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HK Stock MarketDetailed Quotes

02019 DEXIN CHINA

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0.130 -0.009-6.47%
Not Open 11/29 16:08 CST
0.141High0.128Low1.53MVolume

DEXIN CHINA 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
----
-67.85%1.16B
----
16.38%3.61B
----
4.17%3.11B
----
4.00%2.98B
----
135.35%2.87B
Profit adjustment
Interest (income) - adjustment
----
47.53%-124.54M
----
-41.92%-237.36M
----
-75.34%-167.25M
----
0.22%-95.38M
----
10.23%-95.59M
Interest expense - adjustment
----
-52.70%185.86M
----
-28.65%392.96M
----
4.45%550.79M
----
11.99%527.32M
----
10.03%470.86M
Attributable subsidiary (profit) loss
----
-115.10%-626.12M
----
50.90%-291.08M
----
49.55%-592.89M
----
-102.97%-1.18B
----
-261.27%-579.07M
Impairment and provisions:
--0
294.18%116.72M
--0
--29.61M
--0
--0
--0
--0
--0
--0
-Other impairments and provisions
----
294.18%116.72M
----
--29.61M
----
----
----
----
----
----
Revaluation surplus:
--0
346.44%61.77M
--0
58.72%13.84M
--0
103.95%8.72M
--0
-8.93%-220.5M
--0
17.93%-202.42M
-Fair value of investment properties (increase)
----
147.45%25.78M
----
-303.79%-54.34M
----
114.32%26.67M
----
2.90%-186.15M
----
15.21%-191.72M
-Other fair value changes
----
-47.21%35.99M
----
479.88%68.18M
----
47.74%-17.95M
----
-220.99%-34.34M
----
47.86%-10.7M
Asset sale loss (gain):
--0
1,059.09%121.33M
--0
48.26%-12.65M
--0
-382.55%-24.45M
--0
---5.07M
--0
--0
-Loss (gain) from sale of subsidiary company
----
1,059.09%121.33M
----
48.26%-12.65M
----
-382.55%-24.45M
----
---5.07M
----
----
Depreciation and amortization:
--0
32.54%45.31M
--0
26.81%34.19M
--0
43.43%26.96M
--0
61.70%18.8M
--0
-3.88%11.62M
-Depreciation
----
32.54%45.31M
----
26.81%34.19M
----
43.43%26.96M
----
61.70%18.8M
----
4.17%11.62M
Exchange Loss (gain)
----
193.87%110.3M
----
-33.42%37.54M
----
321.18%56.38M
----
---25.49M
----
----
Special items
----
----
----
46.32%6.11M
----
-87.67%4.18M
----
214.97%33.86M
----
---29.45M
Operating profit before the change of operating capital
--0
-70.66%1.05B
--0
20.87%3.59B
--0
45.52%2.97B
--0
-16.51%2.04B
--0
113.40%2.44B
Change of operating capital
Developing property (increase)decrease
----
28.38%-3.8B
----
44.94%-5.3B
----
-11.48%-9.63B
----
6.46%-8.64B
----
-42.61%-9.23B
Accounts receivable (increase)decrease
----
223.01%1.29B
----
60.46%398.24M
----
-50.16%248.19M
----
229.64%497.96M
----
61.52%-384.12M
Accounts payable increase (decrease)
----
56.47%-171M
----
-126.17%-392.87M
----
7.62%1.5B
----
565.47%1.4B
----
65.26%209.65M
Cash  from business operations
-32.91%3.09B
-28.96%6.87B
13.84%4.6B
268.48%9.68B
48.89%4.04B
31.04%2.63B
112.19%2.72B
258.13%2B
81.41%1.28B
-198.60%-1.27B
Other taxs
40.10%-377.96M
24.66%-1.27B
