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01448 FU SHOU YUAN

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  • 5.180
  • -0.070-1.33%
Trading 03/04 15:35 CST
12.02BMarket Cap12.85P/E (TTM)

FU SHOU YUAN Key Stats

All
YOY yoy
Hide blank lines yoy
(Q6)2023/06/30
(FY)2022/12/31
(Q6)2022/06/30
(FY)2021/12/31
(Q6)2021/06/30
(FY)2020/12/31
(Q6)2020/06/30
(FY)2019/12/31
(Q6)2019/06/30
(FY)2018/12/31
Cash flow from operating activities
Earning before tax
97.48%865.49M
-7.38%1.09B
-27.71%438.26M
20.32%1.18B
56.35%606.26M
3.53%980.09M
-20.92%387.75M
22.19%946.67M
23.17%490.35M
13.14%774.77M
Profit adjustment
Interest (income) - adjustment
-27.58%-7.04M
7.71%-13.72M
60.27%-5.52M
55.99%-14.87M
36.34%-13.89M
35.77%-33.79M
2.20%-21.82M
-10.76%-52.6M
11.35%-22.31M
-5.31%-47.49M
Investment loss (gain)
--393K
---9.24M
----
----
----
----
----
----
----
----
Attributable subsidiary (profit) loss
388.24%15.82M
-36.02%7.41M
-13.94%3.24M
289,525.00%11.58M
2,709.70%3.77M
-102.27%-4K
--134K
--176K
----
----
Impairment and provisions:
--19.59M
-67.60%1.24M
--0
--3.82M
--3.82M
--0
--0
--0
--0
--0
-Other impairments and provisions
--19.59M
-67.60%1.24M
----
--3.82M
--3.82M
----
----
----
----
----
Revaluation surplus:
-35.74%-22.42M
-9.33%-30.57M
-10.52%-16.52M
-50.05%-27.97M
-299.63%-14.95M
-30.57%-18.64M
-93.18%-3.74M
-84.56%-14.27M
---1.94M
---7.73M
-Other fair value changes
-35.74%-22.42M
-9.33%-30.57M
-10.52%-16.52M
-50.05%-27.97M
-299.63%-14.95M
-30.57%-18.64M
-93.18%-3.74M
-84.56%-14.27M
---1.94M
---7.73M
Asset sale loss (gain):
---9.31M
-91.78%47K
--0
-53.57%572K
578.87%340K
259.59%1.23M
-16.39%-71K
-106.94%-772K
-154.17%-61K
14,157.69%11.12M
-Loss (gain) on sale of property, machinery and equipment
--87K
-91.78%47K
----
-53.57%572K
578.87%340K
259.59%1.23M
-16.39%-71K
-106.94%-772K
-154.17%-61K
14,157.69%11.12M
-Loss (gain) from selling other assets
---9.39M
----
----
----
----
----
----
----
----
----
Depreciation and amortization:
4.16%80.89M
6.28%155.95M
7.06%77.66M
7.33%146.73M
13.74%72.54M
11.00%136.71M
7.39%63.77M
32.83%123.17M
30.93%59.38M
24.14%92.73M
-Depreciation
-1.72%26.51M
1.74%76.43M
5.34%26.97M
43.67%75.12M
9.52%25.6M
13.29%52.29M
3.58%23.38M
11.15%46.16M
15.90%22.57M
29.23%41.53M
-Amortization of intangible assets
6.24%20.09M
64.19%15.3M
18.94%18.91M
-69.25%9.32M
0.66%15.9M
4.87%30.3M
21.77%15.79M
600.44%28.89M
980.83%12.97M
170.67%4.13M
-Other depreciation and amortization
7.91%34.29M
3.10%64.23M
2.40%31.78M
15.10%62.29M
26.16%31.04M
12.47%54.12M
3.18%24.6M
2.21%48.12M
-3.40%23.84M
14.72%47.08M
Financial expense
17.16%2.59M
-30.89%5.01M
-17.45%2.21M
-23.93%7.25M
-42.02%2.68M
-14.41%9.53M
-15.48%4.63M
34.19%11.13M
33.81%5.47M
-46.79%8.29M
Special items
----
----
----
----
----
-88.05%1.4M
