SG Stock MarketDetailed Quotes

T43 Yunnan Energy

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  • 0.049
  • 0.0000.00%
10min DelayTrading Nov 26 09:50 CST
13.50MMarket Cap0.00P/E (TTM)

Yunnan Energy 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
(Q4)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities
288.99%14.34M
88.60%-7.59M
-185.43%-66.59M
576.08%77.95M
-110.65%-16.37M
1,114.37%153.75M
-3,304.18%-15.16M
-98.89%473.05K
248.96%42.57M
118.01%10.61M
Net profit before non-cash adjustment
47.87%-4.63M
66.93%-8.88M
56.85%-26.84M
-217.05%-62.2M
73.52%-19.62M
-738.89%-74.08M
65.76%11.59M
-74.80%6.99M
11.01%27.75M
0.69%18.89M
Total adjustment of non-cash items
-71.91%2.25M
-14.49%8.01M
-60.07%9.37M
82.62%23.47M
-68.64%12.85M
5.98%40.98M
-10.19%38.67M
12.04%43.06M
-23.81%38.43M
-49.32%13.02M
-Depreciation and amortization
-91.15%61K
-62.04%689K
-4.62%1.82M
-32.28%1.9M
-79.51%2.81M
-36.48%13.71M
-3.11%21.59M
10.79%22.28M
-30.91%20.11M
-74.81%3.22M
-Reversal of impairment losses recognized in profit and loss
-124.03%-1.28M
-33.62%5.31M
-37.18%7.99M
--12.72M
--0
----
103.30%7.06M
-3.21%3.47M
-4.60%3.59M
----
-Assets reserve and write-off
----
----
----
1,072.40%5.86M
-90.84%500K
502.44%5.46M
-89.63%906.32K
100.24%8.74M
-34.80%4.36M
----
-Disposal profit
-325.71%-237K
107.00%105K
-625.96%-1.5M
--285K
--0
483.78%12.38M
-60.04%-3.23M
-81.87%-2.02M
-68.13%-1.11M
-69.31%-1.12M
-Remuneration paid in stock
----
----
----
----
----
----
----
7.31%457.54K
--426.39K
--100.86K
-Other non-cash items
93.32%3.7M
79.98%1.92M
-60.59%1.06M
-71.71%2.7M
1.25%9.54M
-23.60%9.43M
21.90%12.34M
-8.39%10.12M
-4.23%11.05M
-8.60%2.86M
Changes in working capital
348.57%16.72M
86.31%-6.73M
-142.10%-49.13M
1,314.29%116.68M
-105.14%-9.61M
385.62%186.85M
-31.95%-65.42M
-109.95%-49.58M
77.30%-23.61M
79.40%-21.3M
-Change in receivables
-307.14%-46.36M
193.25%22.38M
-125.52%-24M
29.52%94.04M
-76.88%72.61M
1,210.49%314M
68.12%-28.28M
-510.22%-88.7M
53.95%-14.54M
11.18%-131.25M
-Change in inventory
-5.52%-16.69M
-620.74%-15.82M
-88.82%3.04M
-48.58%27.16M
194.28%52.81M
-153.54%-56.02M
57.65%-22.1M
-2,253.18%-52.18M
97.24%-2.22M
533.74%61.08M
-Change in prepaid assets
257.58%44.88M
-64.13%-28.48M
-225.19%-17.35M
118.44%13.86M
-535.53%-75.15M
-5.54%-11.83M
---11.2M
----
----
----
-Change in payables
129.74%34.89M
240.52%15.19M
41.19%-10.81M
69.31%-18.38M
-0.97%-59.88M
-1,442.72%-59.3M
-104.21%-3.84M
299.61%91.3M
797.92%22.85M
167.28%78.58M
-Changes in other current assets
----
----
----
----
----
----
----
----
-654.21%-29.71M
----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid
-342K
0
-112K
0
36.65%-178K
87.20%-281K
-732.67%-2.2M
83.33%-263.67K
-422.75%-1.58M
-142.50%-2.24M
Other operating cash inflow (outflow)
0
0
0
0
0
0
0
0
0
0
Operating cash flow
284.48%14M
88.62%-7.59M
-185.57%-66.71M
570.96%77.95M
-110.79%-16.55M
984.42%153.47M
-8,387.63%-17.35M
-99.49%209.38K
241.92%40.99M
113.99%8.37M
Investing cash flow
Net PPE purchase and sale
-306.25%-65K
95.20%-16K
56.30%-333K
-75.58%-762K
98.88%-434K
-509.42%-38.81M
28.22%-6.37M
-106.19%-8.87M
48.31%-4.3M
61.27%-1.46M
Net intangibles purchase and sale
----
----
----
----
----
36.91%-6.87M
-3.88%-10.89M
-28.31%-10.48M
41.90%-8.17M
----
Net investment product transactions
----
----
--2.39M
--0
----
----
----
----
----
----
Interest received (cash flow from investment activities)
3.18%357K
19.72%346K
-41.97%289K
-87.10%498K
697.31%3.86M
209.74%484K
-16.04%156.26K
-39.98%186.12K
59.90%310.1K
-244.52%-100.69K
Investing cash flow
-11.52%292K
-85.92%330K
987.88%2.34M
-107.71%-264K
107.58%3.43M
