HK Stock MarketDetailed Quotes
02727 SH ELECTRIC
Watchlist
1.590
-0.040-2.45%
Noon Break 12/07 11:54 CST
1.630High1.590Low2.31MVolume
1.630Open1.630Pre Close3.70MTurnover0.08%Turnover RatioLossP/E (TTM)24.77BMarket Cap2.18052wk HighLossP/E (Static)15.58BShares1.59052wk Low0.43P/B4.65BFloat Cap8.904Historical High--Dividend TTM2.92BShs Float0.478Historical Low--Dividend LFY2.45%Amplitude--Div YieldTTM1.599Avg Price2000Lot Size--Div Yield LFY
SH ELECTRIC Key Stats
All
YOY

(Q9)2023/09/30 | (Q6)2023/06/30 | (Q3)2023/03/31 | (FY)2022/12/31 | (Q9)2022/09/30 | (Q6)2022/06/30 | (Q3)2022/03/31 | (FY)2021/12/31 | (Q9)2021/09/30 | (Q6)2021/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Inventory | -0.15%36.26B | 1.58%34.02B | 7.73%35.65B | -6.11%30.87B | -0.44%36.31B | -2.48%33.49B | -5.36%33.09B | 9.65%32.88B | -0.27%36.47B | 9.78%34.34B |
Developing and for sale properties | ---- | ---- | ---- | ---- | ---- | ---- | ---- | -87.54%43.71M | -93.79%171.27M | -93.79%171.27M |
Accounts receivable | 4.82%41.63B | 10.34%41.24B | 10.82%39.73B | 14.51%38.28B | 5.68%39.71B | -0.21%37.37B | 9.73%35.85B | 1.92%33.43B | 8.68%37.58B | 13.60%37.45B |
Notes receivable | -37.22%4.07B | -23.38%4.95B | -26.36%5.19B | -19.89%6.26B | 1.63%6.48B | -31.51%6.46B | -20.26%7.04B | -7.86%7.81B | -1.97%6.37B | 55.13%9.43B |
Insurance and other receivables-current assets | -38.41%6.01B | -39.89%5.94B | -33.94%5.84B | -29.32%6.16B | -25.99%9.76B | -0.76%9.88B | -2.63%8.85B | -2.52%8.71B | 81.51%13.19B | 36.18%9.95B |
Cash and equivalents | 4.16%30.52B | 7.45%29.04B | 2.32%28.62B | 3.89%26.34B | 1.51%29.31B | -6.47%27.02B | -8.66%27.97B | 4.60%25.36B | 16.29%28.87B | 16.54%28.89B |
Other current assets | 79.75%19.8B | 116.32%23.09B | 83.98%22.5B | 41.07%22.72B | 7.02%11.02B | -11.64%10.67B | -23.57%12.23B | -7.85%16.11B | -54.03%10.29B | -35.07%12.08B |
Special items of current assets | -18.74%27.07B | -16.81%28.43B | -0.36%28.68B | -5.81%38.45B | -12.97%33.32B | -10.25%34.17B | -30.40%28.79B | -30.18%40.82B | 9.34%38.28B | 18.20%38.07B |
Total current assets | -7.91%197.34B | -3.76%199.1B | -2.67%197.63B | -4.11%201.15B | -3.85%214.28B | -6.67%206.88B | -9.65%203.04B | -7.97%209.78B | -2.99%222.86B | 6.98%221.67B |
Non-current assets | ||||||||||
Fixed assets | 0.28%19.96B | -0.75%20.04B | 4.26%20.36B | 1.98%20.28B | 1.08%19.9B | 8.40%20.19B | 12.32%19.52B | 13.41%19.89B | 12.73%19.69B | 6.80%18.62B |
Investment property | -19.90%605.93M | -19.38%625.93M | -20.50%638.34M | -19.78%660.17M | -9.59%756.51M | -9.49%776.4M | -8.55%802.99M | -8.58%822.98M | -26.62%836.79M | -32.06%857.78M |
Construction in progress | -7.76%4.69B | -3.25%4.26B | -29.35%3.77B | -31.77%3.43B | -43.45%5.08B | -54.47%4.4B | -47.16%5.34B | -47.52%5.02B | -0.27%8.99B | 16.30%9.67B |
