US Stock MarketDetailed Quotes

NCTY The9 Ltd

Watchlist
  • 14.6700
  • -0.0800-0.54%
Close Dec 2 16:00 ET
  • 14.6700
  • 0.00000.00%
Post 20:02 ET
131.84MMarket Cap17.78P/E (TTM)

The9 Ltd 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
-22.12%45.22M
-22.12%45.22M
-72.07%20.91M
-86.47%58.06M
-86.47%58.06M
-91.08%74.89M
1,254.17%429.22M
--429.22M
1,348.33%839.2M
213.42%31.7M
-Cash and cash equivalents
-22.12%45.22M
-22.12%45.22M
-72.07%20.91M
-86.45%58.06M
-86.45%58.06M
-91.08%74.89M
1,251.65%428.42M
--428.42M
1,348.33%839.2M
213.42%31.7M
-Short-term investments
----
----
----
----
----
--0
--800K
--800K
----
--0
Receivables
28.60%6.94M
28.60%6.94M
-81.75%694K
-91.82%5.4M
-91.82%5.4M
-71.21%3.8M
878.50%66.02M
--66.02M
793.75%13.21M
87.01%6.75M
-Accounts receivable
-62.98%56.07K
-62.98%56.07K
-97.07%94K
-95.89%151.43K
-95.89%151.43K
107,357.56%3.2M
123,425.06%3.68M
--3.68M
-99.44%2.98K
-97.30%2.98K
-Taxes receivable
56.57%4.12M
56.57%4.12M
----
13.93%2.63M
13.93%2.63M
----
29.77%2.31M
--2.31M
--11.74M
-34.99%1.78M
-Related party accounts receivable
-0.00%599.57K
-0.00%599.57K
0.07%600K
0.00%599.57K
0.00%599.57K
-59.14%599.57K
-18.17%599.57K
--599.57K
55.32%1.47M
-3.43%732.71K
-Other receivables
7.46%2.17M
7.46%2.17M
----
-96.61%2.02M
-96.61%2.02M
----
1,304.58%59.43M
--59.43M
----
--4.23M
Prepaid assets
-75.70%65.08M
-75.70%65.08M
-70.60%8K
-42.91%267.84M
-42.91%267.84M
-99.98%27.21K
12,017.90%469.15M
--469.15M
43,247.61%153.23M
-73.08%3.87M
Restricted cash
322.16%17.84M
322.16%17.84M
--324K
--4.23M
--4.23M
----
----
----
----
----
Other current assets
51.57%87.71M
51.57%87.71M
-70.01%137.22M
-32.80%57.87M
-32.80%57.87M
414.29%457.5M
--86.12M
--86.12M
327.54%88.96M
----
Total current assets
-43.37%222.8M
-43.37%222.8M
-70.27%159.41M
-62.55%393.43M
-62.55%393.43M
-51.01%536.22M
2,382.59%1.05B
--1.05B
1,258.39%1.09B
-72.61%42.32M
Non current assets
Net PPE
-34.67%101.2M
-34.67%101.2M
-17.90%142.22M
-13.62%154.91M
-13.62%154.91M
-2.66%173.23M
2,827.50%179.34M
--179.34M
2,181.37%177.96M
-41.52%6.13M
-Gross PPE
0.25%293.49M
0.25%293.49M
-17.90%142.22M
22.97%292.76M
22.97%292.76M
-19.01%173.23M
790.11%238.08M
--238.08M
2,641.99%213.9M
-73.37%26.75M
-Accumulated depreciation
-39.50%-192.29M
-39.50%-192.29M
----
-134.70%-137.85M
-134.70%-137.85M
----
-184.83%-58.73M
---58.73M
---35.93M
77.08%-20.62M
Investments and advances
-0.02%35.29M
-0.02%35.29M
24.33%39.94M
-52.25%35.3M
-52.25%35.3M
-8.19%32.13M
--73.92M
--73.92M
--34.99M
--0
Related parties assets
-0.00%599.57K
-0.00%599.57K
0.07%600K
0.00%599.57K
0.00%599.57K
-59.14%599.57K
-18.17%599.57K
--599.57K
55.32%1.47M
-3.43%732.71K
Other non current assets
-71.31%4.44M
-71.31%4.44M
-68.32%11.17M
136.30%15.47M
136.30%15.47M
--35.26M
--6.55M
--6.55M