51.92%-631M
-71.28%-1.69B
-43.42%-1.31B
7.62%-986.53M
-43.89%-915.07M
-49.57%-1.07B
-43.76%-635.94M
-145.98%-713.97M
Interest received - operating
-39.33%20.72M
-45.70%81.04M
-52.92%34.15M
19.03%149.25M
17.36%72.54M
--125.39M
49.43%61.81M
----
-47.80%41.36M
46.37%133.85M
Interest paid - operating
44.06%-625.82M
20.48%-2.17B
11.20%-1.12B
-63.22%-2.73B
-27.16%-1.26B
-39.37%-1.67B
-67.91%-990.66M
-8.76%-1.2B
-36.92%-589.98M
-33.04%-1.1B
Special items of business
----
-25.32%8.5B
----
51.07%11.39B
----
10.78%7.54B
----
19.42%6.8B
----
-23.90%5.7B
Net cash from operations
-27.10%2.11B
-35.06%3.51B
87.03%2.89B
5,834.38%5.4B
77.08%1.54B
153.85%91.07M
814.44%871.91M
94.27%-169.14M
207.77%95.35M
-1,251.20%-2.95B
Cash flow from investment activities
Dividend received - investment
----
-54.61%162.43M
-44.76%13.2M
-58.76%357.84M
-62.54%23.9M
-35.71%867.68M
-35.41%63.8M
1,941.98%1.35B
189.73%98.78M
-51.11%66.1M
Loan receivable (increase) decrease
57.75%-1.4B
-118.62%-7.06B
-17.13%-3.31B
49.77%-3.23B
32.06%-2.83B
-187.58%-6.43B
-158.90%-4.16B
-164.90%-2.23B
-197.48%-1.61B
295.01%3.44B
Purchase of fixed assets
76.77%-10.15M
85.34%-72.4M
83.20%-43.69M
-142.47%-493.81M
-448.50%-260.11M
-83.16%-203.66M
-258.97%-47.42M
-104.44%-111.19M
21.23%-13.21M
-292.04%-54.39M
Sale of subsidiaries
-87.93%12.97M
1,585.25%449.09M
382.31%107.43M
107.05%26.65M
107.19%22.27M
---378.15M
---309.75M
----
----
----
Acquisition of subsidiaries
----
-87.70%165.38M
-66.85%610.06M
2,144.46%1.34B
8,585.81%1.84B
106.49%59.89M
103.69%21.19M
---922.63M
---573.57M
----
Recovery of cash from investments
-76.89%10.3M
0.62%203.71M
-33.24%44.57M
-11.92%202.46M
-58.16%66.76M
-65.76%229.87M
-63.04%159.57M
90.62%671.34M
668.04%431.69M
-15.11%352.19M
Cash on investment
64.24%-401.28M
37.37%-1.81B
45.69%-1.12B
24.49%-2.9B
-27.40%-2.07B
-31.83%-3.84B
-51.47%-1.62B
-123.40%-2.91B
-61.08%-1.07B
-19.74%-1.3B
Other items in the investment business
-16.98%190.5M
44.53%727.83M
203.22%229.45M
3.92%503.57M
4,223.81%75.67M
2,108.54%484.58M
-431.88%-1.84M
146.34%21.94M
---345K
---47.35M
Net cash from investment operations
54.02%-1.6B
-72.92%-7.24B
-11.13%-3.47B
54.53%-4.18B
47.01%-3.13B
-122.51%-9.2B
-115.67%-5.9B
-268.33%-4.14B
-397.59%-2.74B
206.22%2.46B
Net cash before financing
186.55%507.76M
-405.59%-3.73B
62.92%-586.69M
113.38%1.22B
68.53%-1.58B
-111.65%-9.11B
-90.43%-5.03B
-770.30%-4.31B
-417.80%-2.64B
75.95%-494.73M
Cash flow from financing activities
New borrowing
-65.02%3.74B
-47.38%15.55B
-40.55%10.7B
-14.45%29.55B
9.59%18B
93.19%34.54B
94.73%16.42B
-6.26%17.88B
-5.63%8.43B
38.90%19.07B
Refund
70.50%-5.04B
29.67%-21.63B
-10.39%-17.08B
-41.01%-30.76B
-85.00%-15.47B
-67.02%-21.81B
-16.51%-8.36B
27.62%-13.06B
19.80%-7.18B
-105.40%-18.04B
Issuing shares
----
--205.3M
----
----
