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01930 SHINELONG

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  • 0.300
  • +0.020+7.14%
Not Open Apr 30 16:08 CST
198.00MMarket Cap8.82P/E (TTM)

SHINELONG Key Stats

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YOY yoy
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(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
32.70%24.69M
87.78%17M
-27.40%18.61M
-12.24%9.05M
-24.80%25.63M
-53.02%10.32M
8.62%34.09M
307.19%21.96M
-17.57%31.38M
-63.60%5.39M
Profit adjustment
Interest (income) - adjustment
23.08%-1.15M
4.81%-574K
-19.35%-1.5M
-55.81%-603K
4.34%-1.26M
18.70%-387K
-126.77%-1.31M
-720.69%-476K
-632.91%-579K
9.38%-58K
Impairment and provisions:
-82.99%1.13M
-42.57%1.16M
12.79%6.62M
69.87%2.01M
-56.53%5.87M
-90.35%1.19M
430.23%13.51M
47.67%12.28M
118.44%2.55M
261.79%8.31M
-Impairmen of inventory (reversal)
-87.78%924K
-68.51%1.08M
60.70%7.56M
191.43%3.43M
4.88%4.71M
-73.47%1.18M
78.23%4.49M
-45.39%4.44M
131.77%2.52M
283.22%8.13M
-Impairment of trade receivables (reversal)
121.49%202K
105.28%75K
-180.69%-940K
-20,385.71%-1.42M
-87.08%1.17M
-99.91%7K
29,963.33%9.02M
4,205.49%7.84M
-62.50%30K
3.41%182K
Revaluation surplus:
--0
--0
--0
--0
--0
-37.75%-208K
--0
---151K
--0
--0
-Other fair value changes
----
----
----
----
----
-37.75%-208K
----
---151K
----
----
Asset sale loss (gain):
80.74%-99K
27.54%-50K
92.93%-514K
-428.57%-69K
-827.55%-7.27M
950.00%21K
-8,811.11%-784K
108.00%2K
-87.50%9K
-144.64%-25K
-Loss (gain) on sale of property, machinery and equipment
80.74%-99K
27.54%-50K
90.67%-514K
-428.57%-69K
-603.06%-5.51M
950.00%21K
-8,811.11%-784K
108.00%2K
-87.50%9K
-144.64%-25K
-Loss (gain) from selling other assets
----
----
----
----
---1.76M
----
----
----
----
----
Depreciation and amortization:
-2.77%17.63M
1.97%8.89M
13.36%18.13M
16.20%8.71M
12.95%15.99M
11.81%7.5M
11.28%14.16M
6.16%6.71M
35.19%12.72M
40.62%6.32M
-Depreciation
-1.24%16.98M
4.94%8.54M
15.63%17.19M
17.83%8.14M
17.13%14.87M
15.40%6.91M
10.69%12.69M
5.42%5.99M
39.26%11.47M
44.99%5.68M
-Amortization of intangible assets
-30.92%648K
-40.07%344K
-16.62%938K
-2.88%574K
-23.21%1.13M
-18.03%591K
16.64%1.47M
12.66%721K
6.71%1.26M
10.92%640K
Financial expense
-19.75%512K
-31.32%261K
-7.80%638K
7.65%380K
-17.42%692K
-14.73%353K
-24.09%838K
-23.33%414K
204.13%1.1M
70.35%540K
Exchange Loss (gain)
-103.97%-40K
-103.82%-11K
553.60%1.01M
1,007.69%288K
-177.89%-222K
-98.23%26K
210.89%285K
--1.47M
-177.41%-257K
----
Special items
-38.50%-2.28M
-17.33%-941K
-1,154.96%-1.64M
-843.53%-802K
75.33%-131K
72.04%-85K
10.91%-531K
-67.03%-304K
-142.28%-596K
-76.70%-182K
Operating profit before the change of operating capital
-2.32%40.39M
35.59%25.73M
5.19%41.35M
1.36%18.98M
-34.76%39.31M
-55.32%18.72M
30.03%60.25M
106.40%41.9M
-5.62%46.33M
-7.47%20.3M
Change of operating capital
