HK Stock MarketDetailed Quotes

09898 WB-SW

Watchlist
  • 77.000
  • -0.650-0.84%
Not Open May 13 16:08 CST
18.68BMarket Cap7.00P/E (TTM)

WB-SW Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(Q9)Sep 30, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q9)Sep 30, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
Cash flow from operating activities
Earning before tax
265.50%357.5M
-76.25%97.81M
30.92%411.88M
9.97%311.75M
-48.02%129.95M
-36.17%314.6M
--283.48M
--250M
-13.93%492.83M
--572.62M
Profit adjustment
Dividend (income)- adjustment
-86.64%771K
-50.65%5.77M
3,554.69%11.7M
--11.7M
--2.88M
-65.67%320K
----
----
41.86%932K
--657K
Investment loss (gain)
-155.64%-13.39M
269.30%24.07M
-36.26%-14.22M
-300.00%-17.69M
-301.56%-13.61M
-179.06%-10.43M
---4.42M
---3.39M
23,254.39%13.2M
---57K
Impairment and provisions:
-50.13%42.73M
-32.26%85.7M
-52.28%126.5M
-32.20%115.75M
164.36%77.07M
-8.11%265.11M
--170.74M
--29.15M
606.16%288.5M
--40.85M
-Impairment of goodwill
----
----
----
----
----
----
----
----
----
--10.55M
-Other impairments and provisions
-50.13%42.73M
-32.26%85.7M
-52.28%126.5M
-32.20%115.75M
164.36%77.07M
-8.11%265.11M
--170.74M
--29.15M
852.13%288.5M
--30.3M
Revaluation surplus:
-117.65%-43M
234.70%243.62M
307.28%72.79M
125.91%33.07M
159.14%69.5M
83.07%-35.12M
---127.64M
---117.52M
-417.64%-207.44M
---40.07M
-Other fair value changes
-117.65%-43M
234.70%243.62M
307.28%72.79M
125.91%33.07M
159.14%69.5M
83.07%-35.12M
---127.64M
---117.52M
-417.64%-207.44M
---40.07M
Asset sale loss (gain):
117.59%322K
46.38%-1.83M
-53.35%-3.42M
-55.66%-1.36M
-34.44%-1.17M
-204.23%-2.23M
---875K
---871K
-538.32%-732K
--167K
-Loss (gain) on sale of property, machinery and equipment
-85.00%-444K
-39.53%-240K
-132.43%-172K
-133.33%-63K
-140.74%-65K
38.33%-74K
---27K
---27K
0.00%-120K
---120K
-Loss (gain) from selling other assets
148.15%766K
50.94%-1.59M
-50.63%-3.24M
-53.18%-1.3M
-31.04%-1.11M
-251.80%-2.15M
---848K
---844K
-313.24%-612K
--287K
Depreciation and amortization:
11.27%80.59M
7.02%72.43M
61.04%67.68M
71.41%49.22M
73.56%31.77M
22.28%42.03M
--28.71M
--18.3M
43.28%34.37M
--23.99M
-Depreciation
6.98%58.51M
-0.57%54.69M
71.33%55.01M
87.53%40.17M
90.14%26.03M
24.58%32.11M
--21.42M
--13.69M
29.85%25.77M
--19.85M
-Other depreciation and amortization
24.50%22.08M
39.98%17.73M
27.74%12.67M
24.06%9.05M
24.32%5.73M
15.38%9.92M
--7.29M
--4.61M
107.63%8.6M
--4.14M
Exchange Loss (gain)
-86.35%9.14M
--66.98M
----
----
----
----
----
----
----
----
Special items
106.34%136.71M
-32.92%66.25M
92.23%98.76M
14.57%68.13M
3.51%44.44M
-34.24%51.38M
--59.47M
--42.93M
71.90%78.13M
--45.45M
Operating profit before the change of operating capital
-13.53%571.37M
-14.37%660.79M
23.34%771.67M
39.35%570.57M
55.90%340.82M
-10.59%625.65M