----
----
----
--1.43B
--1.43B
----
Dividends paid - financing
----
----
----
-37.50%-297.15M
----
20.00%-216.11M
----
42.72%-270.13M
----
-70.70%-471.62M
Absorb investment income
-93.61%65.37M
-71.02%1.39B
-64.65%1.02B
36.49%4.8B
213.59%2.89B
185.60%3.52B
144.17%923.17M
-64.69%1.23B
-62.03%378.08M
875.25%3.49B
Issuance expenses and redemption of securities expenses
----
----
----
----
----
----
----
-572.49%-40.46M
-2,970.85%-37.93M
-1,751.38%-6.02M
Other items of the financing business
-403.01%-1.26B
82.31%-544.63M
121.84%416.33M
-81.47%-3.08B
-39.15%-1.91B
-115.76%-1.7B
-355.06%-1.37B
-23,473.80%-786.42M
2.05%-301.1M
99.18%-3.34M
Net cash from financing operations
49.55%-2.49B
-2,509.99%-5.03B
-240.20%-4.93B
-98.54%208.92M
-53.78%3.52B
124.55%14.32B
179.40%7.62B
58.26%6.38B
1,209.30%2.73B
-12.73%4.03B
Effect of rate
1,349.83%87.12M
-8.85%-40.86M
124.44%6.01M
33.42%-37.54M
-152.26%-24.58M
-1,514.10%-56.38M
1,002.70%47.04M
--3.99M
--4.27M
----
Net Cash
64.11%-1.98B
-713.36%-8.76B
-385.00%-5.52B
-72.59%1.43B
-25.14%1.94B
151.34%5.21B
2,925.69%2.59B
-41.36%2.07B
-91.77%85.52M
38.03%3.54B
Begining period cash
-54.64%7.31B
9.45%16.11B
9.45%16.11B
53.90%14.72B
53.90%14.72B
27.75%9.56B
27.75%9.56B
89.50%7.49B
89.50%7.49B
184.44%3.95B
Cash at the end
-48.91%5.41B
-54.64%7.31B
-36.30%10.6B
9.45%16.11B
36.34%16.63B
53.90%14.72B
61.01%12.2B
27.75%9.56B
51.84%7.58B
89.50%7.49B
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
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
Kaiyuan Shun Tak Certified Public Accountants Limited
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
(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 -----67.85%1.16B----16.38%3.61B----4.17%3.11B----4.00%2.98B----135.35%2.87B
Profit adjustment
Interest (income) - adjustment ----47.53%-124.54M-----41.92%-237.36M-----75.34%-167.25M----0.22%-95.38M----10.23%-95.59M
Interest expense - adjustment -----52.70%185.86M-----28.65%392.96M----4.45%550.79M----11.99%527.32M----10.03%470.86M
Attributable subsidiary (profit) loss -----115.10%-626.12M----50.90%-291.08M----49.55%-592.89M-----102.97%-1.18B-----261.27%-579.07M
Impairment and provisions: --0294.18%116.72M--0--29.61M--0--0--0--0--0--0
-Other impairments and provisions ----294.18%116.72M------29.61M------------------------
Revaluation surplus: --0346.44%61.77M--058.72%13.84M--0103.95%8.72M--0-8.93%-220.5M--017.93%-202.42M
-Fair value of investment properties (increase) ----147.45%25.78M-----303.79%-54.34M----114.32%26.67M----2.90%-186.15M----15.21%-191.72M
-Other fair value changes -----47.21%35.99M----479.88%68.18M----47.74%-17.95M-----220.99%-34.34M----47.86%-10.7M
Asset sale loss (gain): --01,059.09%121.33M--048.26%-12.65M--0-382.55%-24.45M--0---5.07M--0--0