-79.99%1.61M
-61.57%11.74M
-52.88%8.03M
-28.19%30.55M
Operating profit before the change of operating capital
89.45%946M
-7.50%1.21B
-24.41%499.33M
21.35%1.31B
52.82%660.56M
5.00%1.08B
-19.79%432.26M
18.90%1.03B
22.65%538.93M
11.66%862.24M
Change of operating capital
Inventory (increase) decrease
493.42%42.2M
89.05%-5.22M
-132.29%-10.73M
48.84%-47.62M
703.38%33.22M
15.00%-93.07M
88.20%-5.51M
-3.75%-109.49M
-915.80%-46.67M
-83.15%-105.53M
Accounts receivable (increase)decrease
101.35%144K
55.67%-29.15M
43.70%-10.65M
-450.69%-65.74M
-263.67%-18.92M
75.16%-11.94M
248.79%11.56M
-737.11%-48.07M
43.32%-7.77M
-188.57%-5.74M
Accounts payable increase (decrease)
76.28%-16.07M
-401.22%-39.88M
-19.91%-67.73M
-86.47%13.24M
-28.72%-56.49M
180.98%97.86M
43.12%-43.88M
5.27%34.83M
-60.56%-77.15M
-18.81%33.09M
prepayments (increase)decrease
----
79.39%-1.66M
----
89.96%-8.07M
--10.33M
---80.35M
----
----
----
59.70%-4.03M
Cash  from business operations
109.67%885.61M
-7.68%1.17B
-36.06%422.39M
22.54%1.26B
63.31%660.61M
9.82%1.03B
-3.57%404.52M
14.66%939M
36.03%419.5M
4.30%818.97M
Other taxs
-20.01%-218.25M
-15.61%-313.64M
-16.49%-181.86M
-29.86%-271.28M
-70.36%-156.12M
9.92%-208.9M
20.66%-91.64M
-56.23%-231.91M
-20.59%-115.51M
-8.35%-148.44M
Special items of business
-812.49%-86.67M
-47.86%34.15M
-61.86%12.16M
55.11%65.49M
215.93%31.9M
15.68%42.22M
-16.91%10.1M
-6.28%36.5M
-25.97%12.15M
16.68%38.94M
Net cash from operations
177.46%667.36M
-14.05%852.93M
-52.32%240.53M
20.67%992.37M
61.24%504.48M
16.30%822.35M
2.92%312.88M
5.45%707.08M
42.99%303.99M
3.45%670.52M
Cash flow from investment activities
Interest received - investment
25.20%7.16M
-18.70%13.87M
-61.39%5.72M
-54.65%17.06M
-43.18%14.82M
-13.76%37.63M
40.69%26.09M
-6.41%43.63M
-1.50%18.54M
-3.00%46.62M
Restricted cash (increase) decrease
----
----
----
----
---83.2M
----
----
----
----
----
Loan receivable (increase) decrease
182.70%48M
-935.11%-58.04M
-16.44%-58.04M
247.50%6.95M
-3,422.93%-49.84M
-33.33%2M
0.00%1.5M
200.00%3M
50.00%1.5M
-31.03%1M
Decrease in deposits (increase)
-104.37%-10.43M
188.29%252.21M
171.79%238.35M
-3,477.20%-285.68M
-52.97%-332.01M
-78.77%8.46M
-273.69%-217.04M
204.02%39.84M
83.42%-58.08M
-113.49%-38.3M
Sale of fixed assets
-22.91%498K
204.58%3.86M
-45.07%646K
-44.55%1.27M
292.00%1.18M
102.21%2.28M
-1.64%300K
-53.50%1.13M
29.24%305K
616.22%2.43M
Selling intangible assets
--12.77M
----
----
----
----
----
----
----
----
----
Purchase of intangible assets
----
-27.52%-10.8M
----
-36.43%-8.47M
22.10%-3.07M
-13.43%-6.21M
-134.05%-3.95M
63.32%-5.47M
81.52%-1.69M
-44.27%-14.93M
Acquisition of subsidiaries
42.72%-38.55M
17.22%-82.14M
-273.85%-67.29M
79.51%-99.22M
-85.32%-18M
-1,076.97%-484.31M
73.39%-9.71M
77.41%-41.15M
62.98%-36.5M
-135.58%-182.18M
