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T14 TJ DaRenTang USD

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  • 2.460
  • +0.050+2.07%
10min DelayMarket Closed Jul 12 16:44 CST
1.89BMarket Cap14.14P/E (TTM)

TJ DaRenTang USD Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating cash flow (direct method)
Cash income from operating activities
-21.24%1.74B
10.78%9.68B
6.02%3.48B
1.65%1.92B
16.02%2.08B
23.99%2.2B
15.00%8.74B
56.85%3.28B
-8.93%1.89B
-5.56%1.79B
Revenue from customers
-21.11%1.71B
10.86%9.48B
6.10%3.46B
0.46%1.86B
14.53%1.99B
27.57%2.16B
13.92%8.55B
56.70%3.26B
-9.28%1.85B
-6.64%1.74B
Other cash income from operating activities
-28.25%28.61M
7.29%199.47M
-5.16%20.46M
62.16%59.09M
71.21%80.04M
-50.87%39.87M
103.33%185.92M
83.55%21.58M
13.55%36.44M
65.82%46.75M
Cash paid
10.38%-1.6B
-9.18%-8.22B
-5.75%-2.69B
-5.80%-1.83B
-15.49%-1.91B
-11.76%-1.79B
-20.56%-7.53B
-40.51%-2.55B
-5.43%-1.73B
-11.39%-1.66B
Payments to suppliers for goods and services
19.19%-965.23M
-7.48%-5.47B
-6.12%-1.84B
-2.85%-1.17B
-14.00%-1.27B
-7.84%-1.19B
-32.56%-5.09B
-51.39%-1.73B
-15.94%-1.14B
-15.20%-1.11B
Cash paid on behalf of employees
-7.37%-261.38M
-1.49%-938.18M
24.89%-223.11M
-13.76%-271.98M
-5.75%-199.66M
-22.01%-243.44M
-1.26%-924.45M
-5.08%-297.06M
3.00%-239.08M
-7.15%-188.8M
Other cash payments from operating activities
-7.21%-377.77M
-19.57%-1.81B
-22.12%-631.48M
-9.94%-385.48M
-25.34%-444.97M
-19.58%-352.38M
-1.52%-1.52B
-34.24%-517.1M
14.66%-350.62M
-2.90%-355M
Direct dividend paid
Direct dividend received
Direct interest paid
Direct interest received
Direct tax refund paid
2.65%-221.2M
-45.36%-765.94M
2.80%-181.65M
-7.91%-129.98M
-85.61%-227.09M
-133.66%-227.22M
-6.08%-526.93M
-75.69%-186.88M
3.30%-120.46M
18.65%-122.35M
Operating cash flow
-147.76%-89.3M
1.66%688.49M
10.26%607.3M
-210.24%-41.25M
-730.44%-64.53M
137.21%186.97M
-20.55%677.25M
214.20%550.77M
-87.82%37.42M
-96.02%10.24M
Investing cash flow
Net PPE purchase and sale
68.13%-14.17M
-32.26%-140.74M
-59.09%-57.28M
-8.99%-18.55M
-159.18%-20.44M
2.27%-44.47M
17.02%-106.41M
10.02%-36M
56.72%-17.02M
50.44%-7.89M
Net business purchase and sale
----
----
----
----
----
----
---47.61M
--236.25K
----
----
Net investment product transactions
12.26%130.62M
-402.07%-428.17M
80.30%-26M
106.70%20.1M
-401.85%-538.62M
-70.57%116.35M
177.20%141.75M
-7,574.31%-132M
-39.21%-300M
2,974.67%178.44M
Investing cash flow
62.00%116.44M
-4,532.91%-568.91M
50.36%-83.28M
100.42%1.55M
-427.80%-559.06M
-79.45%71.88M
96.06%-12.28M
-338.62%-167.76M
-43.18%-364.87M
1,787.27%170.55M
Financing cash flow
Net issuance payments of debt
-14.74%300M