-Loss (gain) from sale of subsidiary company ----1,059.09%121.33M----48.26%-12.65M-----382.55%-24.45M-------5.07M--------
Depreciation and amortization: --032.54%45.31M--026.81%34.19M--043.43%26.96M--061.70%18.8M--0-3.88%11.62M
-Depreciation ----32.54%45.31M----26.81%34.19M----43.43%26.96M----61.70%18.8M----4.17%11.62M
Exchange Loss (gain) ----193.87%110.3M-----33.42%37.54M----321.18%56.38M-------25.49M--------
Special items ------------46.32%6.11M-----87.67%4.18M----214.97%33.86M-------29.45M
Operating profit before the change of operating capital --0-70.66%1.05B--020.87%3.59B--045.52%2.97B--0-16.51%2.04B--0113.40%2.44B
Change of operating capital
Developing property (increase)decrease ----28.38%-3.8B----44.94%-5.3B-----11.48%-9.63B----6.46%-8.64B-----42.61%-9.23B
Accounts receivable (increase)decrease ----223.01%1.29B----60.46%398.24M-----50.16%248.19M----229.64%497.96M----61.52%-384.12M
Accounts payable increase (decrease) ----56.47%-171M-----126.17%-392.87M----7.62%1.5B----565.47%1.4B----65.26%209.65M
Cash  from business operations -32.91%3.09B-28.96%6.87B13.84%4.6B268.48%9.68B48.89%4.04B31.04%2.63B112.19%2.72B258.13%2B81.41%1.28B-198.60%-1.27B
Other taxs 40.10%-377.96M24.66%-1.27B51.92%-631M-71.28%-1.69B-43.42%-1.31B7.62%-986.53M-43.89%-915.07M-49.57%-1.07B-43.76%-635.94M-145.98%-713.97M
Interest received - operating -39.33%20.72M-45.70%81.04M-52.92%34.15M19.03%149.25M17.36%72.54M--125.39M49.43%61.81M-----47.80%41.36M46.37%133.85M
Interest paid - operating 44.06%-625.82M20.48%-2.17B11.20%-1.12B-63.22%-2.73B-27.16%-1.26B-39.37%-1.67B-67.91%-990.66M-8.76%-1.2B-36.92%-589.98M-33.04%-1.1B
Special items of business -----25.32%8.5B----51.07%11.39B----10.78%7.54B----19.42%6.8B-----23.90%5.7B
Net cash from operations -27.10%2.11B-35.06%3.51B87.03%2.89B5,834.38%5.4B77.08%1.54B153.85%91.07M814.44%871.91M94.27%-169.14M207.77%95.35M-1,251.20%-2.95B
Cash flow from investment activities
Dividend received - investment -----54.61%162.43M-44.76%13.2M-58.76%357.84M-62.54%23.9M-35.71%867.68M-35.41%63.8M1,941.98%1.35B189.73%98.78M-51.11%66.1M
Loan receivable (increase) decrease 57.75%-1.4B-118.62%-7.06B-17.13%-3.31B49.77%-3.23B32.06%-2.83B-187.58%-6.43B-158.90%-4.16B-164.90%-2.23B-197.48%-1.61B295.01%3.44B
Purchase of fixed assets 76.77%-10.15M85.34%-72.4M83.20%-43.69M-142.47%-493.81M-448.50%-260.11M-83.16%-203.66M-258.97%-47.42M-104.44%-111.19M21.23%-13.21M-292.04%-54.39M
Sale of subsidiaries -87.93%12.97M1,585.25%449.09M382.31%107.43M107.05%26.65M107.19%22.27M---378.15M---309.75M------------
Acquisition of subsidiaries -----87.70%165.38M-66.85%610.06M2,144.46%1.34B8,585.81%1.84B106.49%59.89M103.69%21.19M---922.63M---573.57M----
Recovery of cash from investments -76.89%10.3M0.62%203.71M-33.24%44.57M-11.92%202.46M-58.16%66.76M-65.76%229.87M-63.04%159.57M90.62%671.34M668.04%431.69M-15.11%352.19M