----
----
Total non current assets
-31.48%140.93M
-31.48%140.93M
-19.65%193.34M
-20.83%205.68M
-20.83%205.68M
12.99%240.62M
4,140.92%259.81M
--259.81M
1,387.54%212.96M
-77.30%6.13M
Total assets
-39.29%363.73M
-39.29%363.73M
-54.59%352.75M
-54.28%599.11M
-54.28%599.11M
-40.59%776.84M
2,604.96%1.31B
--1.31B
1,277.87%1.31B
-73.30%48.44M
Liabilities
Current liabilities
Payables
-23.46%32.98M
-23.46%32.98M
-52.03%72.49M
-62.00%43.09M
-62.00%43.09M
316.86%151.11M
35.59%113.39M
--113.39M
-80.01%36.25M
-36.51%83.63M
-accounts payable
34.32%9.6M
34.32%9.6M
-66.81%9.16M
-82.09%7.15M
-82.09%7.15M
2,533.74%27.59M
12.07%39.9M
--39.9M
-97.29%1.05M
-6.89%35.6M
-Total tax payable
-9.03%1.5M
-9.03%1.5M
35.65%1.58M
9.47%1.65M
9.47%1.65M
-13.12%1.16M
16.61%1.51M
--1.51M
114.77%1.34M
7.46%1.29M
-Due to related parties current
-44.81%11.68M
-44.81%11.68M
-17.04%19.74M
-11.06%21.16M
-11.06%21.16M
16.27%23.79M
-21.37%23.79M
--23.79M
-63.04%20.46M
-59.32%30.26M
-Other payable
-22.31%10.2M
-22.31%10.2M
-57.37%42.02M
-72.75%13.13M
-72.75%13.13M
635.35%98.57M
192.48%48.2M
--48.2M
-84.53%13.4M
-7.93%16.48M
Current accrued expenses
-38.33%32.98M
-38.33%32.98M
-11.32%3.34M
-42.46%53.48M
-42.46%53.48M
-93.32%3.77M
34.80%92.94M
--92.94M
791.27%56.33M
-14.68%68.95M
Current provisions
----
----
0.00%170M
0.00%170M
0.00%170M
0.00%170M
0.00%170M
--170M
0.00%170M
0.00%170M
Current debt and capital lease obligation
-19.15%55.57M
-19.15%55.57M
35.31%87.31M
-29.26%68.73M
-29.26%68.73M
-4.44%64.53M
2,465.35%97.16M
--97.16M
-46.56%67.53M
-99.29%3.79M
-Current debt
-18.66%51.19M
-18.66%51.19M
29.52%82.39M
-32.22%62.94M
-32.22%62.94M
0.91%63.62M
--92.85M
--92.85M
-48.84%63.04M
----
-Current capital lease obligation
-24.51%4.37M
-24.51%4.37M
440.94%4.92M
34.51%5.79M
34.51%5.79M
-79.73%908.61K
13.72%4.31M
--4.31M
42.78%4.48M
11.14%3.79M
Current deferred liabilities
-28.37%12.71M
-28.37%12.71M
-10.25%17.97M
-6.50%17.75M
-6.50%17.75M
28.94%20.03M
-50.06%18.98M
--18.98M
-60.91%15.53M
-60.32%38.01M
Other current liabilities
-86.45%28.6M
-86.45%28.6M
207.68%179.46M
307.35%211.11M
307.35%211.11M
-44.17%58.33M
--51.83M
--51.83M
--104.47M
----
Current liabilities
-71.13%162.85M
-71.13%162.85M
13.43%530.57M
3.65%564.16M
3.65%564.16M
3.92%467.75M
49.38%544.3M
--544.3M
-14.05%450.11M
-65.56%364.37M
Non current liabilities
Long term debt and capital lease obligation
163.77%19.53M
163.77%19.53M
132.46%7.2M
188.46%7.41M
188.46%7.41M
--3.1M
4.17%2.57M
--2.57M
--0
-60.58%2.46M
-Long term debt
--16.75M
--16.75M
--2.68M
----
----
----
----
----
----
----
-Long term capital lease obligation
-62.35%2.79M
-62.35%2.79M
46.00%4.52M
188.46%7.41M
188.46%7.41M
--3.1M
4.17%2.57M
--2.57M
--0
-60.58%2.46M
Preferred securities outside stock equity
----
----
----
----