Recovery of cash from investments
8.77%501.7M
-23.48%709.78M
-50.15%461.27M
-0.18%927.58M
156.80%925.39M
56.22%929.28M
22.93%360.35M
--594.87M
--293.15M
----
Cash on investment
-108.88%-631.05M
64.71%-410.77M
71.53%-302.11M
26.64%-1.16B
-61.26%-1.06B
-188.40%-1.59B
-200.17%-657.95M
33.50%-550.09M
19.08%-219.19M
-639.66%-827.19M
Other items in the investment business
----
89.23%-4.73M
----
-272.93%-43.95M
----
87.99%-11.79M
40.80%-29.48M
-999.34%-98.13M
-895.86%-49.79M
---8.93M
Net cash from investment operations
-139.45%-109.88M
163.74%413.24M
145.98%278.54M
41.55%-648.3M
-14.32%-605.75M
-8,867.38%-1.11B
-923.74%-529.89M
98.79%-12.37M
92.75%-51.76M
-858.49%-1.02B
Net cash before financing
7.40%557.48M
268.00%1.27B
612.57%519.07M
219.99%344.07M
53.34%-101.27M
-141.27%-286.74M
-186.04%-217.01M
297.96%694.72M
150.33%252.23M
-144.83%-350.94M
Cash flow from financing activities
New borrowing
----
----
----
--5.2M
-89.60%5.2M
----
150.00%50M
-65.31%26M
17.99%20M
78.29%74.95M
Refund
-4,206.63%-84.41M
96.33%-4.41M
67.33%-1.96M
-8.38%-120.16M
86.05%-6M
-8.16%-110.87M
-196.55%-43M
-48.21%-102.5M
19.44%-14.5M
-30.61%-69.16M
Issuing shares
----
----
----
-83.02%41.83M
-75.08%41.83M
37.23%246.34M
169.17%167.85M
13.56%179.51M
-50.78%62.36M
22.88%158.07M
Interest paid - financing
---238K
66.93%-1.07M
----
54.20%-3.22M
49.66%-1.46M
35.63%-7.03M
22.47%-2.91M
30.47%-10.92M
65.60%-3.75M
-86.56%-15.71M
Dividends paid - financing
3.91%-170.95M
3.51%-330.75M
0.27%-177.91M
-16.24%-342.78M
7.08%-178.38M
-7.62%-294.89M
-2.81%-191.98M
-12.23%-274.02M
-37.18%-186.73M
-19.84%-244.15M
Absorb investment income
----
----
----
-43.84%14.19M
1.86%7.19M
22.13%25.27M
220.91%7.06M
474.69%20.69M
-38.89%2.2M
-65.55%3.6M
Issuance expenses and redemption of securities expenses
----
---1.92M
----
----
----
----
-80,548.72%-188.72M
---234K
---234K
----
Other items of the financing business
67.90%-17.48M
37.05%-61.4M
-234.44%-54.46M
71.74%-97.54M
88.85%-16.28M
-1,647.83%-345.2M
-1,235.08%-146.07M
---19.75M
---10.94M
----
Net cash from financing operations
-16.54%-273.08M
20.49%-399.54M
-58.43%-234.33M
-3.31%-502.49M
57.47%-147.91M
-168.39%-486.38M
-164.26%-347.76M
-96.14%-181.23M
-640.16%-131.6M
-9.01%-92.4M
Net Cash
-0.12%284.4M
647.06%866.63M
214.27%284.74M
79.51%-158.42M
55.88%-249.18M
-250.56%-773.12M
-568.20%-564.78M
215.82%513.49M
123.25%120.63M
-163.51%-443.34M
Begining period cash
80.57%1.94B
-12.84%1.08B
-12.84%1.08B
-38.52%1.23B
-38.52%1.23B
34.38%2.01B
34.38%2.01B
-22.89%1.49B
-22.89%1.49B
56.35%1.94B
Cash at the end
63.68%2.23B
80.57%1.94B
38.13%1.36B
-12.84%1.08B
-31.72%984.85M
-38.52%1.23B
-10.65%1.44B
34.38%2.01B
13.84%1.61B
-22.89%1.49B
Cash balance analysis
Cash and cash equivalent balance
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
