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01918 SUNAC

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  • 1.220
  • +0.040+3.39%
Not Open Jun 19 16:08 CST
10.28BMarket Cap-1168P/E (TTM)

SUNAC Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
(Q6)Jun 30, 2019
Cash flow from operating activities
Earning before tax
83.60%-5.13B
----
28.32%-31.3B
----
-175.91%-43.67B
----
35.23%57.54B
----
48.43%42.55B
----
Profit adjustment
Interest (income) - adjustment
46.16%-1.52B
----
23.52%-2.83B
----
17.40%-3.7B
----
7.37%-4.48B
----
-64.81%-4.84B
----
Dividend (income)- adjustment
----
----
90.61%-15.79M
----
41.80%-168.09M
----
-53.13%-288.79M
----
---188.59M
----
Investment loss (gain)
----
----
----
----
----
----
----
----
-21.33%-162.8M
----
Attributable subsidiary (profit) loss
-4.72%-2.86B
----
-105.59%-2.73B
----
66.78%-1.33B
----
49.90%-4B
----
-65.57%-7.98B
----
Impairment and provisions:
346.59%17.22B
--0
-80.18%3.86B
--0
5,124.39%19.46B
--0
-86.30%372.45M
--0
-38.86%2.72B
--0
-Impairment of property, plant and equipment (reversal)
--11.6B
----
----
----
--7.21B
----
----
----
----
----
-Impairment of goodwill
65.00%779.05M
----
-90.89%472.17M
----
3,673.74%5.18B
----
135.52%137.39M
----
-69.14%58.34M
----
-Other impairments and provisions
43.02%4.84B
----
-52.07%3.38B
----
2,903.60%7.06B
----
-91.17%235.06M
----
-37.51%2.66B
----
Revaluation surplus:
1,230.32%4.07B
--0
214.03%306.31M
--0
96.96%-268.63M
--0
-341.59%-8.82B
--0
-52.42%-2B
--0
-Fair value of investment properties (increase)
576.76%3.95B
----
186.34%583.2M
----
-215.28%-675.43M
----
147.43%585.89M
----
-491.02%-1.24B
----
-Derivative financial instruments fair value (increase)
-1,766.16%-1.3B
----
-71.48%77.98M
----
10.56%273.45M
----
1,275.57%247.33M
----
105.41%17.98M
----
-Other fair value changes
502.23%1.43B
----
-366.12%-354.87M
----
101.38%133.35M
----
-1,136.63%-9.66B
----
-1.51%-780.86M
----
Asset sale loss (gain):
-75.78%1.96B
--0
-20.08%8.09B
--0
502.23%10.13B
--0
-12,515.56%-2.52B
--0
96.83%-19.96M
--0
-Loss (gain) from sale of subsidiary company
-85.18%1.06B
----
490.88%7.12B
----
3,608.94%1.21B
----
208.19%32.5M
----
95.28%-30.04M
----
-Loss (gain) on sale of property, machinery and equipment
7.89%929.34M
----
179.79%861.37M
----
87.25%307.87M
----
1,529.95%164.41M
----
-32.72%10.09M
----
-Loss (gain) from selling other assets
-122.83%-24.86M
----
-98.74%108.9M
----
417.30%8.61B
----
---2.71B
----
----
----
Depreciation and amortization:
12.38%3.58B
--0
-15.67%3.19B
--0
38.73%3.78B
--0
49.69%2.73B
--0
83.55%1.82B
--0
-Depreciation
15.02%3.37B
----
-18.25%2.93B
----
39.31%3.59B
----
47.84%2.58B
----
109.74%1.74B
----
-Amortization of intangible assets
-17.96%209.11M
----
32.36%254.9M
----
28.75%192.57M
----
91.05%149.57M
----
-51.43%78.29M
----