Inventory (increase) decrease
67.32%-23.45M
41.63%-25.81M
-5,244.15%-71.77M
-2,231.92%-44.22M
97.40%-1.34M
105.05%2.07M
-2,502.07%-51.65M
-313.96%-41.05M
90.27%-1.99M
58.87%-9.92M
Accounts receivable (increase)decrease
110.31%1.43M
-79.91%3.65M
-4.88%-13.87M
624.73%18.17M
-233.81%-13.22M
-126.87%-3.46M
135.21%9.88M
241.45%12.88M
-16.81%-28.07M
45.16%-9.11M
Accounts payable increase (decrease)
-262.33%-11.54M
18.81%-7.36M
-53.19%7.11M
26.10%-9.06M
402.59%15.19M
-186.99%-12.26M
72.85%-5.02M
203.40%14.09M
-174.99%-18.49M
-49.60%4.65M
prepayments (increase)decrease
-21.86%840K
-132.16%-439K
133.14%1.08M
453.63%1.37M
-1,546.70%-3.24M
-301.04%-386K
-110.37%-197K
-90.07%192K
159.94%1.9M
248.43%1.93M
Cash  from business operations
416.86%38.09M
38.93%14.09M
-157.50%-12.02M
1,115.93%10.14M
-62.43%20.9M
-102.20%-998K
458.46%55.64M
138.73%45.32M
-149.35%-15.52M
340.49%18.99M
Other taxs
42.12%-1.65M
77.73%-285K
35.69%-2.84M
67.95%-1.28M
46.13%-4.42M
10.07%-3.99M
-37.53%-8.21M
-30.31%-4.44M
-17.32%-5.97M
-40.13%-3.41M
Special items of business
26.29%30.42M
-26.48%18.31M
252.63%24.09M
538.08%24.91M
-137.24%-15.78M
-132.86%-5.69M
378.61%42.38M
55.49%17.31M
-387.18%-15.21M
-26.66%11.13M
Net cash from operations
345.16%36.44M
55.79%13.8M
-190.18%-14.86M
277.46%8.86M
-65.25%16.48M
-112.21%-4.99M
320.72%47.44M
162.45%40.88M
-181.50%-21.49M
729.45%15.58M
Cash flow from investment activities
Interest received - investment
-63.51%547K
-26.99%430K
19.35%1.5M
51.80%589K
-4.34%1.26M
-18.49%388K
126.77%1.31M
720.69%476K
632.91%579K
-9.38%58K
Decrease in deposits (increase)
-89.51%66K
----
-91.29%629K
----
172.20%7.22M
----
---10M
----
----
----
Sale of fixed assets
-91.41%735K
1.97%569K
287.63%8.56M
-9.71%558K
69.51%2.21M
15,350.00%618K
1,590.91%1.3M
-94.20%4K
-78.49%77K
-53.69%69K
Purchase of fixed assets
-23.70%-59.58M
-281.09%-25.79M
-313.60%-48.16M
-31.37%-6.77M
43.84%-11.65M
54.28%-5.15M
-335.81%-20.74M
-147.54%-11.27M
77.26%-4.76M
69.91%-4.55M
Selling intangible assets
----
----
----
--4.52M
--2.52M
----
----
----
----
----
Purchase of intangible assets
35.59%-675K
----
86.53%-1.05M
-41.13%-549K
-1,475.51%-7.78M
-25.48%-389K
37.70%-494K
-811.76%-310K
-2.06%-793K
---34K
Recovery of cash from investments
----
--188K
----
----
----
13,714.39%38.4M
----
--278K
----
----
Cash on investment
----
----
----
----
----
-85.41%-38.01M
----
---20.5M
----
----
Other items in the investment business
1,345.56%2.6M
----
-90.96%180K
----
67.45%1.99M
----
-29.85%1.19M
----
111.88%1.7M
220.00%960K
Net cash from investment operations
-46.82%-56.3M
-1,388.51%-24.61M
-805.53%-38.35M
60.08%-1.65M
84.56%-4.24M
86.78%-4.14M
-757.06%-27.43M
-795.11%-31.32M
84.36%-3.2M
76.06%-3.5M
Net cash before financing
62.67%-19.86M
-249.93%-10.8M
-534.50%-53.21M
178.90%7.21M
-38.79%12.25M
-195.51%-9.13M
181.04%20.01M
-20.83%9.56M
-518.00%-24.69M
194.81%12.08M