----
----
----
----
--0
----
Total non current liabilities
163.77%19.53M
163.77%19.53M
132.46%7.2M
188.46%7.41M
188.46%7.41M
--3.1M
4.17%2.57M
--2.57M
--0
-99.31%2.46M
Total liabilities
-68.09%182.39M
-68.09%182.39M
14.21%537.77M
4.52%571.57M
4.52%571.57M
4.61%470.85M
49.08%546.86M
--546.86M
-48.67%450.11M
-74.05%366.84M
Shareholders'equity
Share capital
67.21%96.32M
67.21%96.32M
26.55%64.11M
24.74%57.6M
24.74%57.6M
29.85%50.66M
155.16%46.18M
--46.18M
239.20%39.01M
127.08%18.1M
-common stock
67.21%96.32M
67.21%96.32M
26.55%64.11M
24.74%57.6M
24.74%57.6M
29.85%50.66M
155.16%46.18M
--46.18M
239.20%39.01M
127.08%18.1M
Retained earnings
0.49%-4.36B
0.49%-4.36B
-16.70%-4.65B
-28.64%-4.38B
-28.64%-4.38B
-27.75%-3.98B
-13.74%-3.4B
---3.4B
-2.99%-3.12B
12.27%-2.99B
Paid-in capital
2.29%4.47B
2.29%4.47B
3.89%4.42B
5.61%4.37B
5.61%4.37B
7.78%4.26B
53.54%4.14B
--4.14B
50.45%3.95B
6.15%2.7B
Gains losses not affecting retained earnings
15.10%-4.42M
15.10%-4.42M
0.54%-4.11M
3.10%-5.2M
3.10%-5.2M
-0.12%-4.13M
42.61%-5.37M
---5.37M
-261.81%-4.13M
-138.49%-9.35M
Total stockholders'equity
355.26%206.27M
355.26%206.27M
-150.78%-163.65M
-94.16%45.31M
-94.16%45.31M
-62.88%322.29M
369.87%776.47M
--776.47M
324.43%868.32M
65.71%-287.72M
Noncontrolling interests
-40.32%-24.94M
-40.32%-24.94M
-31.14%-21.37M
-36.54%-17.77M
-36.54%-17.77M
-49.95%-16.3M
57.57%-13.02M
---13.02M
97.25%-10.87M
92.19%-30.68M
Total equity
558.49%181.34M
558.49%181.34M
-160.47%-185.02M
-96.39%27.54M
-96.39%27.54M
-64.31%305.99M
339.78%763.46M
--763.46M
209.64%857.45M
74.15%-318.4M
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 with Explanatory Notes
--
--
Unqualified Opinion
--
--
--
(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 -22.12%45.22M-22.12%45.22M-72.07%20.91M-86.47%58.06M-86.47%58.06M-91.08%74.89M1,254.17%429.22M--429.22M1,348.33%839.2M213.42%31.7M
-Cash and cash equivalents -22.12%45.22M-22.12%45.22M-72.07%20.91M-86.45%58.06M-86.45%58.06M-91.08%74.89M1,251.65%428.42M--428.42M1,348.33%839.2M213.42%31.7M
-Short-term investments ----------------------0--800K--800K------0
Receivables 28.60%6.94M28.60%6.94M-81.75%694K-91.82%5.4M-91.82%5.4M-71.21%3.8M878.50%66.02M--66.02M793.75%13.21M87.01%6.75M
-Accounts receivable -62.98%56.07K-62.98%56.07K-97.07%94K-95.89%151.43K-95.89%151.43K107,357.56%3.2M123,425.06%3.68M--3.68M-99.44%2.98K-97.30%2.98K
-Taxes receivable 56.57%4.12M56.57%4.12M----13.93%2.63M13.93%2.63M----29.77%2.31M--2.31M--11.74M-34.99%1.78M
-Related party accounts receivable -0.00%599.57K-0.00%599.57K0.07%600K0.00%599.57K0.00%599.57K-59.14%599.57K-18.17%599.57K--599.57K55.32%1.47M-3.43%732.71K
-Other receivables 7.46%2.17M7.46%2.17M-----96.61%2.02M-96.61%2.02M----1,304.58%59.43M--59.43M------4.23M