Financial expense
-13.92%26.69B
----
9.52%31.01B
----
29.83%28.31B
----
-15.50%21.81B
----
85.60%25.81B
----
Special items
-18,231.24%-31.47B
----
-65.23%173.59M
----
1,190.84%499.2M
----
97.21%-45.76M
----
67.57%-1.64B
----
Operating profit before the change of operating capital
28.68%12.54B
--0
-25.26%9.75B
--0
-79.06%13.04B
--0
11.09%62.29B
--0
69.27%56.07B
--0
Change of operating capital
Inventory (increase) decrease
416.92%423.37M
----
-126.96%-133.59M
----
64.92%-58.86M
----
-22.61%-167.79M
----
-3,161.30%-136.84M
----
Developing property (increase)decrease
241.19%69.31B
----
277.28%20.31B
----
32.76%-11.46B
----
82.18%-17.04B
----
-5,178.52%-95.61B
----
Accounts receivable (increase)decrease
-3.21%2.08B
----
-56.43%2.15B
----
46.19%4.93B
----
69.33%3.37B
----
119.95%1.99B
----
Accounts payable increase (decrease)
918.18%28.2B
----
81.31%-3.45B
----
-134.78%-18.44B
----
20.11%53.02B
----
832.78%44.14B
----
Cash  from business operations
-166.29%-14.37B
-137.08%-7.83B
183.07%21.68B
-8.90%21.1B
-128.53%-26.1B
-26.76%23.16B
126.13%91.48B
-38.88%31.63B
-36.03%40.46B
15.25%51.75B
Other taxs
-50.54%-1.42B
-9.42%-910.48M
93.26%-940.42M
92.73%-832.12M
21.50%-13.95B
-24.54%-11.44B
-34.62%-17.77B
-6.01%-9.19B
-17.94%-13.2B
-15.27%-8.67B
Special items of business
-1,726.10%-126.92B
----
50.76%-6.95B
----
-41.35%-14.12B
----
-129.37%-9.99B
----
1.51%34.01B
----
Net cash from operations
-176.12%-15.79B
-143.10%-8.74B
151.78%20.74B
72.96%20.27B
-154.34%-40.05B
-47.78%11.72B
170.46%73.71B
-47.91%22.44B
-47.64%27.25B
15.24%43.08B
Cash flow from investment activities
Interest received - investment
-51.39%294.41M
-57.60%183.7M
-56.87%605.71M
-71.51%433.28M
-65.03%1.4B
-25.96%1.52B
73.58%4.02B
246.06%2.05B
31.08%2.31B
-13.05%593.51M
Dividend received - investment
-27.58%187.24M
--20.99M
47.50%258.56M
----
-97.05%175.29M
-97.32%70.29M
664.57%5.95B
939.21%2.62B
76.75%778.31M
--252.04M
Loan receivable (increase) decrease
-83.96%1.07B
-90.96%480.41M
151.12%6.67B
337.21%5.32B
-215.40%-13.06B
23.36%-2.24B
2.64%11.31B
76.38%-2.92B
1,129.74%11.02B
-40.71%-12.38B
Sale of fixed assets
-22.71%396.29M
-39.58%100.29M
15.89%512.71M
55.46%166M
-85.21%442.43M
-87.66%106.78M
15,067.47%2.99B
--865.64M
--19.72M
----
Purchase of fixed assets
77.12%-860.24M
64.99%-686.2M
66.30%-3.76B
79.37%-1.96B
32.04%-11.15B
-11.74%-9.5B
11.63%-16.41B
19.53%-8.5B
-36.18%-18.57B
-70.05%-10.57B
Sale of subsidiaries
-77.38%498.66M
-64.56%396.11M
119.18%2.2B
536.33%1.12B
-92.16%1.01B
-98.52%175.67M
590.85%12.83B
3,716.41%11.86B
206.82%1.86B
10.16%-328.08M
Acquisition of subsidiaries
----
----
----
----
----
----
----
----
----
---11.22B
Recovery of cash from investments
-6.08%3.09B
-32.77%1.12B
-71.30%3.29B
-45.39%1.66B
146.36%11.45B
1,141.54%3.04B
2,239.95%4.65B
41.21%244.82M
-41.58%198.64M
-49.01%173.37M