Deloitte & Touche Tohmatsu Certified Public Accountants
--
Deloitte & Touche Tohmatsu Certified Public Accountants
--
Deloitte & Touche Tohmatsu Certified Public Accountants
--
Deloitte & Touche Tohmatsu Certified Public Accountants
--
Deloitte & Touche Tohmatsu Certified Public Accountants
(Q6)2023/06/30(FY)2022/12/31(Q6)2022/06/30(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30(FY)2019/12/31(Q6)2019/06/30(FY)2018/12/31
Cash flow from operating activities
Earning before tax 97.48%865.49M-7.38%1.09B-27.71%438.26M20.32%1.18B56.35%606.26M3.53%980.09M-20.92%387.75M22.19%946.67M23.17%490.35M13.14%774.77M
Profit adjustment
Interest (income) - adjustment -27.58%-7.04M7.71%-13.72M60.27%-5.52M55.99%-14.87M36.34%-13.89M35.77%-33.79M2.20%-21.82M-10.76%-52.6M11.35%-22.31M-5.31%-47.49M
Investment loss (gain) --393K---9.24M--------------------------------
Attributable subsidiary (profit) loss 388.24%15.82M-36.02%7.41M-13.94%3.24M289,525.00%11.58M2,709.70%3.77M-102.27%-4K--134K--176K--------
Impairment and provisions: --19.59M-67.60%1.24M--0--3.82M--3.82M--0--0--0--0--0
-Other impairments and provisions --19.59M-67.60%1.24M------3.82M--3.82M--------------------
Revaluation surplus: -35.74%-22.42M-9.33%-30.57M-10.52%-16.52M-50.05%-27.97M-299.63%-14.95M-30.57%-18.64M-93.18%-3.74M-84.56%-14.27M---1.94M---7.73M
-Other fair value changes -35.74%-22.42M-9.33%-30.57M-10.52%-16.52M-50.05%-27.97M-299.63%-14.95M-30.57%-18.64M-93.18%-3.74M-84.56%-14.27M---1.94M---7.73M
Asset sale loss (gain): ---9.31M-91.78%47K--0-53.57%572K578.87%340K259.59%1.23M-16.39%-71K-106.94%-772K-154.17%-61K14,157.69%11.12M
-Loss (gain) on sale of property, machinery and equipment --87K-91.78%47K-----53.57%572K578.87%340K259.59%1.23M-16.39%-71K-106.94%-772K-154.17%-61K14,157.69%11.12M
-Loss (gain) from selling other assets ---9.39M------------------------------------
Depreciation and amortization: 4.16%80.89M6.28%155.95M7.06%77.66M7.33%146.73M13.74%72.54M11.00%136.71M7.39%63.77M32.83%123.17M30.93%59.38M24.14%92.73M
-Depreciation -1.72%26.51M1.74%76.43M5.34%26.97M43.67%75.12M9.52%25.6M13.29%52.29M3.58%23.38M11.15%46.16M15.90%22.57M29.23%41.53M
-Amortization of intangible assets 6.24%20.09M64.19%15.3M18.94%18.91M-69.25%9.32M0.66%15.9M4.87%30.3M21.77%15.79M600.44%28.89M980.83%12.97M170.67%4.13M
-Other depreciation and amortization 7.91%34.29M3.10%64.23M2.40%31.78M15.10%62.29M26.16%31.04M12.47%54.12M3.18%24.6M2.21%48.12M-3.40%23.84M14.72%47.08M
Financial expense 17.16%2.59M-30.89%5.01M-17.45%2.21M-23.93%7.25M-42.02%2.68M-14.41%9.53M-15.48%4.63M34.19%11.13M33.81%5.47M-46.79%8.29M
Special items ---------------------88.05%1.4M-79.99%1.61M-61.57%11.74M-52.88%8.03M-28.19%30.55M
