US Stock MarketDetailed Quotes

LXEH Lixiang Education

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  • 5.1300
  • +0.1300+2.60%
Close Dec 27 16:00 ET
  • 5.1300
  • 0.00000.00%
Post 20:01 ET
5.99MMarket Cap-0.24P/E (TTM)

Lixiang Education Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
-3.98%230.57M
-7.81%227.04M
-7.81%227.04M
10.39%240.12M
23.50%246.27M
23.50%246.27M
0.88%217.52M
-2.04%199.41M
-2.04%199.41M
454.20%215.62M
-Cash and cash equivalents
-3.98%230.57M
-7.81%227.04M
-7.81%227.04M
10.39%240.12M
23.50%246.27M
23.50%246.27M
0.88%217.52M
-2.04%199.41M
-2.04%199.41M
646.01%215.62M
Receivables
1,150.76%11.15M
-48.23%14.63M
-48.23%14.63M
-78.57%891.58K
5,667.47%28.26M
5,667.47%28.26M
--4.16M
-94.48%490.04K
-94.48%490.04K
----
-Accounts receivable
-95.72%24.35K
134.50%9.38K
134.50%9.38K
-53.82%568.98K
--4K
--4K
--1.23M
--0
--0
----
-Taxes receivable
----
7.04%3.87M
7.04%3.87M
----
638.33%3.62M
638.33%3.62M
----
--490.04K
--490.04K
----
-Related party accounts receivable
3,349.21%11.13M
--10.75M
--10.75M
-88.98%322.6K
--0
--0
--2.93M
----
----
----
-Other receivables
----
----
----
----
--24.64M
--24.64M
----
----
----
----
Inventory
--0
-23.79%886.9K
-23.79%886.9K
-31.05%1M
411.33%1.16M
411.33%1.16M
4.86%1.45M
-85.57%227.6K
-85.57%227.6K
19.19%1.39M
Prepaid assets
----
-95.84%1.96M
-95.84%1.96M
----
-53.39%47.06M
-53.39%47.06M
----
291,074.47%100.96M
291,074.47%100.96M
----
Other current assets
-94.23%4.46M
90.50%362.4K
90.50%362.4K
26.76%77.37M
769.86%190.24K
769.86%190.24K
230.00%61.04M
239.60%21.87K
239.60%21.87K
29,932.94%18.5M
Total current assets
-22.92%246.18M
-25.69%244.88M
-25.69%244.88M
12.39%319.39M
9.45%329.55M
9.45%329.55M
20.67%284.18M
-37.25%301.11M
-37.25%301.11M
474.00%235.5M
Non current assets
Net PPE
-7.13%151.36M
-8.15%154.02M
-8.15%154.02M
-0.67%162.97M
1.59%167.69M
1.59%167.69M
-20.29%164.06M
0.67%165.06M
0.67%165.06M
0.46%205.82M
-Gross PPE
-7.13%151.36M
-5.27%194.68M
-5.27%194.68M
--162.97M
4.51%205.52M
4.51%205.52M
----
2.78%196.64M
2.78%196.64M
----
-Accumulated depreciation
----
-7.48%-40.65M
-7.48%-40.65M
----
-19.76%-37.83M
-19.76%-37.83M
----
-15.49%-31.58M
-15.49%-31.58M
----
Goodwill and other intangible assets
-67.35%34.58M
-67.04%35.07M
-67.04%35.07M
-15.77%105.92M
67.14%106.41M
67.14%106.41M
235.20%125.74M
68.73%63.67M
68.73%63.67M
-1.83%37.51M
-Goodwill
----
--0
--0
-21.12%70.37M
164.11%70.37M
164.11%70.37M
--89.21M
--26.64M
--26.64M
----
-Other intangible assets
-2.72%34.58M
-2.69%35.07M
-2.69%35.07M
-2.69%35.55M
-2.65%36.04M
-2.65%36.04M
-2.62%36.53M
-1.88%37.02M
-1.88%37.02M
-1.83%37.51M
Related parties assets
3,349.21%11.13M
--10.75M
--10.75M
-88.98%322.6K
--0
--0
--2.93M
----
----
----
Non current deferred assets
----
--0
--0
-6.19%5.32M
0.36%2.9M
0.36%2.9M
269.44%5.67M
--2.89M
--2.89M
-71.07%1.54M