Cash on investment
33.52%-2.43B
27.46%-1.12B
77.66%-3.66B
87.28%-1.54B
30.97%-16.39B
-47.67%-12.14B
52.87%-23.74B
72.16%-8.22B
-237.49%-50.36B
-361.85%-29.53B
Other items in the investment business
189.50%498.11M
141.82%118.58M
91.75%-556.52M
97.96%-283.56M
64.16%-6.75B
-65.50%-13.92B
-103.44%-18.82B
-21,710.85%-8.41B
-28.16%-9.25B
99.51%-38.57M
Net cash from investment operations
-50.80%2.74B
-87.57%609.92M
116.93%5.57B
114.92%4.91B
-90.78%-32.87B
-215.90%-32.89B
72.21%-17.23B
83.48%-10.41B
-81.93%-62B
-119.71%-63.04B
Net cash before financing
-149.60%-13.05B
-132.28%-8.13B
136.07%26.3B
218.91%25.18B
-229.10%-72.92B
-276.02%-21.17B
262.55%56.48B
160.25%12.03B
-293.30%-34.75B
-329.82%-19.96B
Cash flow from financing activities
New borrowing
-17.31%24.78B
19.39%15.68B
-87.38%29.97B
-88.91%13.14B
26.20%237.49B
8.71%118.49B
-22.62%188.19B
-18.56%109B
100.68%243.2B
145.94%133.84B
Refund
80.48%-11.59B
84.77%-6.41B
71.63%-59.37B
60.63%-42.05B
4.52%-209.29B
5.81%-106.81B
-31.74%-219.2B
-50.18%-113.4B
-53.82%-166.39B
-14.83%-75.51B
Issuing shares
----
----
-12.58%3.66B
6,953.77%3.66B
-42.35%4.19B
-99.28%51.92M
1,459.37%7.27B
2,832.87%7.23B
981.51%466.02M
1,097.79%246.45M
Interest paid - financing
60.57%-5.84B
65.73%-3.21B
50.21%-14.81B
32.16%-9.36B
-3.95%-29.74B
7.79%-13.79B
-19.77%-28.61B
-36.23%-14.96B
-77.07%-23.89B
-54.87%-10.98B
Dividends paid - financing
-23.90%-814.16M
-23.30%-584.25M
94.86%-657.1M
92.55%-473.83M
-7.71%-12.78B
-509.31%-6.36B
-146.24%-11.86B
-340.59%-1.04B
-7.04%-4.82B
---237.07M
Absorb investment income
-98.29%120K
-97.20%120K
-99.89%7.02M
-99.98%4.29M
-75.32%6.6B
440.21%20.37B
1,403.83%26.75B
2,827.34%3.77B
214.71%1.78B
--128.81M
Issuance expenses and redemption of securities expenses
----
----
----
----
90.95%-253.58M
----
-4.58%-2.8B
-94.12%-1.9B
33.29%-2.68B
48.76%-980.3M
Other items of the financing business
-83.92%1.94B
-118.89%-1.66B
257.42%12.09B
-24.38%8.79B
-257.08%-7.68B
79.00%11.62B
143.34%4.89B
275.21%6.49B
-372.61%-11.28B
-167.94%-3.71B
Net cash from financing operations
129.13%8.48B
114.55%3.83B
-154.20%-29.11B
-211.54%-26.29B
67.63%-11.45B
589.47%23.57B
-197.21%-35.38B
-111.25%-4.82B
449.03%36.39B
394.67%42.8B
Effect of rate
-67.23%21.45M
-109.61%-9.34M
2,715.57%65.46M
907.34%97.23M
100.69%2.33M
-116.55%-12.04M
-390.24%-337.17M
-66.72%72.78M
-41.57%116.17M
295.36%218.72M
Net Cash
-62.59%-4.57B
-284.79%-4.3B
96.67%-2.81B
-146.55%-1.12B
-499.77%-84.37B
-66.71%2.4B
1,181.80%21.1B
-68.42%7.21B
-78.19%1.65B
491.17%22.84B
Begining period cash
-19.12%11.6B
-19.12%11.6B
-85.47%14.34B
-85.47%14.34B
26.64%98.71B
26.64%98.71B
2.31%77.94B
2.31%77.94B
11.32%76.18B
11.32%76.18B
Cash at the end
-39.18%7.06B
-45.27%7.29B
-19.12%11.6B
-86.82%13.32B
-85.47%14.34B
18.62%101.1B
26.64%98.71B
-14.11%85.23B
2.31%77.94B
58.82%99.24B