Long-term receivables | -34.04%2.51B | -19.12%3.06B | -23.03%3.23B | -21.83%3.33B | -26.07%3.81B | -27.15%3.78B | -26.43%4.19B | -28.07%4.26B | -16.38%5.15B | -19.82%5.19B |
Development expenditure | 32.34%80.11M | -16.54%43.91M | -6.59%45.74M | -11.86%35.82M | -6.87%60.54M | -33.18%52.61M | -34.81%48.97M | -51.34%40.64M | -65.79%65M | -57.10%78.74M |
long-term investment | 5.47%11.3B | 5.09%11.28B | -2.59%11.36B | -1.91%11.18B | -14.15%10.72B | -23.73%10.73B | -16.96%11.66B | -16.86%11.4B | -2.75%12.48B | 16.71%14.07B |
Intangible assets | -0.66%12.53B | -2.86%12.43B | -2.16%12.5B | -2.89%12.58B | 48.26%12.62B | 46.79%12.8B | 42.48%12.77B | 43.66%12.96B | 4.32%8.51B | 5.42%8.72B |
Goodwill | -14.97%3.32B | -13.95%3.35B | -16.11%3.3B | -16.84%3.29B | -15.37%3.91B | -16.23%3.89B | -14.76%3.94B | -15.28%3.95B | -11.13%4.62B | -10.42%4.64B |
Deferred tax assets | 1.25%8.27B | 2.08%8.32B | -5.21%7.72B | -4.27%7.73B | 11.34%8.17B | 10.53%8.15B | 22.62%8.15B | 22.98%8.08B | 21.44%7.34B | 16.83%7.37B |
Other illiquid assets | 0.36%21.32B | 1.47%21.9B | 3.18%20.93B | 1.54%20.64B | 25.41%21.25B | 21.53%21.59B | 16.25%20.28B | 18.68%20.33B | 9.64%16.94B | 19.48%17.76B |
Special items of non-current assets | 31.66%5B | 33.09%4.99B | 41.90%5.5B | -15.28%3.55B | 37.76%3.8B | 56.93%3.75B | 93.76%3.88B | 117.80%4.19B | 83.84%2.76B | 67.57%2.39B |
Total non-current assets | -0.52%89.75B | 0.38%90.45B | -1.19%89.51B | -4.57%86.87B | 2.42%90.22B | -0.03%90.11B | 2.72%90.59B | 4.08%91.03B | 5.66%88.09B | 10.13%90.14B |
Total assets | -5.72%287.09B | -2.50%289.55B | -2.21%287.14B | -4.25%288.02B | -2.07%304.51B | -4.75%296.99B | -6.16%293.63B | -4.63%300.8B | -0.69%310.95B | 7.87%311.81B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Accounts payable | -7.33%58.07B | -3.34%59.47B | -4.42%57.08B | -6.37%57.4B | -1.06%62.66B | -8.78%61.53B | -5.09%59.73B | -6.91%61.3B | 1.11%63.34B | 15.25%67.45B |
Notes payable | -2.97%14.66B | 7.37%16.12B | -5.69%15.28B | -3.07%16.07B | 16.69%15.11B | 5.69%15.01B | 35.19%16.2B | 37.20%16.58B | 0.13%12.95B | 55.73%14.2B |
Tax payable | -10.63%1.71B | 36.55%1.96B | -8.60%1.19B | -6.87%2.03B | -27.11%1.91B | -45.59%1.44B | -32.89%1.31B | -25.83%2.18B | 52.04%2.62B | 52.94%2.64B |
Other payables and accrued expenses | -10.21%7.86B | 0.61%8.07B | -2.63%7.22B | -8.64%7.86B | -14.73%8.76B | -24.26%8.02B | -18.33%7.42B | -23.63%8.6B | 8.67%10.27B | 26.19%10.58B |
Advance payment | -27.75%783.4M | -5.28%754.2M | 10.65%844.03M | 6.54%786.31M | 77.45%1.08B | 36.81%796.2M | 20.89%762.81M | 18.71%738.05M | 13.94%611.09M | 3.42%581.97M |
Short-term borrowing | -39.67%8.4B | 6.42%9.67B | -20.19%8.64B | -26.83%8.66B | 14.43%13.93B | -18.10%9.09B | -24.68%10.83B | -24.26%11.84B | -33.70%12.17B | -49.25%11.1B |