Prepaid assets -75.70%65.08M-75.70%65.08M-70.60%8K-42.91%267.84M-42.91%267.84M-99.98%27.21K12,017.90%469.15M--469.15M43,247.61%153.23M-73.08%3.87M
Restricted cash 322.16%17.84M322.16%17.84M--324K--4.23M--4.23M--------------------
Other current assets 51.57%87.71M51.57%87.71M-70.01%137.22M-32.80%57.87M-32.80%57.87M414.29%457.5M--86.12M--86.12M327.54%88.96M----
Total current assets -43.37%222.8M-43.37%222.8M-70.27%159.41M-62.55%393.43M-62.55%393.43M-51.01%536.22M2,382.59%1.05B--1.05B1,258.39%1.09B-72.61%42.32M
Non current assets
Net PPE -34.67%101.2M-34.67%101.2M-17.90%142.22M-13.62%154.91M-13.62%154.91M-2.66%173.23M2,827.50%179.34M--179.34M2,181.37%177.96M-41.52%6.13M
-Gross PPE 0.25%293.49M0.25%293.49M-17.90%142.22M22.97%292.76M22.97%292.76M-19.01%173.23M790.11%238.08M--238.08M2,641.99%213.9M-73.37%26.75M
-Accumulated depreciation -39.50%-192.29M-39.50%-192.29M-----134.70%-137.85M-134.70%-137.85M-----184.83%-58.73M---58.73M---35.93M77.08%-20.62M
Investments and advances -0.02%35.29M-0.02%35.29M24.33%39.94M-52.25%35.3M-52.25%35.3M-8.19%32.13M--73.92M--73.92M--34.99M--0
Related parties assets -0.00%599.57K-0.00%599.57K0.07%600K0.00%599.57K0.00%599.57K-59.14%599.57K-18.17%599.57K--599.57K55.32%1.47M-3.43%732.71K
Other non current assets -71.31%4.44M-71.31%4.44M-68.32%11.17M136.30%15.47M136.30%15.47M--35.26M--6.55M--6.55M--------
Total non current assets -31.48%140.93M-31.48%140.93M-19.65%193.34M-20.83%205.68M-20.83%205.68M12.99%240.62M4,140.92%259.81M--259.81M1,387.54%212.96M-77.30%6.13M
Total assets -39.29%363.73M-39.29%363.73M-54.59%352.75M-54.28%599.11M-54.28%599.11M-40.59%776.84M2,604.96%1.31B--1.31B1,277.87%1.31B-73.30%48.44M
Liabilities
Current liabilities
Payables -23.46%32.98M-23.46%32.98M-52.03%72.49M-62.00%43.09M-62.00%43.09M316.86%151.11M35.59%113.39M--113.39M-80.01%36.25M-36.51%83.63M
-accounts payable 34.32%9.6M34.32%9.6M-66.81%9.16M-82.09%7.15M-82.09%7.15M2,533.74%27.59M12.07%39.9M--39.9M-97.29%1.05M-6.89%35.6M
-Total tax payable -9.03%1.5M-9.03%1.5M35.65%1.58M9.47%1.65M9.47%1.65M-13.12%1.16M16.61%1.51M--1.51M114.77%1.34M7.46%1.29M
-Due to related parties current -44.81%11.68M-44.81%11.68M-17.04%19.74M-11.06%21.16M-11.06%21.16M16.27%23.79M-21.37%23.79M--23.79M-63.04%20.46M-59.32%30.26M
-Other payable -22.31%10.2M-22.31%10.2M-57.37%42.02M-72.75%13.13M-72.75%13.13M635.35%98.57M192.48%48.2M--48.2M-84.53%13.4M-7.93%16.48M
Current accrued expenses -38.33%32.98M-38.33%32.98M-11.32%3.34M-42.46%53.48M-42.46%53.48M-93.32%3.77M34.80%92.94M--92.94M791.27%56.33M-14.68%68.95M
Current provisions --------0.00%170M0.00%170M0.00%170M0.00%170M0.00%170M--170M0.00%170M0.00%170M
Current debt and capital lease obligation -19.15%55.57M-19.15%55.57M35.31%87.31M-29.26%68.73M-29.26%68.73M-4.44%64.53M2,465.35%97.16M--97.16M-46.56%67.53M-99.29%3.79M