--409.46M
--218.62M
8.73%699.79M
--643.6M
Change of operating capital
Accounts receivable (increase)decrease
-49.79%59.84M
150.00%119.19M
-499.50%-238.38M
-2,233.36%-217.92M
-2,469.28%-157.25M
131.42%59.67M
--10.22M
--6.64M
29.76%-189.89M
---270.35M
Accounts payable increase (decrease)
126.47%19.47M
-123.23%-73.54M
308.16%316.61M
2,725.54%214.64M
519.78%173.64M
-36.81%77.57M
---8.18M
---41.37M
2.44%122.77M
--119.84M
prepayments (increase)decrease
129.76%6.16M
-899.00%-20.69M
108.50%2.59M
121.35%7.85M
108.29%1.98M
-51.34%-30.46M
---36.77M
---23.86M
59.24%-20.13M
---49.38M
Cash  from business operations
-4.22%656.84M
-19.56%685.76M
16.39%852.49M
53.48%575.14M
124.45%359.2M
19.57%732.43M
--374.73M
--160.03M
38.05%612.54M
--443.71M
Other taxs
151.06%40.66M
-304.63%-79.62M
726.57%38.91M
38.71%11.2M
34.54%-14.75M
-154.17%-6.21M
--8.07M
---22.53M
-45.33%11.46M
--20.97M
Special items of business
41.30%-24.67M
45.68%-42.03M
-601.73%-77.38M
-158.30%-21.98M
-112.75%-6.09M
101.57%15.42M
--37.7M
--47.77M
-67.21%7.65M
--23.33M
Net cash from operations
19.27%672.82M
-30.70%564.1M
9.76%814.02M
34.21%564.35M
82.64%338.36M
17.41%741.65M
--420.5M
--185.26M
29.44%631.65M
--488.01M
Cash flow from investment activities
Loan receivable (increase) decrease
-179.32%-34.65M
-115.43%-12.4M
127.53%80.41M
122.38%66.45M
286.59%77.43M
-53.47%-292.08M
---296.94M
---41.5M
-293.22%-190.32M
---48.4M
Decrease in deposits (increase)
-31.85%585.47M
-57.90%859.08M
-21.52%2.04B
10.49%1.37B
40.62%1.25B
198.92%2.6B
--1.24B
--891.61M
-56.27%869.79M
--1.99B
Sale of fixed assets
72.12%463K
-29.77%269K
316.30%383K
618.42%273K
584.21%260K
-24.59%92K
--38K
--38K
-10.29%122K
--136K
Purchase of fixed assets
14.75%-36.77M
-22.92%-43.14M
-0.76%-35.09M
9.92%-23.79M
1.66%-15.49M
-60.16%-34.83M
---26.4M
---15.75M
23.29%-21.75M
---28.35M
Recovery of cash from investments
145.24%347.77M
-68.30%141.81M
54.47%447.38M
35.59%242.56M
170.86%168.28M
380.26%289.63M
--178.89M
--62.13M
-29.16%60.31M
--85.13M
Cash on investment
-63.41%-1.6B
66.91%-978.62M
21.70%-2.96B
4.83%-2.23B
-56.64%-1.65B
-96.78%-3.78B
---2.34B
---1.05B
14.75%-1.92B
---2.25B
Net cash from investment operations
-2,131.92%-736.85M
92.21%-33.01M
65.09%-423.96M
54.24%-567.86M
-4.99%-162.51M
-1.08%-1.21B
---1.24B
---154.78M
-372.92%-1.2B
---254.03M
Net cash before financing
-112.06%-64.03M
36.16%531.09M
182.52%390.06M
99.57%-3.51M
476.89%175.85M
17.03%-472.67M
---820.36M
--30.48M
-343.49%-569.71M
--233.98M
Cash flow from financing activities
New borrowing
-99.43%4.98M
--880.35M
----
----
----
----
----
----
----
----
Refund
---100M
----
----
----
----
----
----
----
----
---2M
Issuing shares
100.01%1K
-740.82%-8.41M
976.23%1.31M
895.08%1.21M
109.26%226K
-55.64%122K
--122K
--108K
-64.79%275K
--781K
Issuance of bonds
