14.03%4.08B
-14.03%4.08B
0.85%4.69B
4.99%4.72B
9.69%4.72B
13.83%4.75B
13.83%4.75B
-Gross PP&E
-18.56%3.82B
-17.29%3.9B
-14.82%4.02B
-12.13%5.73B
-12.13%5.73B
0.85%4.69B
4.99%4.72B
9.69%4.72B
14.68%6.52B
14.68%6.52B
-Accumulated depreciation
----
----
----
7.03%-1.65B
7.03%-1.65B
----
----
----
-17.00%-1.77B
-17.00%-1.77B
Investment properties
84.56%419.7M
84.56%419.7M
84.56%419.7M
84.56%419.7M
84.56%419.7M
-1.94%227.4M
0.00%227.4M
0.00%227.4M
0.00%227.4M
0.00%227.4M
Biological assets
-58.06%692K
-50.92%723K
-48.99%682K
-44.70%647K
-44.70%647K
80.33%1.65M
90.56%1.47M
95.47%1.34M
103.83%1.17M
103.83%1.17M
Total investment
-30.35%4.61M
-78.11%2.05M
-64.84%3.4M
-59.28%3.97M
-59.28%3.97M
-40.80%6.61M
-29.19%9.35M
-24.72%9.66M
-27.56%9.75M
-27.56%9.75M
-Long-term equity investment
-32.26%4.21M
-81.52%1.66M
-67.58%3M
-61.76%3.58M
-61.76%3.58M
-42.28%6.22M
-30.09%8.96M
-25.50%9.27M
-28.39%9.36M
-28.39%9.36M
-Financial asset investment
0.00%392K
0.00%392K
0.00%392K
0.00%392K
0.00%392K
0.00%392K
0.00%392K
0.00%392K
0.00%392K
0.00%392K
-Including:Financial assets designated as fair value through profit or loss, Total
--392K
0.00%392K
0.00%392K
0.00%392K
0.00%392K
----
--392K
0.00%392K
0.00%392K
0.00%392K
Goodwill and other intangible assets
-14.03%862.07M
-14.01%863.01M
-14.03%863.53M
-14.01%864.47M
-14.01%864.47M
-0.34%1B
-0.34%1B
-0.35%1B
-0.34%1.01B
-0.34%1.01B
-Goodwill
----
----
----
-14.03%843.14M
-14.03%843.14M
----
----
----
0.00%980.69M
0.00%980.69M
-Other intangible assets
----
----
----
-13.42%21.33M
-13.42%21.33M
----
----
----
-12.35%24.63M
-12.35%24.63M
Deferred tax assets-non current
23.27%10.36M
-65.53%4.48M
-68.82%4.48M
-71.20%4.58M
-71.20%4.58M
-45.34%8.4M
-26.28%13M
-8.96%14.37M
-6.81%15.91M
-6.81%15.91M
Total non current assets
-13.81%5.12B
-13.07%5.19B
-11.12%5.31B
-10.52%5.37B
-10.52%5.37B
0.36%5.94B
3.70%5.98B
7.35%5.97B
10.46%6.01B
10.46%6.01B
Total assets
-8.90%6.92B
-7.85%7B
-9.06%7.02B
-13.00%7.06B
-13.00%7.06B
-10.29%7.6B
-12.48%7.59B
-14.41%7.72B
-17.03%8.12B
-17.03%8.12B
Liabilities
Current liabilities
Financial liabilities
-27.55%445.08M
45.17%533.46M
81.11%543.06M
75.70%542.57M
75.70%542.57M
82.42%614.36M
15.56%367.47M
-3.89%299.86M
-3.04%308.8M
-3.04%308.8M
-Financial or other derivative investment liabilities
--0
-84.14%311K
--0
634.78%507K
634.78%507K
-90.32%9K
341.67%1.96M
--0
-70.00%69K
-70.00%69K
-Current debt and capital lease obligation
-27.55%445.08M
45.86%533.15M
81.11%543.06M
75.58%542.07M
75.58%542.07M
82.46%614.35M
15.10%365.51M
-3.62%299.86M
-2.99%308.73M
