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CHNR China Natural Resources

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  • 0.6415
  • -0.0095-1.46%
Close Nov 12 16:00 ET
  • 0.6430
  • +0.0015+0.23%
Post 18:05 ET
6.33MMarket Cap-2753P/E (TTM)

China Natural Resources Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments
-85.46%4.75M
-85.46%4.75M
-36.03%33.21M
-44.92%32.7M
-44.92%32.7M
-62.19%51.92M
-70.36%59.36M
--59.36M
4,456.72%137.29M
237.14%200.25M
-Cash and cash equivalents
-85.00%4.75M
-85.00%4.75M
-36.74%32.21M
-45.69%31.7M
-45.69%31.7M
56.48%50.92M
3.14%58.36M
--58.36M
979.92%32.54M
-4.74%56.58M
-Short-term investments
--0
--0
0.00%1M
0.00%1M
0.00%1M
-99.05%1M
-99.30%1M
--1M
--104.76M
--143.67M
Receivables
-100.00%3K
-100.00%3K
2.40%160.79M
12.18%157.61M
12.18%157.61M
402,538.46%157.03M
-16.54%140.5M
--140.5M
-93.84%39K
-16.64%168.35M
-Accounts receivable
--0
--0
29.04%56.27M
12.60%46.76M
12.60%46.76M
--43.61M
39.86%41.53M
--41.53M
----
-53.89%29.69M
-Loans receivable
--0
--0
0.00%87.2M
0.00%83.6M
0.00%83.6M
--87.2M
--83.6M
--83.6M
----
--0
-Notes receivable
--0
--0
-21.37%9.2M
--8.5M
--8.5M
--11.7M
--0
--0
----
--80K
-Related party accounts receivable
----
----
----
----
----
----
----
----
----
0.17%123.89M
-Other receivables
-99.98%3K
-99.98%3K
-44.10%8.12M
21.99%18.75M
21.99%18.75M
37,130.77%14.52M
4.69%15.37M
--15.37M
550.00%39K
5.72%14.68M
Inventory
--0
--0
-23.75%912K
-26.06%729K
-26.06%729K
--1.2M
17.66%986K
--986K
----
31.55%838K
Prepaid assets
-59.33%1.12M
-59.33%1.12M
-30.48%2.6M
-27.32%2.76M
-27.32%2.76M
6,133.33%3.74M
74.29%3.8M
--3.8M
-41.18%60K
175.70%2.18M
Other current assets
----
----
-6.94%3.17M
-36.06%3.16M
-36.06%3.16M
--3.4M
-26.75%4.94M
--4.94M
----
8.07%6.75M
Total current assets
-97.02%5.88M
-97.02%5.88M
-7.64%200.68M
-6.02%196.96M
-6.02%196.96M
58.15%217.28M
-44.61%209.58M
--209.58M
3,565.77%137.39M
40.65%378.37M
Non current assets
Net PPE
-88.32%399K
-88.32%399K
19.40%2.65M
11.45%3.42M
11.45%3.42M
163.27%2.22M
-35.63%3.07M
--3.07M
273.45%844K
79.46%4.76M
-Gross PPE
-72.81%2M
-72.81%2M
-55.74%2.65M
8.10%7.34M
8.10%7.34M
214.32%5.99M
-15.83%6.79M
--6.79M
47.71%1.91M
45.00%8.07M
-Accumulated depreciation
59.30%-1.6M
59.30%-1.6M
----
-5.35%-3.92M
-5.35%-3.92M
-254.84%-3.77M
-12.72%-3.72M
---3.72M
0.19%-1.06M
-13.55%-3.3M
Goodwill and other intangible assets
--0
--0
-4.03%18.99M
-4.00%19.38M
-4.00%19.38M
--19.79M
3,039.81%20.19M
--20.19M
----
-19.52%643K
-Other intangible assets
----
----
----
-4.00%19.38M
-4.00%19.38M
--19.79M
3,039.81%20.19M
--20.19M
----
-19.52%643K
Non current accounts receivable
----
----
-5.17%93.8M
-0.30%100.23M
-0.30%100.23M
--98.91M
-29.87%100.54M
--100.54M
----
20.12%143.37M
Related parties assets
----
----
----
----
----
----
----
----