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
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
--
--
--
--
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
Hong Kong Lixin Dehao Certified Public Accountants Limited
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019(Q6)Jun 30, 2019
Cash flow from operating activities
Earning before tax 83.60%-5.13B----28.32%-31.3B-----175.91%-43.67B----35.23%57.54B----48.43%42.55B----
Profit adjustment
Interest (income) - adjustment 46.16%-1.52B----23.52%-2.83B----17.40%-3.7B----7.37%-4.48B-----64.81%-4.84B----
Dividend (income)- adjustment --------90.61%-15.79M----41.80%-168.09M-----53.13%-288.79M-------188.59M----
Investment loss (gain) ---------------------------------21.33%-162.8M----
Attributable subsidiary (profit) loss -4.72%-2.86B-----105.59%-2.73B----66.78%-1.33B----49.90%-4B-----65.57%-7.98B----
Impairment and provisions: 346.59%17.22B--0-80.18%3.86B--05,124.39%19.46B--0-86.30%372.45M--0-38.86%2.72B--0
-Impairment of property, plant and equipment (reversal) --11.6B--------------7.21B--------------------
-Impairment of goodwill 65.00%779.05M-----90.89%472.17M----3,673.74%5.18B----135.52%137.39M-----69.14%58.34M----
-Other impairments and provisions 43.02%4.84B-----52.07%3.38B----2,903.60%7.06B-----91.17%235.06M-----37.51%2.66B----
Revaluation surplus: 1,230.32%4.07B--0214.03%306.31M--096.96%-268.63M--0-341.59%-8.82B--0-52.42%-2B--0
-Fair value of investment properties (increase) 576.76%3.95B----186.34%583.2M-----215.28%-675.43M----147.43%585.89M-----491.02%-1.24B----
-Derivative financial instruments fair value (increase) -1,766.16%-1.3B-----71.48%77.98M----10.56%273.45M----1,275.57%247.33M----105.41%17.98M----
-Other fair value changes 502.23%1.43B-----366.12%-354.87M----101.38%133.35M-----1,136.63%-9.66B-----1.51%-780.86M----
Asset sale loss (gain): -75.78%1.96B--0-20.08%8.09B--0502.23%10.13B--0-12,515.56%-2.52B--096.83%-19.96M--0
-Loss (gain) from sale of subsidiary company -85.18%1.06B----490.88%7.12B----3,608.94%1.21B----208.19%32.5M----95.28%-30.04M----
-Loss (gain) on sale of property, machinery and equipment 7.89%929.34M----179.79%861.37M----87.25%307.87M----1,529.95%164.41M-----32.72%10.09M----
-Loss (gain) from selling other assets -122.83%-24.86M-----98.74%108.9M----417.30%8.61B-------2.71B------------
Depreciation and amortization: 12.38%3.58B--0-15.67%3.19B--038.73%3.78B--049.69%2.73B--083.55%1.82B--0
-Depreciation 15.02%3.37B-----18.25%2.93B----39.31%3.59B----47.84%2.58B----109.74%1.74B----
-Amortization of intangible assets -17.96%209.11M----32.36%254.9M----28.75%192.57M----91.05%149.57M-----51.43%78.29M----
Financial expense -13.92%26.69B----9.52%31.01B----29.83%28.31B-----15.50%21.81B----85.60%25.81B----
Special items -18,231.24%-31.47B-----65.23%173.59M----1,190.84%499.2M----97.21%-45.76M----67.57%-1.64B----