-61.13%69.9M
-414.05%-448.78M
-260.30%-27.89M
804.20%194.69M
17,693.95%351.88M
--179.83M
--142.9M
--17.4M
--21.53M
Cash dividends paid
-111.78%-2.22M
-126.44%-877.33M
-405.55%-6.45M
-1,116.27%-4.66M
-124.43%-865.17M
-284.64%-1.05M
-66.96%-387.43M
-7.60%-1.28M
93.82%-383.28K
-71.88%-385.5M
Cash dividends for minorities
----
----
----
----
----
----
-51.68%-14.96M
--0
---564.59K
--0
Net other fund-raising expenses
87.78%-3.34M
-87.47%-26.34M
92.01%-1.04M
-210.31%-520.26K
5,774.10%2.55M
-3,127.52%-27.34M
-406.03%-14.05M
-3,419.44%-12.99M
91.07%-167.66K
---45K
Financing cash flow
-8.98%294.44M
-252.37%-833.77M
-454.70%-456.26M
-303.11%-33.07M
-83.49%-667.93M
1,946.48%323.5M
3.30%-236.62M
7,167.54%128.63M
301.41%16.28M
-55.64%-364.02M
Net cash flow
Beginning cash position
-26.34%2B
18.76%2.71B
-12.32%1.93B
-20.29%2B
22.25%3.29B
18.76%2.71B
14.89%2.28B
2.42%2.2B
19.37%2.51B
28.87%2.69B
Current changes in cash
-44.78%321.58M
-266.73%-714.19M
-86.76%67.76M
76.61%-72.77M
-604.87%-1.29B
41.66%582.34M
44.79%428.35M
278.37%511.64M
-802.14%-311.16M
-1,517.60%-183.23M
Effect of exchange rate changes
-3,198.96%-55.93K
658.86%45.34K
--860.9K
--6.36K
---820.22K
---1.7K
--5.98K
----
----
----
End cash Position
-29.60%2.32B
-26.34%2B
-26.34%2B
-12.32%1.93B
-20.29%2B
22.25%3.29B
18.76%2.71B
18.76%2.71B
2.42%2.2B
19.37%2.51B
Free cash flow
-172.64%-103.5M
-3.83%547.56M
7.18%550.02M
-391.82%-59.8M
-3,724.04%-85.16M
327.78%142.49M
-18.13%569.34M
289.97%513.19M
-92.28%20.49M
-98.96%2.35M
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating cash flow (direct method)
Cash income from operating activities -21.24%1.74B10.78%9.68B6.02%3.48B1.65%1.92B16.02%2.08B23.99%2.2B15.00%8.74B56.85%3.28B-8.93%1.89B-5.56%1.79B
Revenue from customers -21.11%1.71B10.86%9.48B6.10%3.46B0.46%1.86B14.53%1.99B27.57%2.16B13.92%8.55B56.70%3.26B-9.28%1.85B-6.64%1.74B
Other cash income from operating activities -28.25%28.61M7.29%199.47M-5.16%20.46M62.16%59.09M71.21%80.04M-50.87%39.87M103.33%185.92M83.55%21.58M13.55%36.44M65.82%46.75M
Cash paid 10.38%-1.6B-9.18%-8.22B-5.75%-2.69B-5.80%-1.83B-15.49%-1.91B-11.76%-1.79B-20.56%-7.53B-40.51%-2.55B-5.43%-1.73B-11.39%-1.66B
Payments to suppliers for goods and services 19.19%-965.23M-7.48%-5.47B-6.12%-1.84B-2.85%-1.17B-14.00%-1.27B-7.84%-1.19B-32.56%-5.09B-51.39%-1.73B-15.94%-1.14B-15.20%-1.11B
Cash paid on behalf of employees -7.37%-261.38M-1.49%-938.18M24.89%-223.11M-13.76%-271.98M-5.75%-199.66M-22.01%-243.44M-1.26%-924.45M-5.08%-297.06M3.00%-239.08M-7.15%-188.8M
Other cash payments from operating activities -7.21%-377.77M-19.57%-1.81B-22.12%-631.48M-9.94%-385.48M-25.34%-444.97M-19.58%-352.38M-1.52%-1.52B-34.24%-517.1M14.66%-350.62M-2.90%-355M