----
0.17%123.89M
Non current deferred assets
----
----
----
----
----
--537K
-97.74%66K
--66K
----
-6.77%2.92M
Non current prepaid assets
--247.42M
--247.42M
--252.72M
--0
--0
----
----
----
----
----
Other non current assets
2,650.00%110K
2,650.00%110K
1,000.00%22K
-60.00%4K
-60.00%4K
-77.78%2K
--10K
--10K
--9K
----
Total non current assets
101.51%247.93M
101.51%247.93M
203.14%368.18M
-0.67%123.04M
-0.67%123.04M
14,138.45%121.45M
-18.34%123.87M
--123.87M
277.43%853K
20.45%151.69M
Total assets
-20.68%253.81M
-20.68%253.81M
67.93%568.85M
-4.04%319.99M
-4.04%319.99M
145.02%338.74M
-37.09%333.45M
--333.45M
3,378.76%138.25M
34.20%530.06M
Liabilities
Current liabilities
Payables
249.45%169.43M
249.45%169.43M
293.81%232.95M
-17.11%48.49M
-17.11%48.49M
193.12%59.15M
-56.90%58.5M
--58.5M
-19.75%20.18M
-31.16%135.73M
-accounts payable
-99.51%100K
-99.51%100K
20.88%21.53M
-3.75%20.33M
-3.75%20.33M
17,710.00%17.81M
-26.22%21.12M
--21.12M
-85.92%100K
-59.64%28.62M
-Total tax payable
-99.99%2K
-99.99%2K
26.09%20.45M
37.12%17.23M
37.12%17.23M
--16.22M
-38.20%12.56M
--12.56M
--0
-15.85%20.33M
-Dividends payable
----
----
----
----
----
--5.05M
--5.05M
--5.05M
----
--0
-Due to related parties current
797.09%94.74M
797.09%94.74M
849.15%190.17M
-46.55%10.56M
-46.55%10.56M
2.00%20.04M
-77.18%19.76M
--19.76M
43.55%19.64M
5.10%86.61M
-Other payable
20,004.58%74.59M
20,004.58%74.59M
1,800.00%798K
5,200.00%371K
5,200.00%371K
-90.39%42K
-95.98%7K
--7K
-19.96%437K
-99.12%174K
Current accrued expenses
-17.25%7.9M
-17.25%7.9M
984.15%86.2M
15.42%9.55M
15.42%9.55M
154.03%7.95M
17.51%8.28M
--8.28M
-10.85%3.13M
--7.04M
Current provisions
----
----
----
--494K
--494K
--808K
----
----
----
----
Current debt and capital lease obligation
-91.66%360K
-91.66%360K
33.10%4.81M
8.44%4.32M
8.44%4.32M
390.23%3.61M
-9.15%3.98M
--3.98M
154.14%737K
253.96%4.38M
-Current debt
----
----
16.67%3.5M
0.00%3M
0.00%3M
--3M
0.00%3M
--3M
----
--3M
-Current capital lease obligation
-72.67%360K
-72.67%360K
113.54%1.31M
34.25%1.32M
34.25%1.32M
-16.82%613K
-29.02%981K
--981K
154.14%737K
11.63%1.38M
Current deferred liabilities
-88.34%116K
-88.34%116K
-50.86%995K
-16.74%995K
-16.74%995K
--2.03M
-20.55%1.2M
--1.2M
----
117.97%1.5M
Other current liabilities
----
----
-71.61%958K
-51.81%824K
-51.81%824K
-57.86%3.37M
--1.71M
--1.71M
--8.01M
----
Current liabilities
174.96%177.81M
174.96%177.81M
323.68%325.91M
-12.21%64.67M
-12.21%64.67M
139.98%76.92M
-50.45%73.66M
--73.66M
10.73%32.05M
-25.34%148.66M
Non current liabilities
Long term debt and capital lease obligation
--0
--0
-4.71%70.07M
-3.47%72.6M
-3.47%72.6M
--73.53M
-5.00%75.21M
--75.21M
--0
163.89%79.17M
-Long term debt
----
----
-4.83%69M
-4.05%71M
-4.05%71M
--72.5M
-3.90%74M
--74M
----
156.67%77M
-Long term capital lease obligation