Other non current assets
----
----
----
----
--2.37M
--2.37M
----
----
----
----
Total non current assets
-32.19%185.94M
-32.32%189.09M
-32.32%189.09M
-7.20%274.21M
20.62%279.37M
20.62%279.37M
20.67%295.48M
-4.75%231.62M
-4.75%231.62M
-1.42%244.87M
Total assets
-27.20%432.11M
-28.73%433.97M
-28.73%433.97M
2.41%593.6M
14.30%608.93M
14.30%608.93M
20.67%579.66M
-26.32%532.73M
-26.32%532.73M
65.98%480.37M
Liabilities
Current liabilities
Payables
111.46%11.76M
-64.89%14.28M
-64.89%14.28M
-98.30%5.56M
-87.73%40.68M
-87.73%40.68M
1,348.08%327.33M
26.56%331.42M
26.56%331.42M
14.94%22.6M
-accounts payable
-66.33%524.02K
-40.53%1.5M
-40.53%1.5M
-54.67%1.56M
-57.87%2.53M
-57.87%2.53M
-55.80%3.43M
-2.61%6M
-2.61%6M
20.57%7.77M
-Total tax payable
22.42%1.18M
24.67%1.05M
24.67%1.05M
92.68%962.95K
29.91%843.3K
29.91%843.3K
-13.64%499.76K
140.66%649.14K
140.66%649.14K
606.18%578.71K
-Due to related parties current
1,124.10%8M
-66.54%8M
-66.54%8M
-99.80%653.54K
-92.27%23.91M
-92.27%23.91M
99,180.12%321.07M
21.28%309.11M
21.28%309.11M
0.00%323.4K
-Other payable
-13.76%2.06M
-72.17%3.73M
-72.17%3.73M
2.77%2.39M
-14.46%13.4M
-14.46%13.4M
-83.31%2.33M
2,732.73%15.66M
2,732.73%15.66M
8.70%13.93M
Current accrued expenses
-74.11%5.17M
-34.55%572.59K
-34.55%572.59K
-13.38%19.97M
-73.85%874.89K
-73.85%874.89K
362.68%23.06M
-38.38%3.35M
-38.38%3.35M
-28.37%4.98M
Current debt and capital lease obligation
-22.85%65.1M
15.37%77.72M
15.37%77.72M
-4.30%84.38M
-12.51%67.37M
-12.51%67.37M
68.38%88.18M
209.29%77M
209.29%77M
25.25%52.37M
-Current debt
-20.34%64M
18.50%75.25M
18.50%75.25M
-8.89%80.34M
-17.53%63.5M
-17.53%63.5M
68.38%88.18M
209.29%77M
209.29%77M
25.25%52.37M
-Current capital lease obligation
-72.77%1.1M
-36.10%2.47M
-36.10%2.47M
--4.04M
--3.87M
--3.87M
----
--0
--0
----
Current deferred liabilities
-67.05%4.67M
-32.85%6.51M
-32.85%6.51M
36.84%14.16M
599.54%9.7M
599.54%9.7M
1,173.63%10.35M
683.48%1.39M
683.48%1.39M
-96.20%812.67K
Other current liabilities
----
-73.50%4.1M
-73.50%4.1M
----
2,913.98%15.48M
2,913.98%15.48M
----
-99.18%513.5K
-99.18%513.5K
----
Current liabilities
-30.12%86.7M
-23.05%103.19M
-23.05%103.19M
-72.36%124.08M
-67.58%134.09M
-67.58%134.09M
455.81%448.91M
16.47%413.66M
16.47%413.66M
-10.62%80.77M
Non current liabilities
Long term debt and capital lease obligation
-85.90%244.88K
--0
--0
-51.33%1.74M
--4.81M
--4.81M
-23.53%3.57M
--0
--0
--4.67M
-Long term debt
----
----
----
----
--1.25M
--1.25M
-23.53%3.57M
----
----
--4.67M
-Long term capital lease obligation
-85.90%244.88K
--0
--0
--1.74M
--3.56M
--3.56M
----
--0
--0
----
Non current deferred liabilities
----
----
----
----
----
----
----
----
----
-76.70%170.7K
Due to related parties non current
-19.78%173.42M
-19.66%173.68M
-19.66%173.68M
--216.18M
--216.18M
--216.18M
----
--0
--0
----