Operating profit before the change of operating capital 28.68%12.54B--0-25.26%9.75B--0-79.06%13.04B--011.09%62.29B--069.27%56.07B--0
Change of operating capital
Inventory (increase) decrease 416.92%423.37M-----126.96%-133.59M----64.92%-58.86M-----22.61%-167.79M-----3,161.30%-136.84M----
Developing property (increase)decrease 241.19%69.31B----277.28%20.31B----32.76%-11.46B----82.18%-17.04B-----5,178.52%-95.61B----
Accounts receivable (increase)decrease -3.21%2.08B-----56.43%2.15B----46.19%4.93B----69.33%3.37B----119.95%1.99B----
Accounts payable increase (decrease) 918.18%28.2B----81.31%-3.45B-----134.78%-18.44B----20.11%53.02B----832.78%44.14B----
Cash  from business operations -166.29%-14.37B-137.08%-7.83B183.07%21.68B-8.90%21.1B-128.53%-26.1B-26.76%23.16B126.13%91.48B-38.88%31.63B-36.03%40.46B15.25%51.75B
Other taxs -50.54%-1.42B-9.42%-910.48M93.26%-940.42M92.73%-832.12M21.50%-13.95B-24.54%-11.44B-34.62%-17.77B-6.01%-9.19B-17.94%-13.2B-15.27%-8.67B
Special items of business -1,726.10%-126.92B----50.76%-6.95B-----41.35%-14.12B-----129.37%-9.99B----1.51%34.01B----
Net cash from operations -176.12%-15.79B-143.10%-8.74B151.78%20.74B72.96%20.27B-154.34%-40.05B-47.78%11.72B170.46%73.71B-47.91%22.44B-47.64%27.25B15.24%43.08B
Cash flow from investment activities
Interest received - investment -51.39%294.41M-57.60%183.7M-56.87%605.71M-71.51%433.28M-65.03%1.4B-25.96%1.52B73.58%4.02B246.06%2.05B31.08%2.31B-13.05%593.51M
Dividend received - investment -27.58%187.24M--20.99M47.50%258.56M-----97.05%175.29M-97.32%70.29M664.57%5.95B939.21%2.62B76.75%778.31M--252.04M
Loan receivable (increase) decrease -83.96%1.07B-90.96%480.41M151.12%6.67B337.21%5.32B-215.40%-13.06B23.36%-2.24B2.64%11.31B76.38%-2.92B1,129.74%11.02B-40.71%-12.38B
Sale of fixed assets -22.71%396.29M-39.58%100.29M15.89%512.71M55.46%166M-85.21%442.43M-87.66%106.78M15,067.47%2.99B--865.64M--19.72M----
Purchase of fixed assets 77.12%-860.24M64.99%-686.2M66.30%-3.76B79.37%-1.96B32.04%-11.15B-11.74%-9.5B11.63%-16.41B19.53%-8.5B-36.18%-18.57B-70.05%-10.57B
Sale of subsidiaries -77.38%498.66M-64.56%396.11M119.18%2.2B536.33%1.12B-92.16%1.01B-98.52%175.67M590.85%12.83B3,716.41%11.86B206.82%1.86B10.16%-328.08M
Acquisition of subsidiaries ---------------------------------------11.22B
Recovery of cash from investments -6.08%3.09B-32.77%1.12B-71.30%3.29B-45.39%1.66B146.36%11.45B1,141.54%3.04B2,239.95%4.65B41.21%244.82M-41.58%198.64M-49.01%173.37M
Cash on investment 33.52%-2.43B27.46%-1.12B77.66%-3.66B87.28%-1.54B30.97%-16.39B-47.67%-12.14B52.87%-23.74B72.16%-8.22B-237.49%-50.36B-361.85%-29.53B
Other items in the investment business 189.50%498.11M141.82%118.58M91.75%-556.52M97.96%-283.56M64.16%-6.75B-65.50%-13.92B-103.44%-18.82B-21,710.85%-8.41B-28.16%-9.25B99.51%-38.57M