-2.99%308.73M
-Including:Current debt
-27.82%442.84M
45.52%530.18M
81.01%539.99M
76.52%540.36M
76.52%540.36M
84.02%613.54M
16.08%364.33M
-2.37%298.31M
-2.10%306.12M
-2.10%306.12M
-Including:Current capital Lease obligation
176.76%2.24M
151.53%2.96M
98.64%3.07M
-34.48%1.71M
-34.48%1.71M
-75.42%809K
-68.02%1.18M
-72.22%1.55M
-52.91%2.61M
-52.91%2.61M
Payables
31.82%359.1M
6.80%342.5M
-9.04%302.16M
-39.87%191.98M
-39.87%191.98M
-61.01%272.41M
-56.33%320.7M
-62.49%332.21M
-62.44%319.28M
-62.44%319.28M
-accounts payable
37.33%352.18M
7.66%335.34M
-7.30%294.03M
-57.75%76.12M
-57.75%76.12M
-57.11%256.45M
-53.18%311.49M
-57.99%317.17M
-21.08%180.14M
-21.08%180.14M
-Total tax payable
-56.61%6.92M
-22.27%7.16M
-45.94%8.13M
10.82%13.04M
10.82%13.04M
-84.15%15.96M
-86.65%9.21M
-88.49%15.04M
-97.39%11.77M
-97.39%11.77M
-Other payable
----
----
----
-19.27%102.82M
-19.27%102.82M
----
----
----
-25.84%127.37M
-25.84%127.37M
Accrued and deferred income
-9.79%93.92M
-14.88%108.93M
-29.64%97.95M
-48.61%189.32M
-48.61%189.32M
-57.38%104.11M
-64.21%127.98M
-72.45%139.21M
-64.23%368.41M
-64.23%368.41M
Current liabilities
-9.36%898.1M
20.68%984.89M
22.29%943.16M
-7.29%923.87M
-7.29%923.87M
-22.57%990.89M
-42.12%816.15M
-54.71%771.27M
-54.67%996.49M
-54.67%996.49M
Non current liabilities
Non current financial liabilities
-38.80%24.33M
-70.32%24.77M
-64.35%35.73M
-63.28%39.78M
-63.28%39.78M
-67.72%39.76M
-36.47%83.45M
-33.11%100.24M
-33.99%108.34M
-33.99%108.34M
-Long term debt and capital lease obligation
-38.80%24.33M
-70.32%24.77M
-64.35%35.73M
-63.28%39.78M
-63.28%39.78M
-67.72%39.76M
-36.47%83.45M
-33.11%100.24M
-33.99%108.34M
-33.99%108.34M
-Including:Long term debt
--0
--0
-87.69%10.42M
-84.78%14.15M
-84.78%14.15M
-77.73%23.91M
-41.09%67.93M
-36.57%84.68M
-36.33%92.96M
-36.33%92.96M
-Including:Long term capital lease obligation
53.56%24.33M
59.56%24.77M
62.72%25.31M
66.73%25.63M
66.73%25.63M
0.21%15.85M
-3.22%15.52M
-4.86%15.55M
-15.20%15.37M
-15.20%15.37M
Long term provisions
37.25%9.97M
48.81%10.1M
81.98%11.97M
24.75%11.69M
24.75%11.69M
-15.24%7.26M
-12.39%6.79M
-9.50%6.58M
10.93%9.37M
10.93%9.37M
Non current deferred liabilities
-20.27%142.12M
-26.20%148.85M
-24.06%153.78M
-23.49%160.12M
-23.49%160.12M
-11.20%178.25M
11.71%201.71M
0.09%202.5M
9.46%209.28M
9.46%209.28M
Total non current liabilities
-21.69%176.42M
-37.07%183.72M
-34.86%201.48M
-35.29%211.59M
-35.29%211.59M
-32.24%225.27M
-8.67%291.95M
-13.95%309.31M
-10.11%326.99M
-10.11%326.99M
Total liabilities
-11.65%1.07B
5.46%1.17B
5.93%1.14B
-14.21%1.14B