Other non current liabilities
--1M
----
----
----
----
----
----
----
----
----
Total non current liabilities
-19.85%174.66M
-21.53%173.68M
-21.53%173.68M
6,006.15%217.91M
--221.34M
--221.34M
-26.23%3.57M
--0
--0
560.24%4.84M
Total liabilities
-23.58%261.36M
-22.10%276.87M
-22.10%276.87M
-24.42%341.99M
-14.08%355.44M
-14.08%355.44M
428.57%452.48M
16.34%413.66M
16.34%413.66M
-6.03%85.6M
Shareholders'equity
Share capital
79.42%81.09K
79.42%81.09K
79.42%81.09K
0.00%45.2K
0.00%45.2K
0.00%45.2K
0.00%45.2K
0.00%45.2K
0.00%45.2K
27.95%45.2K
-common stock
79.42%81.09K
79.42%81.09K
79.42%81.09K
0.00%45.2K
0.00%45.2K
0.00%45.2K
0.00%45.2K
0.00%45.2K
0.00%45.2K
27.95%45.2K
Retained earnings
-100.59%-254.03M
-107.41%-245.32M
-107.41%-245.32M
-9.96%-126.64M
-7.27%-118.28M
-7.27%-118.28M
-172.43%-115.17M
-181.48%-110.26M
-181.48%-110.26M
16.66%159.02M
Paid-in capital
16.47%354.5M
9.20%333.55M
9.20%333.55M
67.37%304.37M
67.98%305.46M
67.98%305.46M
-0.00%181.85M
0.00%181.85M
0.00%181.85M
1,523.66%181.85M
Gains losses not affecting retained earnings
-4.19%70.84M
5.14%69.1M
5.14%69.1M
28.06%73.94M
38.56%65.72M
38.56%65.72M
7.21%57.74M
-5.63%47.43M
-5.63%47.43M
5.99%53.85M
Total stockholders'equity
-31.91%171.39M
-37.77%157.41M
-37.77%157.41M
102.24%251.71M
112.44%252.94M
112.44%252.94M
-68.47%124.46M
-67.60%119.06M
-67.60%119.06M
99.05%394.77M
Noncontrolling interests
-487.32%-640.95K
-156.61%-310.59K
-156.61%-310.59K
-104.02%-109.13K
--548.63K
--548.63K
--2.71M
--0
--0
----
Total equity
-32.13%170.75M
-38.03%157.1M
-38.03%157.1M
97.84%251.6M
112.90%253.49M
112.90%253.49M
-67.79%127.17M
-67.60%119.06M
-67.60%119.06M
99.05%394.77M
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Audit Opinions
--
--
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments -3.98%230.57M-7.81%227.04M-7.81%227.04M10.39%240.12M23.50%246.27M23.50%246.27M0.88%217.52M-2.04%199.41M-2.04%199.41M454.20%215.62M
-Cash and cash equivalents -3.98%230.57M-7.81%227.04M-7.81%227.04M10.39%240.12M23.50%246.27M23.50%246.27M0.88%217.52M-2.04%199.41M-2.04%199.41M646.01%215.62M
Receivables 1,150.76%11.15M-48.23%14.63M-48.23%14.63M-78.57%891.58K5,667.47%28.26M5,667.47%28.26M--4.16M-94.48%490.04K-94.48%490.04K----
-Accounts receivable -95.72%24.35K134.50%9.38K134.50%9.38K-53.82%568.98K--4K--4K--1.23M--0--0----
-Taxes receivable ----7.04%3.87M7.04%3.87M----638.33%3.62M638.33%3.62M------490.04K--490.04K----
-Related party accounts receivable 3,349.21%11.13M--10.75M--10.75M-88.98%322.6K--0--0--2.93M------------
-Other receivables ------------------24.64M--24.64M----------------
Inventory --0-23.79%886.9K-23.79%886.9K-31.05%1M411.33%1.16M411.33%1.16M4.86%1.45M-85.57%227.6K-85.57%227.6K19.19%1.39M
Prepaid assets -----95.84%1.96M-95.84%1.96M-----53.39%47.06M-53.39%47.06M----291,074.47%100.96M291,074.47%100.96M----