Operating profit before the change of operating capital 89.45%946M-7.50%1.21B-24.41%499.33M21.35%1.31B52.82%660.56M5.00%1.08B-19.79%432.26M18.90%1.03B22.65%538.93M11.66%862.24M
Change of operating capital
Inventory (increase) decrease 493.42%42.2M89.05%-5.22M-132.29%-10.73M48.84%-47.62M703.38%33.22M15.00%-93.07M88.20%-5.51M-3.75%-109.49M-915.80%-46.67M-83.15%-105.53M
Accounts receivable (increase)decrease 101.35%144K55.67%-29.15M43.70%-10.65M-450.69%-65.74M-263.67%-18.92M75.16%-11.94M248.79%11.56M-737.11%-48.07M43.32%-7.77M-188.57%-5.74M
Accounts payable increase (decrease) 76.28%-16.07M-401.22%-39.88M-19.91%-67.73M-86.47%13.24M-28.72%-56.49M180.98%97.86M43.12%-43.88M5.27%34.83M-60.56%-77.15M-18.81%33.09M
prepayments (increase)decrease ----79.39%-1.66M----89.96%-8.07M--10.33M---80.35M------------59.70%-4.03M
Cash  from business operations 109.67%885.61M-7.68%1.17B-36.06%422.39M22.54%1.26B63.31%660.61M9.82%1.03B-3.57%404.52M14.66%939M36.03%419.5M4.30%818.97M
Other taxs -20.01%-218.25M-15.61%-313.64M-16.49%-181.86M-29.86%-271.28M-70.36%-156.12M9.92%-208.9M20.66%-91.64M-56.23%-231.91M-20.59%-115.51M-8.35%-148.44M
Special items of business -812.49%-86.67M-47.86%34.15M-61.86%12.16M55.11%65.49M215.93%31.9M15.68%42.22M-16.91%10.1M-6.28%36.5M-25.97%12.15M16.68%38.94M
Net cash from operations 177.46%667.36M-14.05%852.93M-52.32%240.53M20.67%992.37M61.24%504.48M16.30%822.35M2.92%312.88M5.45%707.08M42.99%303.99M3.45%670.52M
Cash flow from investment activities
Interest received - investment 25.20%7.16M-18.70%13.87M-61.39%5.72M-54.65%17.06M-43.18%14.82M-13.76%37.63M40.69%26.09M-6.41%43.63M-1.50%18.54M-3.00%46.62M
Restricted cash (increase) decrease -------------------83.2M--------------------
Loan receivable (increase) decrease 182.70%48M-935.11%-58.04M-16.44%-58.04M247.50%6.95M-3,422.93%-49.84M-33.33%2M0.00%1.5M200.00%3M50.00%1.5M-31.03%1M
Decrease in deposits (increase) -104.37%-10.43M188.29%252.21M171.79%238.35M-3,477.20%-285.68M-52.97%-332.01M-78.77%8.46M-273.69%-217.04M204.02%39.84M83.42%-58.08M-113.49%-38.3M
Sale of fixed assets -22.91%498K204.58%3.86M-45.07%646K-44.55%1.27M292.00%1.18M102.21%2.28M-1.64%300K-53.50%1.13M29.24%305K616.22%2.43M
Selling intangible assets --12.77M------------------------------------
Purchase of intangible assets -----27.52%-10.8M-----36.43%-8.47M22.10%-3.07M-13.43%-6.21M-134.05%-3.95M63.32%-5.47M81.52%-1.69M-44.27%-14.93M
Acquisition of subsidiaries 42.72%-38.55M17.22%-82.14M-273.85%-67.29M79.51%-99.22M-85.32%-18M-1,076.97%-484.31M73.39%-9.71M77.41%-41.15M62.98%-36.5M-135.58%-182.18M
Recovery of cash from investments 8.77%501.7M-23.48%709.78M-50.15%461.27M-0.18%927.58M156.80%925.39M56.22%929.28M22.93%360.35M--594.87M--293.15M----
Cash on investment -108.88%-631.05M64.71%-410.77M71.53%-302.11M26.64%-1.16B-61.26%-1.06B-188.40%-1.59B-200.17%-657.95M33.50%-550.09M19.08%-219.19M-639.66%-827.19M