-14.21%1.14B
-24.56%1.22B
-35.93%1.11B
-47.60%1.08B
-48.35%1.32B
-48.35%1.32B
Shareholders'equity
Share capital
0.10%1.84B
0.06%1.84B
0.06%1.84B
0.06%1.84B
0.06%1.84B
0.05%1.84B
0.00%1.84B
0.01%1.84B
0.03%1.84B
0.03%1.84B
-common stock
0.10%1.84B
0.06%1.84B
0.06%1.84B
0.06%1.84B
0.06%1.84B
0.05%1.84B
0.00%1.84B
0.01%1.84B
0.03%1.84B
0.03%1.84B
Retained earnings
-11.03%4.09B
-14.55%4.03B
-16.34%4.08B
-18.00%4.13B
-18.00%4.13B
-10.03%4.59B
-7.25%4.72B
-4.28%4.88B
-5.63%5.04B
-5.63%5.04B
Less: Treasury stock
0.00%1.41B
0.00%1.41B
0.00%1.41B
0.00%1.41B
0.00%1.41B
-0.07%1.41B
-0.07%1.41B
-0.07%1.41B
-0.07%1.41B
-0.07%1.41B
Fixed asset revaluation reserve
--8.79M
--8.79M
--8.79M
--8.79M
--8.79M
----
----
----
--0
--0
Other reserves
-51.97%71.07M
54.36%99.26M
-16.70%95.35M
112.98%88.66M
112.98%88.66M
32.25%147.98M
-38.94%64.31M
33.18%114.47M
-37.93%41.63M
-37.93%41.63M
Other equity interest
3.65%1.22B
-0.84%1.22B
4.11%1.22B
-1.14%1.23B
-1.14%1.23B
0.00%1.18B
-4.11%1.23B
-9.23%1.18B
-6.63%1.24B
-6.63%1.24B
Total stockholders'equity
-8.34%5.82B
-10.12%5.79B
-11.49%5.84B
-12.80%5.89B
-12.80%5.89B
-6.95%6.35B
-6.68%6.45B
-4.46%6.6B
-5.76%6.75B
-5.76%6.75B
Noncontrolling interests
-14.37%33.03M
-12.24%34.35M
-13.92%34.99M
-6.35%35.89M
-6.35%35.89M
-4.71%38.57M
0.60%39.15M
-19.16%40.65M
-27.00%38.32M
-27.00%38.32M
Total equity
-8.38%5.85B
-10.13%5.83B
-11.50%5.87B
-12.76%5.93B
-12.76%5.93B
-6.94%6.38B
-6.64%6.48B
-4.57%6.64B
-5.91%6.79B
-5.91%6.79B
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q3)May 31, 2024(Q2)Feb 29, 2024(Q1)Nov 30, 2023(FY)Aug 31, 2023(Q4)Aug 31, 2023(Q3)May 31, 2023(Q2)Feb 28, 2023(Q1)Nov 30, 2022(FY)Aug 31, 2022(Q4)Aug 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -2.96%958.66M32.90%935.5M34.81%1B12.60%942.82M12.60%942.82M-1.57%987.88M-47.02%703.89M-59.14%742.45M-66.58%837.3M-66.58%837.3M
-Cash and cash equivalents -6.07%367.2M-27.86%248.99M-27.90%291.67M-13.64%279.77M-13.64%279.77M-19.93%390.93M-38.64%345.13M-54.80%404.56M-62.98%323.98M-62.98%323.98M
-Including:Cash -6.07%367.2M-27.86%248.99M-27.90%291.67M-13.64%279.77M-13.64%279.77M-19.93%390.93M-38.64%345.13M-54.80%404.56M-53.97%323.98M-53.97%323.98M
-Short term investments -0.92%591.47M91.36%686.51M109.90%709.23M29.17%663.05M29.17%663.05M15.82%596.96M-53.17%358.75M-63.36%337.89M-68.51%513.32M-68.51%513.32M
Receivables -1.50%226.24M-13.27%234.91M-5.23%204.89M-28.23%180.89M-28.23%180.89M-43.62%229.69M-31.64%270.85M-37.27%216.2M-54.99%252.04M-54.99%252.04M