--321.71M
----
----
----
----
-6.68%740.32M
--740.32M
----
--793.33M
----
Dividends paid - financing
---200.13M
----
----
----
----
----
----
----
----
----
Issuance expenses and redemption of securities expenses
----
---957.67M
----
----
----
----
----
----
----
----
Other items of the financing business
9.93%-4.87M
-102.87%-5.41M
12,301.38%188.13M
----
----
187.64%1.52M
--1.52M
--1.52M
-783.16%-1.73M
---196K
Net cash from financing operations
123.80%21.69M
-148.11%-91.14M
-74.47%189.44M
-99.84%1.21M
-86.09%226K
-6.30%741.96M
--741.96M
--1.63M
56,062.47%791.87M
---1.42M
Effect of rate
63.10%-63.8M
-688.90%-172.88M
-68.28%29.36M
-56.77%16.14M
210.48%14.19M
2,552.05%92.57M
--37.34M
---12.84M
-448.57%-3.78M
--1.08M
Net Cash
-139.74%-106.13M
-56.14%267.07M
68.26%608.86M
133.73%13.85M
887.55%190.26M
65.69%361.86M
---41.06M
--19.27M
-6.53%218.39M
--233.64M
Begining period cash
11.02%2.69B
33.55%2.42B
24.90%1.81B
24.90%1.81B
24.90%1.81B
17.69%1.45B
--1.45B
--1.45B
23.34%1.23B
--1B
Cash at the end
-3.94%2.58B
11.02%2.69B
33.55%2.42B
29.52%1.83B
36.19%2.01B
24.90%1.81B
--1.41B
--1.47B
17.69%1.45B
--1.23B
Cash balance analysis
Cash and cash equivalent balance
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
UAS
UAS
UAS
UAS
UAS
UAS
UAS
UAS
UAS
UAS
Audit Opinions
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
Unqualified Opinion
Auditor
PricewaterhouseCoopers
PricewaterhouseCoopers
PricewaterhouseCoopers
--
--
PricewaterhouseCoopers
--
--
PricewaterhouseCoopers
PricewaterhouseCoopers
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(Q9)Sep 30, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q9)Sep 30, 2020(Q6)Jun 30, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018
Cash flow from operating activities
Earning before tax 265.50%357.5M-76.25%97.81M30.92%411.88M9.97%311.75M-48.02%129.95M-36.17%314.6M--283.48M--250M-13.93%492.83M--572.62M
Profit adjustment
Dividend (income)- adjustment -86.64%771K-50.65%5.77M3,554.69%11.7M--11.7M--2.88M-65.67%320K--------41.86%932K--657K
Investment loss (gain) -155.64%-13.39M269.30%24.07M-36.26%-14.22M-300.00%-17.69M-301.56%-13.61M-179.06%-10.43M---4.42M---3.39M23,254.39%13.2M---57K
Impairment and provisions: -50.13%42.73M-32.26%85.7M-52.28%126.5M-32.20%115.75M164.36%77.07M-8.11%265.11M--170.74M--29.15M606.16%288.5M--40.85M
-Impairment of goodwill --------------------------------------10.55M
-Other impairments and provisions -50.13%42.73M-32.26%85.7M-52.28%126.5M-32.20%115.75M164.36%77.07M-8.11%265.11M--170.74M--29.15M852.13%288.5M--30.3M
Revaluation surplus: -117.65%-43M234.70%243.62M307.28%72.79M125.91%33.07M159.14%69.5M83.07%-35.12M---127.64M---117.52M-417.64%-207.44M---40.07M
-Other fair value changes -117.65%-43M234.70%243.62M307.28%72.79M125.91%33.07M159.14%69.5M83.07%-35.12M---127.64M---117.52M-417.64%-207.44M---40.07M