-164.24%-45.19M
10.78%-17.1M
-57.60%-19.17M
59.90%-12.16M
74.60%-4.29M
Financing cash flow
Net issuance payments of debt
261.99%61.1M
-178.27%-37.72M
128.42%48.19M
-614.26%-169.56M
-40.45%32.97M
182.00%55.37M
-249.04%-67.52M
509.23%45.3M
-796.15%-11.07M
11.68%56.45M
Net common stock issuance
----
----
----
----
----
----
----
----
-88.40%9.61M
-99.99%9.98K
Increase or decrease of lease financing
--0
47.99%-194K
31.05%-373K
64.71%-541K
---1.53M
--0
----
----
----
----
Cash dividends paid
----
----
----
----
----
----
----
---7.67M
----
----
Interest paid (cash flow from financing activities)
-73.91%-4.06M
-96.96%-2.33M
63.63%-1.19M
29.72%-3.26M
50.96%-4.64M
21.43%-9.45M
-16.75%-12.03M
9.26%-10.31M
3.68%-11.36M
15.37%-2.76M
Net other fund-raising expenses
----
----
----
----
----
-167.13%-51.23M
--76.31M
----
----
----
Financing cash flow
241.73%57.05M
-186.31%-40.25M
126.90%46.63M
-746.81%-173.36M
604.18%26.8M
-63.95%-5.32M
-111.86%-3.24M
313.13%27.33M
-118.93%-12.82M
-57.12%53.69M
Net cash flow
Beginning cash position
-58.21%43.09M
-10.90%103.12M
-43.51%115.74M
9.23%204.88M
106.31%187.56M
-26.59%90.91M
4.52%123.83M
9.73%118.48M
10.16%107.97M
6.00%63.96M
Current changes in cash
250.16%71.34M
-167.99%-47.51M
81.47%-17.73M
-799.58%-95.67M
-86.72%13.68M
373.12%102.96M
-550.53%-37.7M
-47.71%8.37M
87.52%16M
19.15%57.78M
Effect of exchange rate changes
149.42%6.19M
-344.88%-12.52M
-21.64%5.11M
79.04%6.53M
157.72%3.65M
-228.09%-6.32M
225.14%4.93M
28.73%-3.94M
-471.12%-5.53M
-389.89%-3.32M
End cash Position
179.92%120.62M
-58.21%43.09M
-10.90%103.12M
-43.51%115.74M
9.23%204.88M
105.97%187.56M
-25.91%91.06M
3.77%122.91M
9.63%118.44M
9.63%118.44M
Free cash flow
283.24%13.94M
88.72%-7.61M
-187.36%-67.43M
554.44%77.19M
-115.92%-16.99M
377.49%106.71M
-60.12%-38.46M
-192.42%-24.02M
149.01%25.99M
95.24%-3.78M
Currency Unit
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
HKD
(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(Q4)Dec 31, 2015
Operating cash flow (Indirect Method)
Cash from operating activities 288.99%14.34M88.60%-7.59M-185.43%-66.59M576.08%77.95M-110.65%-16.37M1,114.37%153.75M-3,304.18%-15.16M-98.89%473.05K248.96%42.57M118.01%10.61M
Net profit before non-cash adjustment 47.87%-4.63M66.93%-8.88M56.85%-26.84M-217.05%-62.2M73.52%-19.62M-738.89%-74.08M65.76%11.59M-74.80%6.99M11.01%27.75M0.69%18.89M
Total adjustment of non-cash items -71.91%2.25M-14.49%8.01M-60.07%9.37M82.62%23.47M-68.64%12.85M5.98%40.98M-10.19%38.67M12.04%43.06M-23.81%38.43M-49.32%13.02M
-Depreciation and amortization -91.15%61K-62.04%689K-4.62%1.82M-32.28%1.9M-79.51%2.81M-36.48%13.71M-3.11%21.59M10.79%22.28M-30.91%20.11M-74.81%3.22M
-Reversal of impairment losses recognized in profit and loss -124.03%-1.28M-33.62%5.31M-37.18%7.99M--12.72M--0----103.30%7.06M-3.21%3.47M-4.60%3.59M----
-Assets reserve and write-off ------------1,072.40%5.86M-90.84%500K502.44%5.46M-89.63%906.32K100.24%8.74M-34.80%4.36M----
-Disposal profit -325.71%-237K107.00%105K-625.96%-1.5M--285K--0483.78%12.38M-60.04%-3.23M-81.87%-2.02M-68.13%-1.11M-69.31%-1.12M
-Remuneration paid in stock ----------------------------7.31%457.54K--426.39K--100.86K
-Other non-cash items 93.32%3.7M79.98%1.92M-60.59%1.06M-71.71%2.7M1.25%9.54M-23.60%9.43M21.90%12.34M-8.39%10.12M-4.23%11.05M-8.60%2.86M
Changes in working capital 348.57%16.72M86.31%-6.73M-142.10%-49.13M1,314.29%116.68M-105.14%-9.61M385.62%186.85M-31.95%-65.42M-109.95%-49.58M77.30%-23.61M79.40%-21.3M
-Change in receivables -307.14%-46.36M193.25%22.38M-125.52%-24M29.52%94.04M-76.88%72.61M1,210.49%314M68.12%-28.28M-510.22%-88.7M53.95%-14.54M11.18%-131.25M