-Current debt -18.66%51.19M-18.66%51.19M29.52%82.39M-32.22%62.94M-32.22%62.94M0.91%63.62M--92.85M--92.85M-48.84%63.04M----
-Current capital lease obligation -24.51%4.37M-24.51%4.37M440.94%4.92M34.51%5.79M34.51%5.79M-79.73%908.61K13.72%4.31M--4.31M42.78%4.48M11.14%3.79M
Current deferred liabilities -28.37%12.71M-28.37%12.71M-10.25%17.97M-6.50%17.75M-6.50%17.75M28.94%20.03M-50.06%18.98M--18.98M-60.91%15.53M-60.32%38.01M
Other current liabilities -86.45%28.6M-86.45%28.6M207.68%179.46M307.35%211.11M307.35%211.11M-44.17%58.33M--51.83M--51.83M--104.47M----
Current liabilities -71.13%162.85M-71.13%162.85M13.43%530.57M3.65%564.16M3.65%564.16M3.92%467.75M49.38%544.3M--544.3M-14.05%450.11M-65.56%364.37M
Non current liabilities
Long term debt and capital lease obligation 163.77%19.53M163.77%19.53M132.46%7.2M188.46%7.41M188.46%7.41M--3.1M4.17%2.57M--2.57M--0-60.58%2.46M
-Long term debt --16.75M--16.75M--2.68M----------------------------
-Long term capital lease obligation -62.35%2.79M-62.35%2.79M46.00%4.52M188.46%7.41M188.46%7.41M--3.1M4.17%2.57M--2.57M--0-60.58%2.46M
Preferred securities outside stock equity ----------------------------------0----
Total non current liabilities 163.77%19.53M163.77%19.53M132.46%7.2M188.46%7.41M188.46%7.41M--3.1M4.17%2.57M--2.57M--0-99.31%2.46M
Total liabilities -68.09%182.39M-68.09%182.39M14.21%537.77M4.52%571.57M4.52%571.57M4.61%470.85M49.08%546.86M--546.86M-48.67%450.11M-74.05%366.84M
Shareholders'equity
Share capital 67.21%96.32M67.21%96.32M26.55%64.11M24.74%57.6M24.74%57.6M29.85%50.66M155.16%46.18M--46.18M239.20%39.01M127.08%18.1M
-common stock 67.21%96.32M67.21%96.32M26.55%64.11M24.74%57.6M24.74%57.6M29.85%50.66M155.16%46.18M--46.18M239.20%39.01M127.08%18.1M
Retained earnings 0.49%-4.36B0.49%-4.36B-16.70%-4.65B-28.64%-4.38B-28.64%-4.38B-27.75%-3.98B-13.74%-3.4B---3.4B-2.99%-3.12B12.27%-2.99B
Paid-in capital 2.29%4.47B2.29%4.47B3.89%4.42B5.61%4.37B5.61%4.37B7.78%4.26B53.54%4.14B--4.14B50.45%3.95B6.15%2.7B
Gains losses not affecting retained earnings 15.10%-4.42M15.10%-4.42M0.54%-4.11M3.10%-5.2M3.10%-5.2M-0.12%-4.13M42.61%-5.37M---5.37M-261.81%-4.13M-138.49%-9.35M
Total stockholders'equity 355.26%206.27M355.26%206.27M-150.78%-163.65M-94.16%45.31M-94.16%45.31M-62.88%322.29M369.87%776.47M--776.47M324.43%868.32M65.71%-287.72M
Noncontrolling interests -40.32%-24.94M-40.32%-24.94M-31.14%-21.37M-36.54%-17.77M-36.54%-17.77M-49.95%-16.3M57.57%-13.02M---13.02M97.25%-10.87M92.19%-30.68M
Total equity 558.49%181.34M558.49%181.34M-160.47%-185.02M-96.39%27.54M-96.39%27.54M-64.31%305.99M339.78%763.46M--763.46M209.64%857.45M74.15%-318.4M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes----Unqualified Opinion------

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