--0
--0
3.87%1.07M
32.28%1.6M
32.28%1.6M
--1.03M
-44.28%1.21M
--1.21M
--0
--2.17M
Non current deferred liabilities
--0
--0
188.71%5.27M
107.39%5.28M
107.39%5.28M
-60.56%1.82M
-75.60%2.54M
--2.54M
--4.63M
6,850.67%10.43M
Total non current liabilities
--0
--0
-0.02%75.34M
0.16%77.87M
0.16%77.87M
1,529.34%75.36M
-13.22%77.75M
--77.75M
--4.63M
197.16%89.59M
Total liabilities
24.74%177.81M
24.74%177.81M
163.49%401.25M
-5.86%142.54M
-5.86%142.54M
315.17%152.28M
-36.45%151.41M
--151.41M
26.71%36.68M
3.92%238.26M
Shareholders'equity
Share capital
0.00%450.78M
0.00%450.78M
0.00%450.78M
0.00%450.78M
0.00%450.78M
6.82%450.78M
7.56%450.78M
--450.78M
35.22%421.99M
22.95%419.09M
-common stock
0.00%450.78M
0.00%450.78M
0.00%450.78M
0.00%450.78M
0.00%450.78M
6.82%450.78M
7.56%450.78M
--450.78M
35.22%421.99M
22.95%419.09M
Retained earnings
-1.25%-1.12B
-1.25%-1.12B
-3.45%-1.12B
-2.27%-1.11B
-2.27%-1.11B
-5.15%-1.08B
-5.16%-1.08B
---1.08B
-0.38%-1.03B
2.31%-1.03B
Gains losses not affecting retained earnings
3.04%748.06M
3.04%748.06M
2.34%725.62M
2.50%726M
2.50%726M
0.00%709.03M
-9.75%708.29M
--708.29M
2.98%709.03M
3.28%784.82M
Total stockholders'equity
12.14%76M
12.14%76M
-26.79%56.65M
-9.26%67.77M
-9.26%67.77M
-23.82%77.38M
-56.76%74.68M
--74.68M
506.71%101.57M
282.02%172.73M
Noncontrolling interests
--0
--0
1.73%110.96M
2.17%109.68M
2.17%109.68M
--109.08M
-9.84%107.35M
--107.35M
----
-1.17%119.07M
Total equity
-57.17%76M
-57.17%76M
-10.11%167.61M
-2.52%177.45M
-2.52%177.45M
83.58%186.46M
-37.62%182.04M
--182.04M
506.71%101.57M
76.10%291.8M
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion with Explanatory Notes
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021(FY)Dec 31, 2020
Assets
Current assets
Cash, cash equivalents and short term investments -85.46%4.75M-85.46%4.75M-36.03%33.21M-44.92%32.7M-44.92%32.7M-62.19%51.92M-70.36%59.36M--59.36M4,456.72%137.29M237.14%200.25M
-Cash and cash equivalents -85.00%4.75M-85.00%4.75M-36.74%32.21M-45.69%31.7M-45.69%31.7M56.48%50.92M3.14%58.36M--58.36M979.92%32.54M-4.74%56.58M
-Short-term investments --0--00.00%1M0.00%1M0.00%1M-99.05%1M-99.30%1M--1M--104.76M--143.67M
Receivables -100.00%3K-100.00%3K2.40%160.79M12.18%157.61M12.18%157.61M402,538.46%157.03M-16.54%140.5M--140.5M-93.84%39K-16.64%168.35M
-Accounts receivable --0--029.04%56.27M12.60%46.76M12.60%46.76M--43.61M39.86%41.53M--41.53M-----53.89%29.69M
-Loans receivable --0--00.00%87.2M0.00%83.6M0.00%83.6M--87.2M--83.6M--83.6M------0
-Notes receivable --0--0-21.37%9.2M--8.5M--8.5M--11.7M--0--0------80K
-Related party accounts receivable ------------------------------------0.17%123.89M
-Other receivables -99.98%3K-99.98%3K-44.10%8.12M21.99%18.75M21.99%18.75M37,130.77%14.52M4.69%15.37M--15.37M550.00%39K5.72%14.68M
