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JKS JinkoSolar

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  • 25.280
  • -0.280-1.10%
Close Dec 27 16:00 ET
  • 25.280
  • 0.0000.00%
Post 20:01 ET
1.34BMarket Cap33.80P/E (TTM)

JinkoSolar Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(Q4)Dec 31, 2017
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
338.35%13.83B
-1,447.00%-5.8B
-27.19%430.65M
-58.07%591.49M
76.85%2.28B
129.54%1.41B
1.29B
447.02%614.55M
90.18%-177.09M
149.42%720.35M
Net income from continuing operations
312.27%6.45B
63.79%1.57B
185.03%955.57M
-63.73%335.26M
-192.35%-362.67M
127.91%924.35M
--392.73M
185.23%405.58M
-92.86%142.19M
-97.67%23.36M
Operating gains losses
-16.96%-1.13B
-211.45%-967.35M
195.50%867.98M
1,072.44%293.73M
113.77%39.61M
11.44%25.05M
---287.57M
-60.08%22.48M
104.63%56.31M
93.77%-65.42M
Depreciation and amortization
196.76%8.19B
53.13%2.76B
30.28%1.8B
41.29%1.38B
10.04%391.94M
19.78%978.95M
--356.18M
32.66%817.28M
-21.86%616.05M
26.11%185.08M
Deferred tax
-163.63%-845.4M
-22.22%-320.67M
-378.65%-262.37M
-67.71%94.16M
-66.97%94.16M
372.73%291.62M
--285.06M
-1,324.21%-106.93M
-134.05%-7.51M
-132.39%-7.51M
Other non cash items
-253.94%-18.6M
103.77%12.08M
-126.40%-320.7M
722.09%1.21B
332.77%689.05M
1,660.18%147.78M
--159.22M
116.39%8.4M
-150.92%-51.22M
-136.38%-8.48M
Change In working capital
74.28%-3.14B
-221.66%-12.23B
-21.45%-3.8B
-154.99%-3.13B
423.03%1.23B
-55.72%-1.23B
--234.46M
34.29%-788.23M
72.29%-1.2B
124.96%484.69M
-Change in receivables
70.09%-4.19B
-259.48%-14.02B
-512.37%-3.9B
571.08%945.92M
633.31%1.55B
-13,523.44%-200.8M
---291.05M
99.38%-1.47M
92.51%-236.46M
89.07%-137.59M
-Change in inventory
36.64%-3.84B
-6.22%-6.05B
-101.89%-5.7B
-1,245.30%-2.82B
-426.06%-761.52M
87.59%-209.82M
--233.55M
-1,379.95%-1.69B
94.29%-114.22M
153.88%904.01M
-Change in prepaid assets
4.90%-1.94B
-91.68%-2.04B
-350.86%-1.06B
123.64%424.41M
180.16%314.64M
-225.00%-1.8B
---392.49M
28.22%-552.35M
-758.34%-769.55M
411.20%37.66M
-Change in payables and accrued expense
28.25%8.29B
81.51%6.47B
734.38%3.56B
-14.34%427.03M
-66.24%336.77M
-54.33%498.52M
--997.53M
92.46%1.09B
-45.56%567.19M
-172.51%-196.76M
-Change in other current assets
-58.59%62.74M
139.56%151.49M
-52.14%-382.98M
66.42%-251.73M
6.22%-347.99M
-3,159.74%-749.64M
---371.08M
2,019.33%24.5M
99.64%-1.28M
270.41%22.8M
-Change in other current liabilities
196.02%21.47M
55.65%-22.37M
95.13%-50.43M
-2,008.59%-1.04B
-40.80%-21.89M
-1,128.29%-49.12M
---15.55M
---4M
--0
----
-Change in other working capital
-147.13%-1.55B
-11.79%3.29B
556.98%3.73B
-163.89%-816.94M
109.54%154.1M
271.74%1.28B
--73.54M
153.30%343.95M
-378.92%-645.26M
-119.42%-145.43M
Cash from discontinued investing activities
Operating cash flow
338.35%13.83B
-1,447.00%-5.8B
-27.19%430.65M
-58.07%591.49M
76.85%2.28B
129.54%1.41B
--1.29B
447.02%614.55M
90.18%-177.09M
149.42%720.35M
Investing cash flow
Cash flow from continuing investing activities
