US Stock MarketDetailed Quotes

LGFRY LONGFOR GROUP HLDG

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  • 17.250
  • -0.150-0.86%
15min DelayClose Nov 6 16:00 ET
11.56BMarket Cap7.51P/E (TTM)

LONGFOR GROUP HLDG 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
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(FY)Dec 31, 2017
(FY)Dec 31, 2016
(FY)Dec 31, 2015
(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations
-46.03%24.73B
-3.79%45.82B
2.71%47.63B
0.89%46.37B
22.62%45.96B
41.16%37.48B
66.41%26.55B
14.48%15.96B
2.29%13.94B
3.09%13.63B
Other non cash items
126.51%67.86M
6.73%-255.93M
-3,255.80%-274.4M
115.48%8.7M
88.71%-56.16M
-84.23%-497.62M
-206.99%-270.12M
54.86%-87.99M
-57.96%-194.91M
-61.08%-123.39M
Change In working capital
240.29%23.12B
-520.31%-16.48B
-62.39%3.92B
39.66%10.42B
-81.65%7.46B
-31.01%40.66B
151.61%58.94B
259.89%23.42B
-41.29%6.51B
65.33%11.09B
-Change in receivables
-83.68%373.28M
138.99%2.29B
-122.62%-5.87B
49.90%-2.64B
17.81%-5.26B
-92.44%-6.4B
41.27%-3.33B
-177.44%-5.66B
-69.07%-2.04B
-392.40%-1.21B
-Change in inventory
-24.91%62.77B
1,001.25%83.59B
56.81%-9.27B
23.42%-21.47B
-215.22%-28.04B
111.28%24.33B
-42.16%11.52B
33.00%19.91B
5.20%14.97B
533.30%14.23B
-Change in prepaid assets
0.88%-562.87M
91.27%-567.87M
47.33%-6.51B
24.98%-12.35B
-12.17%-16.47B
---14.68B
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-Change in other current assets
75.30%-16.52B
-646.12%-66.9B
-55.01%12.25B
-34.72%27.23B
109.07%41.72B
-53.28%19.95B
364.14%42.71B
--9.2B
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Cash from discontinued investing activities
Operating cash flow
231.36%33.01B
-65.09%9.96B
-22.32%28.53B
7.16%36.73B
-45.76%34.28B
-11.43%63.19B
118.36%71.35B
132.04%32.67B
-24.19%14.08B
44.45%18.57B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale
28.80%-109.72M
70.52%-154.11M
72.20%-522.86M
-953.75%-1.88B
99.71%-178.47M
24.06%-61.6B
-133.48%-81.11B
-139.52%-34.74B
18.23%-14.5B
-15.22%-17.74B
Net intangibles purchase and sale
-364.47%-17.06M
89.52%-3.67M
-115.84%-35.03M
---16.23M
--0
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Net business purchase and sale
76.01%-1.18B
65.71%-4.91B
-100.52%-14.32B
-25.78%-7.14B
32.63%-5.68B
10.21%-8.43B
-158.95%-9.39B
-12,515.09%-3.63B
93.53%-28.74M
39.11%-443.85M
Net investment purchase and sale
158.88%32.93M
81.64%-55.93M
74.72%-304.65M
-6.10%-1.21B
-396.42%-1.14B
-983.86%-228.83M
57.00%-21.11M
59.86%-49.1M
---122.32M
--0
Net other investing changes
-578.98%-669.44M
-125.18%-98.6M
160.02%391.5M
-6,009.58%-652.3M
117.97%11.04M
-182.33%-61.41M
-115.22%-21.75M
8,040.38%142.95M
-94.96%1.76M
170.11%34.85M
Cash from discontinued investing activities
Investing cash flow
6.45%-11.61B
74.53%-12.41B
-17.70%-48.73B
-17.48%-41.4B
65.20%-35.24B
8.68%-101.28B
-176.45%-110.9B
-127.52%-40.12B
25.90%-17.63B
-32.58%-23.8B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt
-227.36%-14.07B
-57.85%11.05B
7.18%26.21B
-4.12%24.45B
-37.11%25.5B
129.66%40.55B
296.27%17.66B
34.22%4.46B
-65.61%3.32B
87.15%9.65B
Net common stock issuance
80.38%-311.14M
-40.10%-1.59B
-604.08%-1.13B
34.28%-160.8M
-89.34%-244.67M
-146.68%-129.22M
152.58%276.81M
-482.34%-526.49M
1,889.60%137.7M
-80.56%6.92M
Cash dividends paid
68.03%-1.76B
36.43%-5.51B
-20.75%-8.67B
-21.84%-7.18B
-31.29%-5.89B
-63.88%-4.49B
-31.48%-2.74B
-25.93%-2.08B
-33.34%-1.65B
-14.61%-1.24B
Net other financing activities
-5.27%-7.3B
-127.94%-6.94B
86.35%24.83B
129.99%13.32B
-77.16%5.79B
-31.34%25.37B
377.21%36.95B
112.59%7.74B
5.57%3.64B
935.68%3.45B
Cash from discontinued financing activities
Financing cash flow
-152.74%-34.27B
-143.32%-13.56B
49.77%31.3B
25.38%20.9B
-70.52%16.67B
15.51%56.53B
621.67%48.94B
153.43%6.78B
-72.17%2.68B
739.61%9.62B
Net cash flow
Beginning cash position
-18.17%72.1B
14.41%88.1B
26.69%77.01B
34.82%60.78B
69.22%45.08B
54.37%26.64B
-3.69%17.26B
-4.65%17.92B
30.52%18.79B
-21.67%14.4B
Current changes in cash
19.60%-12.87B
-244.24%-16.01B
-31.59%11.1B
3.34%16.22B
-14.87%15.7B
96.51%18.44B
1,518.47%9.38B
24.38%-661.56M
-119.90%-874.82M
211.42%4.4B
End cash Position
-17.85%59.22B
-18.17%72.1B
14.41%88.1B
26.69%77.01B
34.82%60.78B
69.22%45.08B
54.37%26.64B
-3.69%17.26B
-4.65%17.92B
30.52%18.79B
Free cash flow
233.08%32.14B
-65.49%9.65B
-19.59%27.96B
2.05%34.78B
2,041.11%34.08B
116.29%1.59B
-367.62%-9.77B
-376.06%-2.09B
-153.42%-438.91M
131.93%821.61M
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
Audit Opinions
Unqualified Opinion with Explanatory Notes
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(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(FY)Dec 31, 2017(FY)Dec 31, 2016(FY)Dec 31, 2015(FY)Dec 31, 2014
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
Net income from continuing operations -46.03%24.73B-3.79%45.82B2.71%47.63B0.89%46.37B22.62%45.96B41.16%37.48B66.41%26.55B14.48%15.96B2.29%13.94B3.09%13.63B
Other non cash items 126.51%67.86M6.73%-255.93M-3,255.80%-274.4M115.48%8.7M88.71%-56.16M-84.23%-497.62M-206.99%-270.12M54.86%-87.99M-57.96%-194.91M-61.08%-123.39M
Change In working capital 240.29%23.12B-520.31%-16.48B-62.39%3.92B39.66%10.42B-81.65%7.46B-31.01%40.66B151.61%58.94B259.89%23.42B-41.29%6.51B65.33%11.09B
-Change in receivables -83.68%373.28M138.99%2.29B-122.62%-5.87B49.90%-2.64B17.81%-5.26B-92.44%-6.4B41.27%-3.33B-177.44%-5.66B-69.07%-2.04B-392.40%-1.21B
-Change in inventory -24.91%62.77B1,001.25%83.59B56.81%-9.27B23.42%-21.47B-215.22%-28.04B111.28%24.33B-42.16%11.52B33.00%19.91B5.20%14.97B533.30%14.23B
-Change in prepaid assets 0.88%-562.87M91.27%-567.87M47.33%-6.51B24.98%-12.35B-12.17%-16.47B---14.68B----------------
-Change in other current assets 75.30%-16.52B-646.12%-66.9B-55.01%12.25B-34.72%27.23B109.07%41.72B-53.28%19.95B364.14%42.71B--9.2B--------
Cash from discontinued investing activities