Inventory --0--0-23.75%912K-26.06%729K-26.06%729K--1.2M17.66%986K--986K----31.55%838K
Prepaid assets -59.33%1.12M-59.33%1.12M-30.48%2.6M-27.32%2.76M-27.32%2.76M6,133.33%3.74M74.29%3.8M--3.8M-41.18%60K175.70%2.18M
Other current assets ---------6.94%3.17M-36.06%3.16M-36.06%3.16M--3.4M-26.75%4.94M--4.94M----8.07%6.75M
Total current assets -97.02%5.88M-97.02%5.88M-7.64%200.68M-6.02%196.96M-6.02%196.96M58.15%217.28M-44.61%209.58M--209.58M3,565.77%137.39M40.65%378.37M
Non current assets
Net PPE -88.32%399K-88.32%399K19.40%2.65M11.45%3.42M11.45%3.42M163.27%2.22M-35.63%3.07M--3.07M273.45%844K79.46%4.76M
-Gross PPE -72.81%2M-72.81%2M-55.74%2.65M8.10%7.34M8.10%7.34M214.32%5.99M-15.83%6.79M--6.79M47.71%1.91M45.00%8.07M
-Accumulated depreciation 59.30%-1.6M59.30%-1.6M-----5.35%-3.92M-5.35%-3.92M-254.84%-3.77M-12.72%-3.72M---3.72M0.19%-1.06M-13.55%-3.3M
Goodwill and other intangible assets --0--0-4.03%18.99M-4.00%19.38M-4.00%19.38M--19.79M3,039.81%20.19M--20.19M-----19.52%643K
-Other intangible assets -------------4.00%19.38M-4.00%19.38M--19.79M3,039.81%20.19M--20.19M-----19.52%643K
Non current accounts receivable ---------5.17%93.8M-0.30%100.23M-0.30%100.23M--98.91M-29.87%100.54M--100.54M----20.12%143.37M
Related parties assets ------------------------------------0.17%123.89M
Non current deferred assets ----------------------537K-97.74%66K--66K-----6.77%2.92M
Non current prepaid assets --247.42M--247.42M--252.72M--0--0--------------------
Other non current assets 2,650.00%110K2,650.00%110K1,000.00%22K-60.00%4K-60.00%4K-77.78%2K--10K--10K--9K----
Total non current assets 101.51%247.93M101.51%247.93M203.14%368.18M-0.67%123.04M-0.67%123.04M14,138.45%121.45M-18.34%123.87M--123.87M277.43%853K20.45%151.69M
Total assets -20.68%253.81M-20.68%253.81M67.93%568.85M-4.04%319.99M-4.04%319.99M145.02%338.74M-37.09%333.45M--333.45M3,378.76%138.25M34.20%530.06M
Liabilities
Current liabilities
Payables 249.45%169.43M249.45%169.43M293.81%232.95M-17.11%48.49M-17.11%48.49M193.12%59.15M-56.90%58.5M--58.5M-19.75%20.18M-31.16%135.73M
-accounts payable -99.51%100K-99.51%100K20.88%21.53M-3.75%20.33M-3.75%20.33M17,710.00%17.81M-26.22%21.12M--21.12M-85.92%100K-59.64%28.62M
-Total tax payable -99.99%2K-99.99%2K26.09%20.45M37.12%17.23M37.12%17.23M--16.22M-38.20%12.56M--12.56M--0-15.85%20.33M
-Dividends payable ----------------------5.05M--5.05M--5.05M------0
-Due to related parties current 797.09%94.74M797.09%94.74M849.15%190.17M-46.55%10.56M-46.55%10.56M2.00%20.04M-77.18%19.76M--19.76M43.55%19.64M5.10%86.61M
-Other payable 20,004.58%74.59M20,004.58%74.59M1,800.00%798K5,200.00%371K5,200.00%371K-90.39%42K-95.98%7K--7K-19.96%437K-99.12%174K
Current accrued expenses -17.25%7.9M-17.25%7.9M984.15%86.2M15.42%9.55M15.42%9.55M154.03%7.95M17.51%8.28M--8.28M-10.85%3.13M--7.04M