-23.53%-15.16B
-8.52%-12.27B
-129.92%-11.31B
18.37%-4.92B
-195.86%-2.76B
-53.13%-6.03B
-931.45M
-61.69%-3.93B
64.99%-2.43B
105.43%119.94M
Net PPE purchase and sale
-31.15%-15.18B
-34.07%-11.58B
-113.56%-8.63B
-16.41%-4.04B
-220.27%-1.85B
-50.12%-3.47B
---577.72M
8.03%-2.31B
38.42%-2.52B
-204.47%-678.07M
Net intangibles purchase and sale
-368.42%-198.68M
-31.47%-42.42M
-121.48%-32.26M
65.97%-14.57M
4,038.94%129.91M
69.82%-42.81M
---3.3M
-380.37%-141.85M
62.31%-29.53M
102.95%2.72M
Net business purchase and sale
105.15%36.4M
-124.26%-706.43M
-1,199.63%-315M
129.61%28.65M
-118.74%-13.15M
-922.77%-96.76M
--70.15M
921.74%11.76M
99.78%-1.43M
99.60%-2.86M
Net investment purchase and sale
-1,740.89%-1.25B
-120.84%-67.72M
157.02%325M
---570M
----
--0
----
-96.09%2.68M
162.92%68.62M
147.62%65.2M
Net other investing changes
992.41%1.3B
104.45%119.2M
-697.44%-2.68B
86.09%-335.67M
-7.52%-452.22M
-61.49%-2.41B
---420.58M
-3,478.91%-1.49B
102.17%44.22M
170.07%732.94M
Cash from discontinued investing activities
Investing cash flow
-23.53%-15.16B
-8.52%-12.27B
-129.92%-11.31B
18.37%-4.92B
-195.86%-2.76B
-53.13%-6.03B
---931.45M
-61.69%-3.93B
64.99%-2.43B
105.43%119.94M
Financing cash flow
Cash flow from continuing financing activities
-56.84%8.64B
66.58%20.02B
90.84%12.02B
-14.69%6.3B
32.77%2.28B
85.82%7.38B
1.72B
51.37%3.97B
-64.44%2.62B
-118.57%-491.91M
Net issuance payments of debt
-12.34%9.09B
-3.45%10.37B
324.14%10.75B
-43.63%2.53B
-181.68%-607.35M
69.59%4.49B
--743.57M
3.75%2.65B
-65.45%2.55B
-118.63%-523.3M
Net common stock issuance
---79.28M
--0
2,288.38%641.07M
-105.99%-29.29M
--325
-26.28%488.95M
--0
--663.24M
--0
----
Cash dividends paid
---559.6M
--0
--0
----
----
----
----
----
----
----
Proceeds from stock option exercised by employees
801.45%45.29M
-99.20%5.02M
450.07%631.24M
164.23%114.76M
160.44%70.63M
-503.52%-178.66M
--27.12M
-36.68%44.28M
600.72%69.93M
100.00%1
Net other financing activities
-98.54%140.58M
--9.64B
----
42.73%3.68B
196.98%2.82B
319.05%2.58B
--950M
--615M
----
----
Cash from discontinued financing activities
Financing cash flow
-56.84%8.64B
66.58%20.02B
90.84%12.02B
-14.69%6.3B
32.77%2.28B
85.82%7.38B
--1.72B
51.37%3.97B
-64.44%2.62B
-118.57%-491.91M
Net cash flow
Beginning cash position
23.89%11.27B
12.66%9.1B
28.70%8.07B
80.18%6.27B
52.55%6.4B
26.10%3.48B
--4.2B
-2.09%2.76B
-4.35%2.82B
-36.87%2.12B
Current changes in cash
275.55%7.31B
70.79%1.95B
-42.17%1.14B
-28.81%1.97B
-13.06%1.81B
324.20%2.77B
--2.08B
4,640.98%652.33M
101.00%13.76M
134.15%348.38M
Effect of exchange rate changes
272.43%848.97M
295.19%227.96M
31.00%-116.79M
-783.64%-169.26M
-14,326.38%-135.22M
-63.76%24.76M
---937.33K
194.13%68.32M
-197.25%-72.59M
-149.65%-23.74M
End cash Position
72.37%19.43B
23.89%11.27B
12.66%9.1B
28.70%8.07B
28.70%8.07B
80.18%6.27B
--6.27B
26.10%3.48B
-2.09%2.76B
-2.09%2.76B
Free cash flow
88.83%-2.02B
-119.64%-18.13B
-132.25%-8.26B
-54.13%-3.55B
-19.74%540.54M
-16.55%-2.31B
--673.46M
28.82%-1.98B