Cash flow from financing activities
New borrowing
181.75%16.91M
--7.87M
200.00%6M
----
--2M
----
----
----
--8.5M
--8.5M
Refund
---4M
----
----
----
---2M
----
----
----
66.42%-8.5M
0.28%-8.5M
Issuing shares
----
----
----
----
----
----
----
----
35,867.13%128.04M
--13.09M
Interest paid - financing
-40.34%-908K
-17.89%-448K
6.50%-647K
-7.65%-380K
17.42%-692K
14.73%-353K
24.09%-838K
-9.81%-414K
-186.75%-1.1M
-11.21%-377K
Dividends paid - financing
9.88%-1.39M
----
24.57%-1.54M
----
45.03%-2.04M
----
---3.71M
----
----
----
Absorb investment income
----
----
-33.33%300K
-50.00%150K
--450K
--300K
----
----
----
----
Issuance expenses and redemption of securities expenses
---863K
----
----
----
---1.56M
----
----
----
---21.62M
---6.28M
Other items of the financing business
-172.50%-2.37M
-141.42%-2.04M
164.19%3.27M
338.37%4.92M
-69.03%-5.09M
-29.08%-2.06M
68.98%-3.01M
81.45%-1.6M
-254.44%-9.71M
---8.62M
Net cash from financing operations
-0.08%7.38M
14.80%5.38M
182.65%7.38M
321.54%4.69M
-18.17%-8.93M
-5.17%-2.12M
-107.91%-7.56M
8.21%-2.01M
475.29%95.6M
75.26%-2.19M
Effect of rate
-90.67%206K
-75.28%381K
290.26%2.21M
395.78%1.54M
66.23%-1.16M
-356.65%-521K
-282.81%-3.44M
--203K
3,734.69%1.88M
----
Net Cash
72.76%-12.49M
-145.56%-5.42M
-1,483.31%-45.83M
205.74%11.9M
-73.39%3.31M
-249.03%-11.25M
-82.44%12.45M
-23.63%7.55M
462.39%70.91M
145.76%9.89M
Begining period cash
-44.48%54.45M
-44.48%54.45M
2.24%98.07M
2.24%98.07M
10.37%95.92M
10.37%95.92M
515.82%86.9M
515.82%86.9M
-58.04%14.11M
-58.04%14.11M
Cash at the end
-22.55%42.17M
-55.69%49.41M
-44.48%54.45M
32.52%111.51M
2.24%98.07M
-11.10%84.15M
10.37%95.92M
294.45%94.66M
515.82%86.9M
99.33%24M
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
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
(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 32.70%24.69M87.78%17M-27.40%18.61M-12.24%9.05M-24.80%25.63M-53.02%10.32M8.62%34.09M307.19%21.96M-17.57%31.38M-63.60%5.39M
Profit adjustment
Interest (income) - adjustment 23.08%-1.15M4.81%-574K-19.35%-1.5M-55.81%-603K4.34%-1.26M18.70%-387K-126.77%-1.31M-720.69%-476K-632.91%-579K9.38%-58K
Impairment and provisions: -82.99%1.13M-42.57%1.16M12.79%6.62M69.87%2.01M-56.53%5.87M-90.35%1.19M430.23%13.51M47.67%12.28M118.44%2.55M261.79%8.31M
-Impairmen of inventory (reversal) -87.78%924K-68.51%1.08M60.70%7.56M191.43%3.43M4.88%4.71M-73.47%1.18M78.23%4.49M-45.39%4.44M131.77%2.52M283.22%8.13M
-Impairment of trade receivables (reversal) 121.49%202K105.28%75K-180.69%-940K-20,385.71%-1.42M-87.08%1.17M-99.91%7K29,963.33%9.02M4,205.49%7.84M-62.50%30K3.41%182K
Revaluation surplus: --0--0--0--0--0-37.75%-208K--0---151K--0--0
-Other fair value changes ---------------------37.75%-208K-------151K--------
Asset sale loss (gain): 80.74%-99K27.54%-50K92.93%-514K-428.57%-69K-827.55%-7.27M950.00%21K-8,811.11%-784K108.00%2K-87.50%9K-144.64%-25K