-Accounts receivable -1.50%226.24M-13.27%234.91M-5.23%204.89M-27.73%167.03M-27.73%167.03M-43.62%229.69M-31.64%270.85M-37.27%216.2M-57.30%231.13M-57.30%231.13M
-Gross accounts receivable -------------26.83%170.38M-26.83%170.38M-------------57.08%232.85M-57.08%232.85M
-Bad debt provision -------------94.77%-3.35M-94.77%-3.35M-------------44.66%-1.72M-44.66%-1.72M
-Other receivables -------------33.69%13.86M-33.69%13.86M------------11.70%20.9M11.70%20.9M
Inventory 6.41%351.23M-17.26%336.48M-37.15%286.98M-47.59%301.5M-47.59%301.5M-55.67%330.07M-53.76%406.7M-54.20%456.63M-49.75%575.26M-49.75%575.26M
Prepaid assets -------------16.73%65.44M-16.73%65.44M-------------22.99%78.59M-22.99%78.59M
Restricted cash -------------95.03%5.64M-95.03%5.64M------------3,398.06%113.62M3,398.06%113.62M
Tax assets-Current -45.34%7.53M-92.81%9.49M-95.33%10.17M-87.52%31.75M-87.52%31.75M-95.44%13.78M-34.59%132.04M26.27%217.52M801.29%254.32M801.29%254.32M
Hedging assets-current ----------78K--0--0-------------99.88%3K-99.88%3K
Holding assets for sale --167.07M--180.88M--111.2M--159.98M--159.98M--------------0--0
Other current assets -5.41%92.39M1.03%104.44M-14.64%96.3M--------4.10%97.67M-2.93%103.37M-8.19%112.82M--------
Total current assets 8.68%1.8B11.43%1.8B-2.01%1.71B-20.04%1.69B-20.04%1.69B-34.99%1.66B-44.49%1.62B-49.46%1.75B-51.42%2.11B-51.42%2.11B
Non current assets
Net PPE -18.56%3.82B-17.29%3.9B-14.82%4.02B-14.03%4.08B-14.03%4.08B0.85%4.69B4.99%4.72B9.69%4.72B13.83%4.75B13.83%4.75B
-Gross PP&E -18.56%3.82B-17.29%3.9B-14.82%4.02B-12.13%5.73B-12.13%5.73B0.85%4.69B4.99%4.72B9.69%4.72B14.68%6.52B14.68%6.52B
-Accumulated depreciation ------------7.03%-1.65B7.03%-1.65B-------------17.00%-1.77B-17.00%-1.77B
Investment properties 84.56%419.7M84.56%419.7M84.56%419.7M84.56%419.7M84.56%419.7M-1.94%227.4M0.00%227.4M0.00%227.4M0.00%227.4M0.00%227.4M
Biological assets -58.06%692K-50.92%723K-48.99%682K-44.70%647K-44.70%647K80.33%1.65M90.56%1.47M95.47%1.34M103.83%1.17M103.83%1.17M
Total investment -30.35%4.61M-78.11%2.05M-64.84%3.4M-59.28%3.97M-59.28%3.97M-40.80%6.61M-29.19%9.35M-24.72%9.66M-27.56%9.75M-27.56%9.75M
-Long-term equity investment -32.26%4.21M-81.52%1.66M-67.58%3M-61.76%3.58M-61.76%3.58M-42.28%6.22M-30.09%8.96M-25.50%9.27M-28.39%9.36M-28.39%9.36M
-Financial asset investment 0.00%392K0.00%392K0.00%392K0.00%392K0.00%392K0.00%392K0.00%392K0.00%392K0.00%392K0.00%392K
-Including:Financial assets designated as fair value through profit or loss, Total --392K0.00%392K0.00%392K0.00%392K0.00%392K------392K0.00%392K0.00%392K0.00%392K