Other current liabilities | 18.93%13.34B | 8.21%11.51B | 9.76%11.56B | 11.42%11.78B | 16.58%11.22B | 7.60%10.63B | 3.16%10.53B | 3.85%10.57B | 1.92%9.62B | 25.18%9.88B |
Special items of current liabilities | 9.94%18.47B | 4.07%19.87B | 12.16%17.96B | 12.80%20.2B | -3.17%16.8B | 30.25%19.1B | 7.45%16.02B | -8.45%17.91B | -4.64%17.35B | -11.17%14.66B |
Total current liabilities | -2.84%168.28B | 3.00%169.53B | -0.42%160.81B | -3.17%163.53B | 0.24%173.19B | -5.58%164.6B | -6.80%161.49B | -7.96%168.88B | -6.53%172.78B | 3.40%174.33B |
Net current assets | -29.28%29.06B | -30.07%29.57B | -11.40%36.81B | -7.99%37.63B | -17.96%41.09B | -10.69%42.28B | -19.23%41.55B | -8.00%40.9B | 11.56%50.08B | 22.63%47.34B |
Total assets less current liabilities | -9.52%118.81B | -9.35%120.02B | -4.40%126.32B | -5.63%124.5B | -4.96%131.31B | -3.70%132.39B | -5.37%132.14B | 0.01%131.92B | 7.72%138.17B | 14.14%137.48B |
Non-current liabilities | ||||||||||
Long-term bank loan | 21.05%29.28B | 7.80%26.63B | -3.05%23.03B | -9.22%21.65B | 7.55%24.19B | 6.04%24.71B | 16.48%23.75B | 54.76%23.85B | 34.25%22.49B | 59.76%23.3B |
Long-term accounts payable | -26.37%482M | -7.49%454.7M | -1.92%609.08M | -3.46%562.86M | -56.07%654.66M | -62.38%491.53M | -54.11%621.02M | -60.59%583.02M | -35.08%1.49B | -17.13%1.31B |
Long-term remuneration payable to staff and workers | -17.13%171.31M | -18.07%175.02M | -19.26%176.36M | -21.73%175.85M | -13.33%206.71M | -10.22%213.62M | -8.79%218.43M | -11.74%224.67M | -4.75%238.49M | -5.02%237.95M |
Deferred tax liability | 10.32%789.32M | 12.73%813.35M | 14.57%840.51M | 7.82%836.32M | -13.09%715.5M | -11.77%721.48M | -16.32%733.65M | -9.20%775.65M | -18.11%823.26M | -16.23%817.69M |
Deferred income-non-current liabilities | -8.13%1.4B | -9.51%1.42B | -7.75%1.48B | -9.71%1.49B | -10.54%1.53B | -6.11%1.57B | -9.26%1.6B | -6.93%1.65B | 3.17%1.71B | 3.23%1.68B |
Issued debt instrument | -76.90%749.15M | -76.89%748.99M | -69.95%748.84M | -69.94%748.7M | 30.29%3.24B | 30.35%3.24B | -1.05%2.49B | 0.21%2.49B | 1.03%2.49B | 0.17%2.49B |
Other non-current liabilities | -50.77%80.72M | -30.26%126.18M | -55.04%154.55M | -36.96%168.21M | 827.11%163.96M | 1,048.05%180.93M | 2,081.09%343.74M | 1,618.07%266.82M | -50.82%17.69M | -37.26%15.76M |
Special items of non-current liabilities | 4.91%4.52B | 14.77%4.68B | 14.35%4.55B | 18.51%4.67B | 15.45%4.31B | 22.10%4.08B | 37.11%3.98B | 41.30%3.94B | 54.45%3.73B | 36.44%3.34B |
Total non-current liabilities | 7.05%37.48B | -0.43%35.06B | -6.39%31.58B | -10.29%30.3B | 6.12%35.01B | 6.11%35.21B | 12.24%33.74B | 34.78%33.78B | 22.75%32.99B | 38.44%33.18B |