Current provisions --------------494K--494K--808K----------------
Current debt and capital lease obligation -91.66%360K-91.66%360K33.10%4.81M8.44%4.32M8.44%4.32M390.23%3.61M-9.15%3.98M--3.98M154.14%737K253.96%4.38M
-Current debt --------16.67%3.5M0.00%3M0.00%3M--3M0.00%3M--3M------3M
-Current capital lease obligation -72.67%360K-72.67%360K113.54%1.31M34.25%1.32M34.25%1.32M-16.82%613K-29.02%981K--981K154.14%737K11.63%1.38M
Current deferred liabilities -88.34%116K-88.34%116K-50.86%995K-16.74%995K-16.74%995K--2.03M-20.55%1.2M--1.2M----117.97%1.5M
Other current liabilities ---------71.61%958K-51.81%824K-51.81%824K-57.86%3.37M--1.71M--1.71M--8.01M----
Current liabilities 174.96%177.81M174.96%177.81M323.68%325.91M-12.21%64.67M-12.21%64.67M139.98%76.92M-50.45%73.66M--73.66M10.73%32.05M-25.34%148.66M
Non current liabilities
Long term debt and capital lease obligation --0--0-4.71%70.07M-3.47%72.6M-3.47%72.6M--73.53M-5.00%75.21M--75.21M--0163.89%79.17M
-Long term debt ---------4.83%69M-4.05%71M-4.05%71M--72.5M-3.90%74M--74M----156.67%77M
-Long term capital lease obligation --0--03.87%1.07M32.28%1.6M32.28%1.6M--1.03M-44.28%1.21M--1.21M--0--2.17M
Non current deferred liabilities --0--0188.71%5.27M107.39%5.28M107.39%5.28M-60.56%1.82M-75.60%2.54M--2.54M--4.63M6,850.67%10.43M
Total non current liabilities --0--0-0.02%75.34M0.16%77.87M0.16%77.87M1,529.34%75.36M-13.22%77.75M--77.75M--4.63M197.16%89.59M
Total liabilities 24.74%177.81M24.74%177.81M163.49%401.25M-5.86%142.54M-5.86%142.54M315.17%152.28M-36.45%151.41M--151.41M26.71%36.68M3.92%238.26M
Shareholders'equity
Share capital 0.00%450.78M0.00%450.78M0.00%450.78M0.00%450.78M0.00%450.78M6.82%450.78M7.56%450.78M--450.78M35.22%421.99M22.95%419.09M
-common stock 0.00%450.78M0.00%450.78M0.00%450.78M0.00%450.78M0.00%450.78M6.82%450.78M7.56%450.78M--450.78M35.22%421.99M22.95%419.09M
Retained earnings -1.25%-1.12B-1.25%-1.12B-3.45%-1.12B-2.27%-1.11B-2.27%-1.11B-5.15%-1.08B-5.16%-1.08B---1.08B-0.38%-1.03B2.31%-1.03B
Gains losses not affecting retained earnings 3.04%748.06M3.04%748.06M2.34%725.62M2.50%726M2.50%726M0.00%709.03M-9.75%708.29M--708.29M2.98%709.03M3.28%784.82M
Total stockholders'equity 12.14%76M12.14%76M-26.79%56.65M-9.26%67.77M-9.26%67.77M-23.82%77.38M-56.76%74.68M--74.68M506.71%101.57M282.02%172.73M
Noncontrolling interests --0--01.73%110.96M2.17%109.68M2.17%109.68M--109.08M-9.84%107.35M--107.35M-----1.17%119.07M
Total equity -57.17%76M-57.17%76M-10.11%167.61M-2.52%177.45M-2.52%177.45M83.58%186.46M-37.62%182.04M--182.04M506.71%101.57M76.10%291.8M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion----Unqualified Opinion----Unqualified Opinion with Explanatory Notes----Unqualified Opinion with Explanatory Notes

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