Other current assets -94.23%4.46M90.50%362.4K90.50%362.4K26.76%77.37M769.86%190.24K769.86%190.24K230.00%61.04M239.60%21.87K239.60%21.87K29,932.94%18.5M
Total current assets -22.92%246.18M-25.69%244.88M-25.69%244.88M12.39%319.39M9.45%329.55M9.45%329.55M20.67%284.18M-37.25%301.11M-37.25%301.11M474.00%235.5M
Non current assets
Net PPE -7.13%151.36M-8.15%154.02M-8.15%154.02M-0.67%162.97M1.59%167.69M1.59%167.69M-20.29%164.06M0.67%165.06M0.67%165.06M0.46%205.82M
-Gross PPE -7.13%151.36M-5.27%194.68M-5.27%194.68M--162.97M4.51%205.52M4.51%205.52M----2.78%196.64M2.78%196.64M----
-Accumulated depreciation -----7.48%-40.65M-7.48%-40.65M-----19.76%-37.83M-19.76%-37.83M-----15.49%-31.58M-15.49%-31.58M----
Goodwill and other intangible assets -67.35%34.58M-67.04%35.07M-67.04%35.07M-15.77%105.92M67.14%106.41M67.14%106.41M235.20%125.74M68.73%63.67M68.73%63.67M-1.83%37.51M
-Goodwill ------0--0-21.12%70.37M164.11%70.37M164.11%70.37M--89.21M--26.64M--26.64M----
-Other intangible assets -2.72%34.58M-2.69%35.07M-2.69%35.07M-2.69%35.55M-2.65%36.04M-2.65%36.04M-2.62%36.53M-1.88%37.02M-1.88%37.02M-1.83%37.51M
Related parties assets 3,349.21%11.13M--10.75M--10.75M-88.98%322.6K--0--0--2.93M------------
Non current deferred assets ------0--0-6.19%5.32M0.36%2.9M0.36%2.9M269.44%5.67M--2.89M--2.89M-71.07%1.54M
Other non current assets ------------------2.37M--2.37M----------------
Total non current assets -32.19%185.94M-32.32%189.09M-32.32%189.09M-7.20%274.21M20.62%279.37M20.62%279.37M20.67%295.48M-4.75%231.62M-4.75%231.62M-1.42%244.87M
Total assets -27.20%432.11M-28.73%433.97M-28.73%433.97M2.41%593.6M14.30%608.93M14.30%608.93M20.67%579.66M-26.32%532.73M-26.32%532.73M65.98%480.37M
Liabilities
Current liabilities
Payables 111.46%11.76M-64.89%14.28M-64.89%14.28M-98.30%5.56M-87.73%40.68M-87.73%40.68M1,348.08%327.33M26.56%331.42M26.56%331.42M14.94%22.6M
-accounts payable -66.33%524.02K-40.53%1.5M-40.53%1.5M-54.67%1.56M-57.87%2.53M-57.87%2.53M-55.80%3.43M-2.61%6M-2.61%6M20.57%7.77M
-Total tax payable 22.42%1.18M24.67%1.05M24.67%1.05M92.68%962.95K29.91%843.3K29.91%843.3K-13.64%499.76K140.66%649.14K140.66%649.14K606.18%578.71K
-Due to related parties current 1,124.10%8M-66.54%8M-66.54%8M-99.80%653.54K-92.27%23.91M-92.27%23.91M99,180.12%321.07M21.28%309.11M21.28%309.11M0.00%323.4K
-Other payable -13.76%2.06M-72.17%3.73M-72.17%3.73M2.77%2.39M-14.46%13.4M-14.46%13.4M-83.31%2.33M2,732.73%15.66M2,732.73%15.66M8.70%13.93M
Current accrued expenses -74.11%5.17M-34.55%572.59K-34.55%572.59K-13.38%19.97M-73.85%874.89K-73.85%874.89K362.68%23.06M-38.38%3.35M-38.38%3.35M-28.37%4.98M
Current debt and capital lease obligation -22.85%65.1M15.37%77.72M15.37%77.72M-4.30%84.38M-12.51%67.37M-12.51%67.37M68.38%88.18M209.29%77M209.29%77M25.25%52.37M
-Current debt -20.34%64M18.50%75.25M18.50%75.25M-8.89%80.34M-17.53%63.5M-17.53%63.5M68.38%88.18M209.29%77M209.29%77M25.25%52.37M