Total liabilities | -1.18%205.75B | 2.39%204.59B | -1.45%192.39B | -4.36%193.83B | 1.18%208.2B | -3.71%199.81B | -3.99%195.23B | -2.83%202.66B | -2.81%205.77B | 7.76%207.51B |
Total assets less total liabilities | -15.54%81.34B | -12.58%84.96B | -3.72%94.74B | -4.02%94.19B | -8.44%96.3B | -6.82%97.18B | -10.20%98.4B | -8.15%98.14B | 3.74%105.18B | 8.10%104.3B |
Total equity and non-current liabilities | -9.52%118.81B | -9.35%120.02B | -4.40%126.32B | -5.63%124.5B | -4.96%131.31B | -3.70%132.39B | -5.37%132.14B | 0.01%131.92B | 7.72%138.17B | 14.14%137.48B |
Equity | ||||||||||
Share capital | 0.00%15.58B | 0.00%15.58B | 0.00%15.58B | -0.80%15.58B | -0.80%15.58B | -0.80%15.58B | -0.80%15.58B | 3.46%15.71B | 3.63%15.71B | 3.65%15.71B |
Legal reserve | 0.00%5.91B | 0.00%5.91B | 0.00%5.91B | 0.00%5.91B | 0.00%5.91B | 0.00%5.91B | 0.00%5.91B | 0.00%5.91B | 3.25%5.91B | 3.25%5.91B |
Capital reserve | -11.33%19.32B | -11.58%19.32B | 0.07%21.84B | -0.94%21.84B | -1.64%21.79B | -1.30%21.85B | 0.72%21.82B | 14.00%22.05B | 15.31%22.15B | 9.99%22.14B |
Undistributed profit | -11.32%12.24B | -15.59%12.01B | -22.62%11.79B | -24.96%11.42B | -33.64%13.8B | -29.74%14.23B | -43.61%15.23B | -42.24%15.22B | -17.30%20.8B | -16.76%20.25B |
Special items of shareholders' rights and interests | 206.30%211.09M | 214.64%262.35M | 115.12%58.36M | 431.02%118.9M | -149.32%-198.58M | -163.83%-228.84M | -191.29%-385.89M | -94.27%22.39M | -17.12%402.67M | -21.71%358.51M |
Shareholders' Equity | -6.37%53.26B | -7.42%53.08B | -5.13%55.17B | -5.63%54.86B | -11.41%56.88B | -9.84%57.33B | -16.86%58.15B | -12.45%58.13B | -1.00%64.2B | -2.13%63.59B |
Non-controlling interest | -28.78%28.08B | -19.99%31.88B | -1.67%39.57B | -1.70%39.33B | -3.79%39.43B | -2.10%39.85B | 1.57%40.25B | -1.08%40.01B | 12.16%40.98B | 29.20%40.7B |
Total equity | -15.54%81.34B | -12.58%84.96B | -3.72%94.74B | -4.02%94.19B | -8.44%96.3B | -6.82%97.18B | -10.20%98.4B | -8.15%98.14B | 3.74%105.18B | 8.10%104.3B |
Total equity and total liabilities | -5.72%287.09B | -2.50%289.55B | -2.21%287.14B | -4.25%288.02B | -2.07%304.51B | -4.75%296.99B | -6.16%293.63B | -4.63%300.8B | -0.69%310.95B | 7.87%311.81B |
Currency Unit | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY | CNY |
Accounting Standards | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) | CAS (2007) |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | Unqualified Opinion | -- | -- |
Auditor | -- | -- | -- | PricewaterhouseCoopers, PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership) | -- | -- | -- | PricewaterhouseCoopers, PricewaterhouseCoopers Zhongtian Certified Public Accountants (Special General Partnership) | -- | -- |
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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