-Loss (gain) on sale of property, machinery and equipment 80.74%-99K27.54%-50K90.67%-514K-428.57%-69K-603.06%-5.51M950.00%21K-8,811.11%-784K108.00%2K-87.50%9K-144.64%-25K
-Loss (gain) from selling other assets -------------------1.76M--------------------
Depreciation and amortization: -2.77%17.63M1.97%8.89M13.36%18.13M16.20%8.71M12.95%15.99M11.81%7.5M11.28%14.16M6.16%6.71M35.19%12.72M40.62%6.32M
-Depreciation -1.24%16.98M4.94%8.54M15.63%17.19M17.83%8.14M17.13%14.87M15.40%6.91M10.69%12.69M5.42%5.99M39.26%11.47M44.99%5.68M
-Amortization of intangible assets -30.92%648K-40.07%344K-16.62%938K-2.88%574K-23.21%1.13M-18.03%591K16.64%1.47M12.66%721K6.71%1.26M10.92%640K
Financial expense -19.75%512K-31.32%261K-7.80%638K7.65%380K-17.42%692K-14.73%353K-24.09%838K-23.33%414K204.13%1.1M70.35%540K
Exchange Loss (gain) -103.97%-40K-103.82%-11K553.60%1.01M1,007.69%288K-177.89%-222K-98.23%26K210.89%285K--1.47M-177.41%-257K----
Special items -38.50%-2.28M-17.33%-941K-1,154.96%-1.64M-843.53%-802K75.33%-131K72.04%-85K10.91%-531K-67.03%-304K-142.28%-596K-76.70%-182K
Operating profit before the change of operating capital -2.32%40.39M35.59%25.73M5.19%41.35M1.36%18.98M-34.76%39.31M-55.32%18.72M30.03%60.25M106.40%41.9M-5.62%46.33M-7.47%20.3M
Change of operating capital
Inventory (increase) decrease 67.32%-23.45M41.63%-25.81M-5,244.15%-71.77M-2,231.92%-44.22M97.40%-1.34M105.05%2.07M-2,502.07%-51.65M-313.96%-41.05M90.27%-1.99M58.87%-9.92M
Accounts receivable (increase)decrease 110.31%1.43M-79.91%3.65M-4.88%-13.87M624.73%18.17M-233.81%-13.22M-126.87%-3.46M135.21%9.88M241.45%12.88M-16.81%-28.07M45.16%-9.11M
Accounts payable increase (decrease) -262.33%-11.54M18.81%-7.36M-53.19%7.11M26.10%-9.06M402.59%15.19M-186.99%-12.26M72.85%-5.02M203.40%14.09M-174.99%-18.49M-49.60%4.65M
prepayments (increase)decrease -21.86%840K-132.16%-439K133.14%1.08M453.63%1.37M-1,546.70%-3.24M-301.04%-386K-110.37%-197K-90.07%192K159.94%1.9M248.43%1.93M
Cash  from business operations 416.86%38.09M38.93%14.09M-157.50%-12.02M1,115.93%10.14M-62.43%20.9M-102.20%-998K458.46%55.64M138.73%45.32M-149.35%-15.52M340.49%18.99M
Other taxs 42.12%-1.65M77.73%-285K35.69%-2.84M67.95%-1.28M46.13%-4.42M10.07%-3.99M-37.53%-8.21M-30.31%-4.44M-17.32%-5.97M-40.13%-3.41M
Special items of business 26.29%30.42M-26.48%18.31M252.63%24.09M538.08%24.91M-137.24%-15.78M-132.86%-5.69M378.61%42.38M55.49%17.31M-387.18%-15.21M-26.66%11.13M
Net cash from operations 345.16%36.44M55.79%13.8M-190.18%-14.86M277.46%8.86M-65.25%16.48M-112.21%-4.99M320.72%47.44M162.45%40.88M-181.50%-21.49M729.45%15.58M
Cash flow from investment activities
Interest received - investment -63.51%547K-26.99%430K19.35%1.5M51.80%589K-4.34%1.26M-18.49%388K126.77%1.31M720.69%476K632.91%579K-9.38%58K
Decrease in deposits (increase) -89.51%66K-----91.29%629K----172.20%7.22M-------10M------------