-Current capital lease obligation -72.77%1.1M-36.10%2.47M-36.10%2.47M--4.04M--3.87M--3.87M------0--0----
Current deferred liabilities -67.05%4.67M-32.85%6.51M-32.85%6.51M36.84%14.16M599.54%9.7M599.54%9.7M1,173.63%10.35M683.48%1.39M683.48%1.39M-96.20%812.67K
Other current liabilities -----73.50%4.1M-73.50%4.1M----2,913.98%15.48M2,913.98%15.48M-----99.18%513.5K-99.18%513.5K----
Current liabilities -30.12%86.7M-23.05%103.19M-23.05%103.19M-72.36%124.08M-67.58%134.09M-67.58%134.09M455.81%448.91M16.47%413.66M16.47%413.66M-10.62%80.77M
Non current liabilities
Long term debt and capital lease obligation -85.90%244.88K--0--0-51.33%1.74M--4.81M--4.81M-23.53%3.57M--0--0--4.67M
-Long term debt ------------------1.25M--1.25M-23.53%3.57M----------4.67M
-Long term capital lease obligation -85.90%244.88K--0--0--1.74M--3.56M--3.56M------0--0----
Non current deferred liabilities -------------------------------------76.70%170.7K
Due to related parties non current -19.78%173.42M-19.66%173.68M-19.66%173.68M--216.18M--216.18M--216.18M------0--0----
Other non current liabilities --1M------------------------------------
Total non current liabilities -19.85%174.66M-21.53%173.68M-21.53%173.68M6,006.15%217.91M--221.34M--221.34M-26.23%3.57M--0--0560.24%4.84M
Total liabilities -23.58%261.36M-22.10%276.87M-22.10%276.87M-24.42%341.99M-14.08%355.44M-14.08%355.44M428.57%452.48M16.34%413.66M16.34%413.66M-6.03%85.6M
Shareholders'equity
Share capital 79.42%81.09K79.42%81.09K79.42%81.09K0.00%45.2K0.00%45.2K0.00%45.2K0.00%45.2K0.00%45.2K0.00%45.2K27.95%45.2K
-common stock 79.42%81.09K79.42%81.09K79.42%81.09K0.00%45.2K0.00%45.2K0.00%45.2K0.00%45.2K0.00%45.2K0.00%45.2K27.95%45.2K
Retained earnings -100.59%-254.03M-107.41%-245.32M-107.41%-245.32M-9.96%-126.64M-7.27%-118.28M-7.27%-118.28M-172.43%-115.17M-181.48%-110.26M-181.48%-110.26M16.66%159.02M
Paid-in capital 16.47%354.5M9.20%333.55M9.20%333.55M67.37%304.37M67.98%305.46M67.98%305.46M-0.00%181.85M0.00%181.85M0.00%181.85M1,523.66%181.85M
Gains losses not affecting retained earnings -4.19%70.84M5.14%69.1M5.14%69.1M28.06%73.94M38.56%65.72M38.56%65.72M7.21%57.74M-5.63%47.43M-5.63%47.43M5.99%53.85M
Total stockholders'equity -31.91%171.39M-37.77%157.41M-37.77%157.41M102.24%251.71M112.44%252.94M112.44%252.94M-68.47%124.46M-67.60%119.06M-67.60%119.06M99.05%394.77M
Noncontrolling interests -487.32%-640.95K-156.61%-310.59K-156.61%-310.59K-104.02%-109.13K--548.63K--548.63K--2.71M--0--0----
Total equity -32.13%170.75M-38.03%157.1M-38.03%157.1M97.84%251.6M112.90%253.49M112.90%253.49M-67.79%127.17M-67.60%119.06M-67.60%119.06M99.05%394.77M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Audit Opinions --------Unqualified Opinion----Unqualified Opinion----
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