-Change in inventory -5.52%-16.69M-620.74%-15.82M-88.82%3.04M-48.58%27.16M194.28%52.81M-153.54%-56.02M57.65%-22.1M-2,253.18%-52.18M97.24%-2.22M533.74%61.08M
-Change in prepaid assets 257.58%44.88M-64.13%-28.48M-225.19%-17.35M118.44%13.86M-535.53%-75.15M-5.54%-11.83M---11.2M------------
-Change in payables 129.74%34.89M240.52%15.19M41.19%-10.81M69.31%-18.38M-0.97%-59.88M-1,442.72%-59.3M-104.21%-3.84M299.61%91.3M797.92%22.85M167.28%78.58M
-Changes in other current assets ---------------------------------654.21%-29.71M----
Dividends paid (cash flow from operating activities)
Dividends received (cash flow from operating activities)
Interest paid (cash flow from operating activities)
Interest received (cash flow from operating activities)
Tax refund paid -342K0-112K036.65%-178K87.20%-281K-732.67%-2.2M83.33%-263.67K-422.75%-1.58M-142.50%-2.24M
Other operating cash inflow (outflow) 0000000000
Operating cash flow 284.48%14M88.62%-7.59M-185.57%-66.71M570.96%77.95M-110.79%-16.55M984.42%153.47M-8,387.63%-17.35M-99.49%209.38K241.92%40.99M113.99%8.37M
Investing cash flow
Net PPE purchase and sale -306.25%-65K95.20%-16K56.30%-333K-75.58%-762K98.88%-434K-509.42%-38.81M28.22%-6.37M-106.19%-8.87M48.31%-4.3M61.27%-1.46M
Net intangibles purchase and sale --------------------36.91%-6.87M-3.88%-10.89M-28.31%-10.48M41.90%-8.17M----
Net investment product transactions ----------2.39M--0------------------------
Interest received (cash flow from investment activities) 3.18%357K19.72%346K-41.97%289K-87.10%498K697.31%3.86M209.74%484K-16.04%156.26K-39.98%186.12K59.90%310.1K-244.52%-100.69K
Investing cash flow -11.52%292K-85.92%330K987.88%2.34M-107.71%-264K107.58%3.43M-164.24%-45.19M10.78%-17.1M-57.60%-19.17M59.90%-12.16M74.60%-4.29M
Financing cash flow
Net issuance payments of debt 261.99%61.1M-178.27%-37.72M128.42%48.19M-614.26%-169.56M-40.45%32.97M182.00%55.37M-249.04%-67.52M509.23%45.3M-796.15%-11.07M11.68%56.45M
Net common stock issuance ---------------------------------88.40%9.61M-99.99%9.98K
Increase or decrease of lease financing --047.99%-194K31.05%-373K64.71%-541K---1.53M--0----------------
Cash dividends paid -------------------------------7.67M--------
Interest paid (cash flow from financing activities) -73.91%-4.06M-96.96%-2.33M63.63%-1.19M29.72%-3.26M50.96%-4.64M21.43%-9.45M-16.75%-12.03M9.26%-10.31M3.68%-11.36M15.37%-2.76M
Net other fund-raising expenses ---------------------167.13%-51.23M--76.31M------------
Financing cash flow 241.73%57.05M-186.31%-40.25M126.90%46.63M-746.81%-173.36M604.18%26.8M-63.95%-5.32M-111.86%-3.24M313.13%27.33M-118.93%-12.82M-57.12%53.69M
Net cash flow
Beginning cash position -58.21%43.09M-10.90%103.12M-43.51%115.74M9.23%204.88M106.31%187.56M-26.59%90.91M4.52%123.83M9.73%118.48M10.16%107.97M6.00%63.96M
Current changes in cash 250.16%71.34M-167.99%-47.51M81.47%-17.73M-799.58%-95.67M-86.72%13.68M373.12%102.96M-550.53%-37.7M-47.71%8.37M87.52%16M19.15%57.78M
Effect of exchange rate changes 149.42%6.19M-344.88%-12.52M-21.64%5.11M79.04%6.53M157.72%3.65M-228.09%-6.32M225.14%4.93M28.73%-3.94M-471.12%-5.53M-389.89%-3.32M
End cash Position 179.92%120.62M-58.21%43.09M-10.90%103.12M-43.51%115.74M9.23%204.88M105.97%187.56M-25.91%91.06M3.77%122.91M9.63%118.44M9.63%118.44M
Free cash flow 283.24%13.94M88.72%-7.61M-187.36%-67.43M554.44%77.19M-115.92%-16.99M377.49%106.71M-60.12%-38.46M-192.42%-24.02M149.01%25.99M95.24%-3.78M
Currency Unit HKDHKDHKDHKDHKDHKDHKDHKDHKDHKD

Analysis

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Price Target

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