Net cash from investment operations -50.80%2.74B-87.57%609.92M116.93%5.57B114.92%4.91B-90.78%-32.87B-215.90%-32.89B72.21%-17.23B83.48%-10.41B-81.93%-62B-119.71%-63.04B
Net cash before financing -149.60%-13.05B-132.28%-8.13B136.07%26.3B218.91%25.18B-229.10%-72.92B-276.02%-21.17B262.55%56.48B160.25%12.03B-293.30%-34.75B-329.82%-19.96B
Cash flow from financing activities
New borrowing -17.31%24.78B19.39%15.68B-87.38%29.97B-88.91%13.14B26.20%237.49B8.71%118.49B-22.62%188.19B-18.56%109B100.68%243.2B145.94%133.84B
Refund 80.48%-11.59B84.77%-6.41B71.63%-59.37B60.63%-42.05B4.52%-209.29B5.81%-106.81B-31.74%-219.2B-50.18%-113.4B-53.82%-166.39B-14.83%-75.51B
Issuing shares ---------12.58%3.66B6,953.77%3.66B-42.35%4.19B-99.28%51.92M1,459.37%7.27B2,832.87%7.23B981.51%466.02M1,097.79%246.45M
Interest paid - financing 60.57%-5.84B65.73%-3.21B50.21%-14.81B32.16%-9.36B-3.95%-29.74B7.79%-13.79B-19.77%-28.61B-36.23%-14.96B-77.07%-23.89B-54.87%-10.98B
Dividends paid - financing -23.90%-814.16M-23.30%-584.25M94.86%-657.1M92.55%-473.83M-7.71%-12.78B-509.31%-6.36B-146.24%-11.86B-340.59%-1.04B-7.04%-4.82B---237.07M
Absorb investment income -98.29%120K-97.20%120K-99.89%7.02M-99.98%4.29M-75.32%6.6B440.21%20.37B1,403.83%26.75B2,827.34%3.77B214.71%1.78B--128.81M
Issuance expenses and redemption of securities expenses ----------------90.95%-253.58M-----4.58%-2.8B-94.12%-1.9B33.29%-2.68B48.76%-980.3M
Other items of the financing business -83.92%1.94B-118.89%-1.66B257.42%12.09B-24.38%8.79B-257.08%-7.68B79.00%11.62B143.34%4.89B275.21%6.49B-372.61%-11.28B-167.94%-3.71B
Net cash from financing operations 129.13%8.48B114.55%3.83B-154.20%-29.11B-211.54%-26.29B67.63%-11.45B589.47%23.57B-197.21%-35.38B-111.25%-4.82B449.03%36.39B394.67%42.8B
Effect of rate -67.23%21.45M-109.61%-9.34M2,715.57%65.46M907.34%97.23M100.69%2.33M-116.55%-12.04M-390.24%-337.17M-66.72%72.78M-41.57%116.17M295.36%218.72M
Net Cash -62.59%-4.57B-284.79%-4.3B96.67%-2.81B-146.55%-1.12B-499.77%-84.37B-66.71%2.4B1,181.80%21.1B-68.42%7.21B-78.19%1.65B491.17%22.84B
Begining period cash -19.12%11.6B-19.12%11.6B-85.47%14.34B-85.47%14.34B26.64%98.71B26.64%98.71B2.31%77.94B2.31%77.94B11.32%76.18B11.32%76.18B
Cash at the end -39.18%7.06B-45.27%7.29B-19.12%11.6B-86.82%13.32B-85.47%14.34B18.62%101.1B26.64%98.71B-14.11%85.23B2.31%77.94B58.82%99.24B
Cash balance analysis
Cash and cash equivalent balance --0--0--0--0--0--0--0--0--0--0
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions ------------Unqualified Opinion--Unqualified Opinion--
Auditor Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--Hong Kong Lixin Dehao Certified Public Accountants Limited--PricewaterhouseCoopers--PricewaterhouseCoopers--

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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