Goodwill and other intangible assets -14.03%862.07M-14.01%863.01M-14.03%863.53M-14.01%864.47M-14.01%864.47M-0.34%1B-0.34%1B-0.35%1B-0.34%1.01B-0.34%1.01B
-Goodwill -------------14.03%843.14M-14.03%843.14M------------0.00%980.69M0.00%980.69M
-Other intangible assets -------------13.42%21.33M-13.42%21.33M-------------12.35%24.63M-12.35%24.63M
Deferred tax assets-non current 23.27%10.36M-65.53%4.48M-68.82%4.48M-71.20%4.58M-71.20%4.58M-45.34%8.4M-26.28%13M-8.96%14.37M-6.81%15.91M-6.81%15.91M
Total non current assets -13.81%5.12B-13.07%5.19B-11.12%5.31B-10.52%5.37B-10.52%5.37B0.36%5.94B3.70%5.98B7.35%5.97B10.46%6.01B10.46%6.01B
Total assets -8.90%6.92B-7.85%7B-9.06%7.02B-13.00%7.06B-13.00%7.06B-10.29%7.6B-12.48%7.59B-14.41%7.72B-17.03%8.12B-17.03%8.12B
Liabilities
Current liabilities
Financial liabilities -27.55%445.08M45.17%533.46M81.11%543.06M75.70%542.57M75.70%542.57M82.42%614.36M15.56%367.47M-3.89%299.86M-3.04%308.8M-3.04%308.8M
-Financial or other derivative investment liabilities --0-84.14%311K--0634.78%507K634.78%507K-90.32%9K341.67%1.96M--0-70.00%69K-70.00%69K
-Current debt and capital lease obligation -27.55%445.08M45.86%533.15M81.11%543.06M75.58%542.07M75.58%542.07M82.46%614.35M15.10%365.51M-3.62%299.86M-2.99%308.73M-2.99%308.73M
-Including:Current debt -27.82%442.84M45.52%530.18M81.01%539.99M76.52%540.36M76.52%540.36M84.02%613.54M16.08%364.33M-2.37%298.31M-2.10%306.12M-2.10%306.12M
-Including:Current capital Lease obligation 176.76%2.24M151.53%2.96M98.64%3.07M-34.48%1.71M-34.48%1.71M-75.42%809K-68.02%1.18M-72.22%1.55M-52.91%2.61M-52.91%2.61M
Payables 31.82%359.1M6.80%342.5M-9.04%302.16M-39.87%191.98M-39.87%191.98M-61.01%272.41M-56.33%320.7M-62.49%332.21M-62.44%319.28M-62.44%319.28M
-accounts payable 37.33%352.18M7.66%335.34M-7.30%294.03M-57.75%76.12M-57.75%76.12M-57.11%256.45M-53.18%311.49M-57.99%317.17M-21.08%180.14M-21.08%180.14M
-Total tax payable -56.61%6.92M-22.27%7.16M-45.94%8.13M10.82%13.04M10.82%13.04M-84.15%15.96M-86.65%9.21M-88.49%15.04M-97.39%11.77M-97.39%11.77M
-Other payable -------------19.27%102.82M-19.27%102.82M-------------25.84%127.37M-25.84%127.37M
Accrued and deferred income -9.79%93.92M-14.88%108.93M-29.64%97.95M-48.61%189.32M-48.61%189.32M-57.38%104.11M-64.21%127.98M-72.45%139.21M-64.23%368.41M-64.23%368.41M
Current liabilities -9.36%898.1M20.68%984.89M22.29%943.16M-7.29%923.87M-7.29%923.87M-22.57%990.89M-42.12%816.15M-54.71%771.27M-54.67%996.49M-54.67%996.49M
Non current liabilities
Non current financial liabilities -38.80%24.33M-70.32%24.77M-64.35%35.73M-63.28%39.78M-63.28%39.78M-67.72%39.76M-36.47%83.45M-33.11%100.24M-33.99%108.34M-33.99%108.34M