Direct dividend paid
Direct dividend received
Direct interest paid
Direct interest received
Direct tax refund paid 2.65%-221.2M-45.36%-765.94M2.80%-181.65M-7.91%-129.98M-85.61%-227.09M-133.66%-227.22M-6.08%-526.93M-75.69%-186.88M3.30%-120.46M18.65%-122.35M
Operating cash flow -147.76%-89.3M1.66%688.49M10.26%607.3M-210.24%-41.25M-730.44%-64.53M137.21%186.97M-20.55%677.25M214.20%550.77M-87.82%37.42M-96.02%10.24M
Investing cash flow
Net PPE purchase and sale 68.13%-14.17M-32.26%-140.74M-59.09%-57.28M-8.99%-18.55M-159.18%-20.44M2.27%-44.47M17.02%-106.41M10.02%-36M56.72%-17.02M50.44%-7.89M
Net business purchase and sale ---------------------------47.61M--236.25K--------
Net investment product transactions 12.26%130.62M-402.07%-428.17M80.30%-26M106.70%20.1M-401.85%-538.62M-70.57%116.35M177.20%141.75M-7,574.31%-132M-39.21%-300M2,974.67%178.44M
Investing cash flow 62.00%116.44M-4,532.91%-568.91M50.36%-83.28M100.42%1.55M-427.80%-559.06M-79.45%71.88M96.06%-12.28M-338.62%-167.76M-43.18%-364.87M1,787.27%170.55M
Financing cash flow
Net issuance payments of debt -14.74%300M-61.13%69.9M-414.05%-448.78M-260.30%-27.89M804.20%194.69M17,693.95%351.88M--179.83M--142.9M--17.4M--21.53M
Cash dividends paid -111.78%-2.22M-126.44%-877.33M-405.55%-6.45M-1,116.27%-4.66M-124.43%-865.17M-284.64%-1.05M-66.96%-387.43M-7.60%-1.28M93.82%-383.28K-71.88%-385.5M
Cash dividends for minorities -------------------------51.68%-14.96M--0---564.59K--0
Net other fund-raising expenses 87.78%-3.34M-87.47%-26.34M92.01%-1.04M-210.31%-520.26K5,774.10%2.55M-3,127.52%-27.34M-406.03%-14.05M-3,419.44%-12.99M91.07%-167.66K---45K
Financing cash flow -8.98%294.44M-252.37%-833.77M-454.70%-456.26M-303.11%-33.07M-83.49%-667.93M1,946.48%323.5M3.30%-236.62M7,167.54%128.63M301.41%16.28M-55.64%-364.02M
Net cash flow
Beginning cash position -26.34%2B18.76%2.71B-12.32%1.93B-20.29%2B22.25%3.29B18.76%2.71B14.89%2.28B2.42%2.2B19.37%2.51B28.87%2.69B
Current changes in cash -44.78%321.58M-266.73%-714.19M-86.76%67.76M76.61%-72.77M-604.87%-1.29B41.66%582.34M44.79%428.35M278.37%511.64M-802.14%-311.16M-1,517.60%-183.23M
Effect of exchange rate changes -3,198.96%-55.93K658.86%45.34K--860.9K--6.36K---820.22K---1.7K--5.98K------------
End cash Position -29.60%2.32B-26.34%2B-26.34%2B-12.32%1.93B-20.29%2B22.25%3.29B18.76%2.71B18.76%2.71B2.42%2.2B19.37%2.51B
Free cash flow -172.64%-103.5M-3.83%547.56M7.18%550.02M-391.82%-59.8M-3,724.04%-85.16M327.78%142.49M-18.13%569.34M289.97%513.19M-92.28%20.49M-98.96%2.35M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY

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