Sale of fixed assets -91.41%735K1.97%569K287.63%8.56M-9.71%558K69.51%2.21M15,350.00%618K1,590.91%1.3M-94.20%4K-78.49%77K-53.69%69K
Purchase of fixed assets -23.70%-59.58M-281.09%-25.79M-313.60%-48.16M-31.37%-6.77M43.84%-11.65M54.28%-5.15M-335.81%-20.74M-147.54%-11.27M77.26%-4.76M69.91%-4.55M
Selling intangible assets --------------4.52M--2.52M--------------------
Purchase of intangible assets 35.59%-675K----86.53%-1.05M-41.13%-549K-1,475.51%-7.78M-25.48%-389K37.70%-494K-811.76%-310K-2.06%-793K---34K
Recovery of cash from investments ------188K------------13,714.39%38.4M------278K--------
Cash on investment ---------------------85.41%-38.01M-------20.5M--------
Other items in the investment business 1,345.56%2.6M-----90.96%180K----67.45%1.99M-----29.85%1.19M----111.88%1.7M220.00%960K
Net cash from investment operations -46.82%-56.3M-1,388.51%-24.61M-805.53%-38.35M60.08%-1.65M84.56%-4.24M86.78%-4.14M-757.06%-27.43M-795.11%-31.32M84.36%-3.2M76.06%-3.5M
Net cash before financing 62.67%-19.86M-249.93%-10.8M-534.50%-53.21M178.90%7.21M-38.79%12.25M-195.51%-9.13M181.04%20.01M-20.83%9.56M-518.00%-24.69M194.81%12.08M
Cash flow from financing activities
New borrowing 181.75%16.91M--7.87M200.00%6M------2M--------------8.5M--8.5M
Refund ---4M---------------2M------------66.42%-8.5M0.28%-8.5M
Issuing shares --------------------------------35,867.13%128.04M--13.09M
Interest paid - financing -40.34%-908K-17.89%-448K6.50%-647K-7.65%-380K17.42%-692K14.73%-353K24.09%-838K-9.81%-414K-186.75%-1.1M-11.21%-377K
Dividends paid - financing 9.88%-1.39M----24.57%-1.54M----45.03%-2.04M-------3.71M------------
Absorb investment income ---------33.33%300K-50.00%150K--450K--300K----------------
Issuance expenses and redemption of securities expenses ---863K---------------1.56M---------------21.62M---6.28M
Other items of the financing business -172.50%-2.37M-141.42%-2.04M164.19%3.27M338.37%4.92M-69.03%-5.09M-29.08%-2.06M68.98%-3.01M81.45%-1.6M-254.44%-9.71M---8.62M
Net cash from financing operations -0.08%7.38M14.80%5.38M182.65%7.38M321.54%4.69M-18.17%-8.93M-5.17%-2.12M-107.91%-7.56M8.21%-2.01M475.29%95.6M75.26%-2.19M
Effect of rate -90.67%206K-75.28%381K290.26%2.21M395.78%1.54M66.23%-1.16M-356.65%-521K-282.81%-3.44M--203K3,734.69%1.88M----
Net Cash 72.76%-12.49M-145.56%-5.42M-1,483.31%-45.83M205.74%11.9M-73.39%3.31M-249.03%-11.25M-82.44%12.45M-23.63%7.55M462.39%70.91M145.76%9.89M
Begining period cash -44.48%54.45M-44.48%54.45M2.24%98.07M2.24%98.07M10.37%95.92M10.37%95.92M515.82%86.9M515.82%86.9M-58.04%14.11M-58.04%14.11M
Cash at the end -22.55%42.17M-55.69%49.41M-44.48%54.45M32.52%111.51M2.24%98.07M-11.10%84.15M10.37%95.92M294.45%94.66M515.82%86.9M99.33%24M
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 Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young--Ernst & Young--

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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