53.75%-2.78B
100.01%224.33K
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 with Explanatory Notes
Unqualified Opinion with Explanatory Notes
Unqualified Opinion with Explanatory Notes
--
Unqualified Opinion with Explanatory Notes
--
Unqualified Opinion
Unqualified Opinion
--
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(Q4)Dec 31, 2017
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 338.35%13.83B-1,447.00%-5.8B-27.19%430.65M-58.07%591.49M76.85%2.28B129.54%1.41B1.29B447.02%614.55M90.18%-177.09M149.42%720.35M
Net income from continuing operations 312.27%6.45B63.79%1.57B185.03%955.57M-63.73%335.26M-192.35%-362.67M127.91%924.35M--392.73M185.23%405.58M-92.86%142.19M-97.67%23.36M
Operating gains losses -16.96%-1.13B-211.45%-967.35M195.50%867.98M1,072.44%293.73M113.77%39.61M11.44%25.05M---287.57M-60.08%22.48M104.63%56.31M93.77%-65.42M
Depreciation and amortization 196.76%8.19B53.13%2.76B30.28%1.8B41.29%1.38B10.04%391.94M19.78%978.95M--356.18M32.66%817.28M-21.86%616.05M26.11%185.08M
Deferred tax -163.63%-845.4M-22.22%-320.67M-378.65%-262.37M-67.71%94.16M-66.97%94.16M372.73%291.62M--285.06M-1,324.21%-106.93M-134.05%-7.51M-132.39%-7.51M
Other non cash items -253.94%-18.6M103.77%12.08M-126.40%-320.7M722.09%1.21B332.77%689.05M1,660.18%147.78M--159.22M116.39%8.4M-150.92%-51.22M-136.38%-8.48M
Change In working capital 74.28%-3.14B-221.66%-12.23B-21.45%-3.8B-154.99%-3.13B423.03%1.23B-55.72%-1.23B--234.46M34.29%-788.23M72.29%-1.2B124.96%484.69M
-Change in receivables 70.09%-4.19B-259.48%-14.02B-512.37%-3.9B571.08%945.92M633.31%1.55B-13,523.44%-200.8M---291.05M99.38%-1.47M92.51%-236.46M89.07%-137.59M
-Change in inventory 36.64%-3.84B-6.22%-6.05B-101.89%-5.7B-1,245.30%-2.82B-426.06%-761.52M87.59%-209.82M--233.55M-1,379.95%-1.69B94.29%-114.22M153.88%904.01M
-Change in prepaid assets 4.90%-1.94B-91.68%-2.04B-350.86%-1.06B123.64%424.41M180.16%314.64M-225.00%-1.8B---392.49M28.22%-552.35M-758.34%-769.55M411.20%37.66M
-Change in payables and accrued expense 28.25%8.29B81.51%6.47B734.38%3.56B-14.34%427.03M-66.24%336.77M-54.33%498.52M--997.53M92.46%1.09B-45.56%567.19M-172.51%-196.76M
-Change in other current assets -58.59%62.74M139.56%151.49M-52.14%-382.98M66.42%-251.73M6.22%-347.99M-3,159.74%-749.64M---371.08M2,019.33%24.5M99.64%-1.28M270.41%22.8M
-Change in other current liabilities 196.02%21.47M55.65%-22.37M95.13%-50.43M-2,008.59%-1.04B-40.80%-21.89M-1,128.29%-49.12M---15.55M---4M--0----
-Change in other working capital -147.13%-1.55B-11.79%3.29B556.98%3.73B-163.89%-816.94M109.54%154.1M271.74%1.28B--73.54M153.30%343.95M-378.92%-645.26M-119.42%-145.43M
Cash from discontinued investing activities
Operating cash flow 338.35%13.83B-1,447.00%-5.8B-27.19%430.65M-58.07%591.49M76.85%2.28B129.54%1.41B--1.29B447.02%614.55M90.18%-177.09M149.42%720.35M
Investing cash flow
Cash flow from continuing investing activities -23.53%-15.16B-8.52%-12.27B-129.92%-11.31B18.37%-4.92B-195.86%-2.76B-53.13%-6.03B-931.45M-61.69%-3.93B64.99%-2.43B105.43%119.94M