-Long term debt and capital lease obligation -38.80%24.33M-70.32%24.77M-64.35%35.73M-63.28%39.78M-63.28%39.78M-67.72%39.76M-36.47%83.45M-33.11%100.24M-33.99%108.34M-33.99%108.34M
-Including:Long term debt --0--0-87.69%10.42M-84.78%14.15M-84.78%14.15M-77.73%23.91M-41.09%67.93M-36.57%84.68M-36.33%92.96M-36.33%92.96M
-Including:Long term capital lease obligation 53.56%24.33M59.56%24.77M62.72%25.31M66.73%25.63M66.73%25.63M0.21%15.85M-3.22%15.52M-4.86%15.55M-15.20%15.37M-15.20%15.37M
Long term provisions 37.25%9.97M48.81%10.1M81.98%11.97M24.75%11.69M24.75%11.69M-15.24%7.26M-12.39%6.79M-9.50%6.58M10.93%9.37M10.93%9.37M
Non current deferred liabilities -20.27%142.12M-26.20%148.85M-24.06%153.78M-23.49%160.12M-23.49%160.12M-11.20%178.25M11.71%201.71M0.09%202.5M9.46%209.28M9.46%209.28M
Total non current liabilities -21.69%176.42M-37.07%183.72M-34.86%201.48M-35.29%211.59M-35.29%211.59M-32.24%225.27M-8.67%291.95M-13.95%309.31M-10.11%326.99M-10.11%326.99M
Total liabilities -11.65%1.07B5.46%1.17B5.93%1.14B-14.21%1.14B-14.21%1.14B-24.56%1.22B-35.93%1.11B-47.60%1.08B-48.35%1.32B-48.35%1.32B
Shareholders'equity
Share capital 0.10%1.84B0.06%1.84B0.06%1.84B0.06%1.84B0.06%1.84B0.05%1.84B0.00%1.84B0.01%1.84B0.03%1.84B0.03%1.84B
-common stock 0.10%1.84B0.06%1.84B0.06%1.84B0.06%1.84B0.06%1.84B0.05%1.84B0.00%1.84B0.01%1.84B0.03%1.84B0.03%1.84B
Retained earnings -11.03%4.09B-14.55%4.03B-16.34%4.08B-18.00%4.13B-18.00%4.13B-10.03%4.59B-7.25%4.72B-4.28%4.88B-5.63%5.04B-5.63%5.04B
Less: Treasury stock 0.00%1.41B0.00%1.41B0.00%1.41B0.00%1.41B0.00%1.41B-0.07%1.41B-0.07%1.41B-0.07%1.41B-0.07%1.41B-0.07%1.41B
Fixed asset revaluation reserve --8.79M--8.79M--8.79M--8.79M--8.79M--------------0--0
Other reserves -51.97%71.07M54.36%99.26M-16.70%95.35M112.98%88.66M112.98%88.66M32.25%147.98M-38.94%64.31M33.18%114.47M-37.93%41.63M-37.93%41.63M
Other equity interest 3.65%1.22B-0.84%1.22B4.11%1.22B-1.14%1.23B-1.14%1.23B0.00%1.18B-4.11%1.23B-9.23%1.18B-6.63%1.24B-6.63%1.24B
Total stockholders'equity -8.34%5.82B-10.12%5.79B-11.49%5.84B-12.80%5.89B-12.80%5.89B-6.95%6.35B-6.68%6.45B-4.46%6.6B-5.76%6.75B-5.76%6.75B
Noncontrolling interests -14.37%33.03M-12.24%34.35M-13.92%34.99M-6.35%35.89M-6.35%35.89M-4.71%38.57M0.60%39.15M-19.16%40.65M-27.00%38.32M-27.00%38.32M
Total equity -8.38%5.85B-10.13%5.83B-11.50%5.87B-12.76%5.93B-12.76%5.93B-6.94%6.38B-6.64%6.48B-4.57%6.64B-5.91%6.79B-5.91%6.79B
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.

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