Operating cash flow 231.36%33.01B-65.09%9.96B-22.32%28.53B7.16%36.73B-45.76%34.28B-11.43%63.19B118.36%71.35B132.04%32.67B-24.19%14.08B44.45%18.57B
Investing cash flow
Cash flow from continuing investing activities
Net PPE purchase and sale 28.80%-109.72M70.52%-154.11M72.20%-522.86M-953.75%-1.88B99.71%-178.47M24.06%-61.6B-133.48%-81.11B-139.52%-34.74B18.23%-14.5B-15.22%-17.74B
Net intangibles purchase and sale -364.47%-17.06M89.52%-3.67M-115.84%-35.03M---16.23M--0--------------------
Net business purchase and sale 76.01%-1.18B65.71%-4.91B-100.52%-14.32B-25.78%-7.14B32.63%-5.68B10.21%-8.43B-158.95%-9.39B-12,515.09%-3.63B93.53%-28.74M39.11%-443.85M
Net investment purchase and sale 158.88%32.93M81.64%-55.93M74.72%-304.65M-6.10%-1.21B-396.42%-1.14B-983.86%-228.83M57.00%-21.11M59.86%-49.1M---122.32M--0
Net other investing changes -578.98%-669.44M-125.18%-98.6M160.02%391.5M-6,009.58%-652.3M117.97%11.04M-182.33%-61.41M-115.22%-21.75M8,040.38%142.95M-94.96%1.76M170.11%34.85M
Cash from discontinued investing activities
Investing cash flow 6.45%-11.61B74.53%-12.41B-17.70%-48.73B-17.48%-41.4B65.20%-35.24B8.68%-101.28B-176.45%-110.9B-127.52%-40.12B25.90%-17.63B-32.58%-23.8B
Financing cash flow
Cash flow from continuing financing activities
Net issuance payments of debt -227.36%-14.07B-57.85%11.05B7.18%26.21B-4.12%24.45B-37.11%25.5B129.66%40.55B296.27%17.66B34.22%4.46B-65.61%3.32B87.15%9.65B
Net common stock issuance 80.38%-311.14M-40.10%-1.59B-604.08%-1.13B34.28%-160.8M-89.34%-244.67M-146.68%-129.22M152.58%276.81M-482.34%-526.49M1,889.60%137.7M-80.56%6.92M
Cash dividends paid 68.03%-1.76B36.43%-5.51B-20.75%-8.67B-21.84%-7.18B-31.29%-5.89B-63.88%-4.49B-31.48%-2.74B-25.93%-2.08B-33.34%-1.65B-14.61%-1.24B
Net other financing activities -5.27%-7.3B-127.94%-6.94B86.35%24.83B129.99%13.32B-77.16%5.79B-31.34%25.37B377.21%36.95B112.59%7.74B5.57%3.64B935.68%3.45B
Cash from discontinued financing activities
Financing cash flow -152.74%-34.27B-143.32%-13.56B49.77%31.3B25.38%20.9B-70.52%16.67B15.51%56.53B621.67%48.94B153.43%6.78B-72.17%2.68B739.61%9.62B
Net cash flow
Beginning cash position -18.17%72.1B14.41%88.1B26.69%77.01B34.82%60.78B69.22%45.08B54.37%26.64B-3.69%17.26B-4.65%17.92B30.52%18.79B-21.67%14.4B
Current changes in cash 19.60%-12.87B-244.24%-16.01B-31.59%11.1B3.34%16.22B-14.87%15.7B96.51%18.44B1,518.47%9.38B24.38%-661.56M-119.90%-874.82M211.42%4.4B
End cash Position -17.85%59.22B-18.17%72.1B14.41%88.1B26.69%77.01B34.82%60.78B69.22%45.08B54.37%26.64B-3.69%17.26B-4.65%17.92B30.52%18.79B
Free cash flow 233.08%32.14B-65.49%9.65B-19.59%27.96B2.05%34.78B2,041.11%34.08B116.29%1.59B-367.62%-9.77B-376.06%-2.09B-153.42%-438.91M131.93%821.61M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes------------------

Analysis

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Price Target

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