Net PPE purchase and sale -31.15%-15.18B-34.07%-11.58B-113.56%-8.63B-16.41%-4.04B-220.27%-1.85B-50.12%-3.47B---577.72M8.03%-2.31B38.42%-2.52B-204.47%-678.07M
Net intangibles purchase and sale -368.42%-198.68M-31.47%-42.42M-121.48%-32.26M65.97%-14.57M4,038.94%129.91M69.82%-42.81M---3.3M-380.37%-141.85M62.31%-29.53M102.95%2.72M
Net business purchase and sale 105.15%36.4M-124.26%-706.43M-1,199.63%-315M129.61%28.65M-118.74%-13.15M-922.77%-96.76M--70.15M921.74%11.76M99.78%-1.43M99.60%-2.86M
Net investment purchase and sale -1,740.89%-1.25B-120.84%-67.72M157.02%325M---570M------0-----96.09%2.68M162.92%68.62M147.62%65.2M
Net other investing changes 992.41%1.3B104.45%119.2M-697.44%-2.68B86.09%-335.67M-7.52%-452.22M-61.49%-2.41B---420.58M-3,478.91%-1.49B102.17%44.22M170.07%732.94M
Cash from discontinued investing activities
Investing cash flow -23.53%-15.16B-8.52%-12.27B-129.92%-11.31B18.37%-4.92B-195.86%-2.76B-53.13%-6.03B---931.45M-61.69%-3.93B64.99%-2.43B105.43%119.94M
Financing cash flow
Cash flow from continuing financing activities -56.84%8.64B66.58%20.02B90.84%12.02B-14.69%6.3B32.77%2.28B85.82%7.38B1.72B51.37%3.97B-64.44%2.62B-118.57%-491.91M
Net issuance payments of debt -12.34%9.09B-3.45%10.37B324.14%10.75B-43.63%2.53B-181.68%-607.35M69.59%4.49B--743.57M3.75%2.65B-65.45%2.55B-118.63%-523.3M
Net common stock issuance ---79.28M--02,288.38%641.07M-105.99%-29.29M--325-26.28%488.95M--0--663.24M--0----
Cash dividends paid ---559.6M--0--0----------------------------
Proceeds from stock option exercised by employees 801.45%45.29M-99.20%5.02M450.07%631.24M164.23%114.76M160.44%70.63M-503.52%-178.66M--27.12M-36.68%44.28M600.72%69.93M100.00%1
Net other financing activities -98.54%140.58M--9.64B----42.73%3.68B196.98%2.82B319.05%2.58B--950M--615M--------
Cash from discontinued financing activities
Financing cash flow -56.84%8.64B66.58%20.02B90.84%12.02B-14.69%6.3B32.77%2.28B85.82%7.38B--1.72B51.37%3.97B-64.44%2.62B-118.57%-491.91M
Net cash flow
Beginning cash position 23.89%11.27B12.66%9.1B28.70%8.07B80.18%6.27B52.55%6.4B26.10%3.48B--4.2B-2.09%2.76B-4.35%2.82B-36.87%2.12B
Current changes in cash 275.55%7.31B70.79%1.95B-42.17%1.14B-28.81%1.97B-13.06%1.81B324.20%2.77B--2.08B4,640.98%652.33M101.00%13.76M134.15%348.38M
Effect of exchange rate changes 272.43%848.97M295.19%227.96M31.00%-116.79M-783.64%-169.26M-14,326.38%-135.22M-63.76%24.76M---937.33K194.13%68.32M-197.25%-72.59M-149.65%-23.74M
End cash Position 72.37%19.43B23.89%11.27B12.66%9.1B28.70%8.07B28.70%8.07B80.18%6.27B--6.27B26.10%3.48B-2.09%2.76B-2.09%2.76B
Free cash flow 88.83%-2.02B-119.64%-18.13B-132.25%-8.26B-54.13%-3.55B-19.74%540.54M-16.55%-2.31B--673.46M28.82%-1.98B53.75%-2.78B100.01%224.33K
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory NotesUnqualified Opinion with Explanatory Notes--Unqualified Opinion with Explanatory Notes--Unqualified OpinionUnqualified Opinion--
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