Other items in the investment business ----89.23%-4.73M-----272.93%-43.95M----87.99%-11.79M40.80%-29.48M-999.34%-98.13M-895.86%-49.79M---8.93M
Net cash from investment operations -139.45%-109.88M163.74%413.24M145.98%278.54M41.55%-648.3M-14.32%-605.75M-8,867.38%-1.11B-923.74%-529.89M98.79%-12.37M92.75%-51.76M-858.49%-1.02B
Net cash before financing 7.40%557.48M268.00%1.27B612.57%519.07M219.99%344.07M53.34%-101.27M-141.27%-286.74M-186.04%-217.01M297.96%694.72M150.33%252.23M-144.83%-350.94M
Cash flow from financing activities
New borrowing --------------5.2M-89.60%5.2M----150.00%50M-65.31%26M17.99%20M78.29%74.95M
Refund -4,206.63%-84.41M96.33%-4.41M67.33%-1.96M-8.38%-120.16M86.05%-6M-8.16%-110.87M-196.55%-43M-48.21%-102.5M19.44%-14.5M-30.61%-69.16M
Issuing shares -------------83.02%41.83M-75.08%41.83M37.23%246.34M169.17%167.85M13.56%179.51M-50.78%62.36M22.88%158.07M
Interest paid - financing ---238K66.93%-1.07M----54.20%-3.22M49.66%-1.46M35.63%-7.03M22.47%-2.91M30.47%-10.92M65.60%-3.75M-86.56%-15.71M
Dividends paid - financing 3.91%-170.95M3.51%-330.75M0.27%-177.91M-16.24%-342.78M7.08%-178.38M-7.62%-294.89M-2.81%-191.98M-12.23%-274.02M-37.18%-186.73M-19.84%-244.15M
Absorb investment income -------------43.84%14.19M1.86%7.19M22.13%25.27M220.91%7.06M474.69%20.69M-38.89%2.2M-65.55%3.6M
Issuance expenses and redemption of securities expenses -------1.92M-----------------80,548.72%-188.72M---234K---234K----
Other items of the financing business 67.90%-17.48M37.05%-61.4M-234.44%-54.46M71.74%-97.54M88.85%-16.28M-1,647.83%-345.2M-1,235.08%-146.07M---19.75M---10.94M----
Net cash from financing operations -16.54%-273.08M20.49%-399.54M-58.43%-234.33M-3.31%-502.49M57.47%-147.91M-168.39%-486.38M-164.26%-347.76M-96.14%-181.23M-640.16%-131.6M-9.01%-92.4M
Net Cash -0.12%284.4M647.06%866.63M214.27%284.74M79.51%-158.42M55.88%-249.18M-250.56%-773.12M-568.20%-564.78M215.82%513.49M123.25%120.63M-163.51%-443.34M
Begining period cash 80.57%1.94B-12.84%1.08B-12.84%1.08B-38.52%1.23B-38.52%1.23B34.38%2.01B34.38%2.01B-22.89%1.49B-22.89%1.49B56.35%1.94B
Cash at the end 63.68%2.23B80.57%1.94B38.13%1.36B-12.84%1.08B-31.72%984.85M-38.52%1.23B-10.65%1.44B34.38%2.01B13.84%1.61B-22.89%1.49B
Cash balance analysis
Cash and cash equivalent balance --0--0--0--0--0--0--0--0--0--0
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Deloitte & Touche Tohmatsu Certified Public Accountants--Deloitte & Touche Tohmatsu Certified Public Accountants--Deloitte & Touche Tohmatsu Certified Public Accountants--Deloitte & Touche Tohmatsu Certified Public Accountants--Deloitte & Touche Tohmatsu Certified Public Accountants

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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