Asset sale loss (gain): 117.59%322K46.38%-1.83M-53.35%-3.42M-55.66%-1.36M-34.44%-1.17M-204.23%-2.23M---875K---871K-538.32%-732K--167K
-Loss (gain) on sale of property, machinery and equipment -85.00%-444K-39.53%-240K-132.43%-172K-133.33%-63K-140.74%-65K38.33%-74K---27K---27K0.00%-120K---120K
-Loss (gain) from selling other assets 148.15%766K50.94%-1.59M-50.63%-3.24M-53.18%-1.3M-31.04%-1.11M-251.80%-2.15M---848K---844K-313.24%-612K--287K
Depreciation and amortization: 11.27%80.59M7.02%72.43M61.04%67.68M71.41%49.22M73.56%31.77M22.28%42.03M--28.71M--18.3M43.28%34.37M--23.99M
-Depreciation 6.98%58.51M-0.57%54.69M71.33%55.01M87.53%40.17M90.14%26.03M24.58%32.11M--21.42M--13.69M29.85%25.77M--19.85M
-Other depreciation and amortization 24.50%22.08M39.98%17.73M27.74%12.67M24.06%9.05M24.32%5.73M15.38%9.92M--7.29M--4.61M107.63%8.6M--4.14M
Exchange Loss (gain) -86.35%9.14M--66.98M--------------------------------
Special items 106.34%136.71M-32.92%66.25M92.23%98.76M14.57%68.13M3.51%44.44M-34.24%51.38M--59.47M--42.93M71.90%78.13M--45.45M
Operating profit before the change of operating capital -13.53%571.37M-14.37%660.79M23.34%771.67M39.35%570.57M55.90%340.82M-10.59%625.65M--409.46M--218.62M8.73%699.79M--643.6M
Change of operating capital
Accounts receivable (increase)decrease -49.79%59.84M150.00%119.19M-499.50%-238.38M-2,233.36%-217.92M-2,469.28%-157.25M131.42%59.67M--10.22M--6.64M29.76%-189.89M---270.35M
Accounts payable increase (decrease) 126.47%19.47M-123.23%-73.54M308.16%316.61M2,725.54%214.64M519.78%173.64M-36.81%77.57M---8.18M---41.37M2.44%122.77M--119.84M
prepayments (increase)decrease 129.76%6.16M-899.00%-20.69M108.50%2.59M121.35%7.85M108.29%1.98M-51.34%-30.46M---36.77M---23.86M59.24%-20.13M---49.38M
Cash  from business operations -4.22%656.84M-19.56%685.76M16.39%852.49M53.48%575.14M124.45%359.2M19.57%732.43M--374.73M--160.03M38.05%612.54M--443.71M
Other taxs 151.06%40.66M-304.63%-79.62M726.57%38.91M38.71%11.2M34.54%-14.75M-154.17%-6.21M--8.07M---22.53M-45.33%11.46M--20.97M
Special items of business 41.30%-24.67M45.68%-42.03M-601.73%-77.38M-158.30%-21.98M-112.75%-6.09M101.57%15.42M--37.7M--47.77M-67.21%7.65M--23.33M
Net cash from operations 19.27%672.82M-30.70%564.1M9.76%814.02M34.21%564.35M82.64%338.36M17.41%741.65M--420.5M--185.26M29.44%631.65M--488.01M
Cash flow from investment activities
Loan receivable (increase) decrease -179.32%-34.65M-115.43%-12.4M127.53%80.41M122.38%66.45M286.59%77.43M-53.47%-292.08M---296.94M---41.5M-293.22%-190.32M---48.4M
Decrease in deposits (increase) -31.85%585.47M-57.90%859.08M-21.52%2.04B10.49%1.37B40.62%1.25B198.92%2.6B--1.24B--891.61M-56.27%869.79M--1.99B
Sale of fixed assets 72.12%463K-29.77%269K316.30%383K618.42%273K584.21%260K-24.59%92K--38K--38K-10.29%122K--136K