Cash on investment 64.24%-401.28M37.37%-1.81B45.69%-1.12B24.49%-2.9B-27.40%-2.07B-31.83%-3.84B-51.47%-1.62B-123.40%-2.91B-61.08%-1.07B-19.74%-1.3B
Other items in the investment business -16.98%190.5M44.53%727.83M203.22%229.45M3.92%503.57M4,223.81%75.67M2,108.54%484.58M-431.88%-1.84M146.34%21.94M---345K---47.35M
Net cash from investment operations 54.02%-1.6B-72.92%-7.24B-11.13%-3.47B54.53%-4.18B47.01%-3.13B-122.51%-9.2B-115.67%-5.9B-268.33%-4.14B-397.59%-2.74B206.22%2.46B
Net cash before financing 186.55%507.76M-405.59%-3.73B62.92%-586.69M113.38%1.22B68.53%-1.58B-111.65%-9.11B-90.43%-5.03B-770.30%-4.31B-417.80%-2.64B75.95%-494.73M
Cash flow from financing activities
New borrowing -65.02%3.74B-47.38%15.55B-40.55%10.7B-14.45%29.55B9.59%18B93.19%34.54B94.73%16.42B-6.26%17.88B-5.63%8.43B38.90%19.07B
Refund 70.50%-5.04B29.67%-21.63B-10.39%-17.08B-41.01%-30.76B-85.00%-15.47B-67.02%-21.81B-16.51%-8.36B27.62%-13.06B19.80%-7.18B-105.40%-18.04B
Issuing shares ------205.3M----------------------1.43B--1.43B----
Dividends paid - financing -------------37.50%-297.15M----20.00%-216.11M----42.72%-270.13M-----70.70%-471.62M
Absorb investment income -93.61%65.37M-71.02%1.39B-64.65%1.02B36.49%4.8B213.59%2.89B185.60%3.52B144.17%923.17M-64.69%1.23B-62.03%378.08M875.25%3.49B
Issuance expenses and redemption of securities expenses -----------------------------572.49%-40.46M-2,970.85%-37.93M-1,751.38%-6.02M
Other items of the financing business -403.01%-1.26B82.31%-544.63M121.84%416.33M-81.47%-3.08B-39.15%-1.91B-115.76%-1.7B-355.06%-1.37B-23,473.80%-786.42M2.05%-301.1M99.18%-3.34M
Net cash from financing operations 49.55%-2.49B-2,509.99%-5.03B-240.20%-4.93B-98.54%208.92M-53.78%3.52B124.55%14.32B179.40%7.62B58.26%6.38B1,209.30%2.73B-12.73%4.03B
Effect of rate 1,349.83%87.12M-8.85%-40.86M124.44%6.01M33.42%-37.54M-152.26%-24.58M-1,514.10%-56.38M1,002.70%47.04M--3.99M--4.27M----
Net Cash 64.11%-1.98B-713.36%-8.76B-385.00%-5.52B-72.59%1.43B-25.14%1.94B151.34%5.21B2,925.69%2.59B-41.36%2.07B-91.77%85.52M38.03%3.54B
Begining period cash -54.64%7.31B9.45%16.11B9.45%16.11B53.90%14.72B53.90%14.72B27.75%9.56B27.75%9.56B89.50%7.49B89.50%7.49B184.44%3.95B
Cash at the end -48.91%5.41B-54.64%7.31B-36.30%10.6B9.45%16.11B36.34%16.63B53.90%14.72B61.01%12.2B27.75%9.56B51.84%7.58B89.50%7.49B
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--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --Kaiyuan Shun Tak Certified Public Accountants Limited--Kaiyuan Shun Tak Certified Public Accountants Limited--PricewaterhouseCoopers--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.

Paper Trade Start
Symbol
Direction
Buy
Sell
Types
LMT Order
Price
QTY
Amount
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