Purchase of fixed assets 14.75%-36.77M-22.92%-43.14M-0.76%-35.09M9.92%-23.79M1.66%-15.49M-60.16%-34.83M---26.4M---15.75M23.29%-21.75M---28.35M
Recovery of cash from investments 145.24%347.77M-68.30%141.81M54.47%447.38M35.59%242.56M170.86%168.28M380.26%289.63M--178.89M--62.13M-29.16%60.31M--85.13M
Cash on investment -63.41%-1.6B66.91%-978.62M21.70%-2.96B4.83%-2.23B-56.64%-1.65B-96.78%-3.78B---2.34B---1.05B14.75%-1.92B---2.25B
Net cash from investment operations -2,131.92%-736.85M92.21%-33.01M65.09%-423.96M54.24%-567.86M-4.99%-162.51M-1.08%-1.21B---1.24B---154.78M-372.92%-1.2B---254.03M
Net cash before financing -112.06%-64.03M36.16%531.09M182.52%390.06M99.57%-3.51M476.89%175.85M17.03%-472.67M---820.36M--30.48M-343.49%-569.71M--233.98M
Cash flow from financing activities
New borrowing -99.43%4.98M--880.35M--------------------------------
Refund ---100M-----------------------------------2M
Issuing shares 100.01%1K-740.82%-8.41M976.23%1.31M895.08%1.21M109.26%226K-55.64%122K--122K--108K-64.79%275K--781K
Issuance of bonds --321.71M-----------------6.68%740.32M--740.32M------793.33M----
Dividends paid - financing ---200.13M------------------------------------
Issuance expenses and redemption of securities expenses -------957.67M--------------------------------
Other items of the financing business 9.93%-4.87M-102.87%-5.41M12,301.38%188.13M--------187.64%1.52M--1.52M--1.52M-783.16%-1.73M---196K
Net cash from financing operations 123.80%21.69M-148.11%-91.14M-74.47%189.44M-99.84%1.21M-86.09%226K-6.30%741.96M--741.96M--1.63M56,062.47%791.87M---1.42M
Effect of rate 63.10%-63.8M-688.90%-172.88M-68.28%29.36M-56.77%16.14M210.48%14.19M2,552.05%92.57M--37.34M---12.84M-448.57%-3.78M--1.08M
Net Cash -139.74%-106.13M-56.14%267.07M68.26%608.86M133.73%13.85M887.55%190.26M65.69%361.86M---41.06M--19.27M-6.53%218.39M--233.64M
Begining period cash 11.02%2.69B33.55%2.42B24.90%1.81B24.90%1.81B24.90%1.81B17.69%1.45B--1.45B--1.45B23.34%1.23B--1B
Cash at the end -3.94%2.58B11.02%2.69B33.55%2.42B29.52%1.83B36.19%2.01B24.90%1.81B--1.41B--1.47B17.69%1.45B--1.23B
Cash balance analysis
Cash and cash equivalent balance --0--0--0--0--0--0--0--0--0--0
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards UASUASUASUASUASUASUASUASUASUAS
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified Opinion----Unqualified Opinion----Unqualified OpinionUnqualified Opinion
Auditor PricewaterhouseCoopersPricewaterhouseCoopersPricewaterhouseCoopers----PricewaterhouseCoopers----PricewaterhouseCoopersPricewaterhouseCoopers

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.

Analysis

Analyst Rating

No Data

Price Target

No Data

Business Data

Monthly active users

No Data

Heat List
HK
Overall
Symbol
Latest Price
%Chg