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CBAT CBAK Energy Technology

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  • 1.6400
  • +0.0900+5.81%
Close May 31 16:00 ET
  • 1.6300
  • -0.0100-0.61%
Pre 04:08 ET
147.50MMarket Cap16.40P/E (TTM)

CBAK Energy Technology Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
215.72%23.79M
-28.78%4.64M
-28.78%4.64M
-34.65%3.18M
-34.17%3.45M
17.72%7.54M
-19.99%6.52M
-19.99%6.52M
71.61%4.86M
-84.61%5.24M
-Cash and cash equivalents
-59.74%3.03M
-28.78%4.64M
-28.78%4.64M
-21.48%3.18M
-21.26%3.45M
34.35%7.54M
-11.40%6.52M
-11.40%6.52M
102.92%4.05M
-86.84%4.38M
-Short-term investments
--20.76M
----
----
----
----
----
----
----
-2.82%815.01K
14.63%859.35K
Receivables
29.41%44.89M
-10.30%33.98M
-10.30%33.98M
57.43%52M
-10.96%34M
-42.65%34.69M
-36.88%37.88M
-36.88%37.88M
16.85%33.03M
34.44%38.19M
-Accounts receivable
9.26%25.29M
23.75%26.17M
23.75%26.17M
96.23%39.9M
4.66%23.27M
-44.16%23.15M
-52.03%21.15M
-52.03%21.15M
-7.50%20.33M
4.42%22.23M
-Notes receivable
124.25%11.12M
-60.37%2.48M
-60.37%2.48M
260.82%5.67M
58.34%6.05M
-43.67%4.96M
7.69%6.27M
7.69%6.27M
524.06%1.57M
327.45%3.82M
-Taxes receivable
----
22.28%5.25M
22.28%5.25M
39.34%5.75M
-34.11%3.97M
-48.07%4.35M
-40.32%4.29M
-40.32%4.29M
-17.71%4.13M
15.36%6.02M
-Related party accounts receivable
----
----
----
0.23%323.97K
-5.63%323.97K
----
----
----
--323.22K
--343.32K
-Other receivables
273.46%8.47M
-94.06%367.4K
-94.06%367.4K
-94.06%397.1K
-92.60%426.74K
82.58%2.27M
165.56%6.18M
165.56%6.18M
551.66%6.68M
474.58%5.77M
-Recievables adjustments allowances
----
-4,046.11%-290.23K
-4,046.11%-290.23K
-425.21%-36.77K
-476.93%-40.39K
-503.64%-42.26K
0.00%-7K
0.00%-7K
0.00%-7K
0.00%-7K
Inventory
-44.35%28.26M
-32.42%33.41M
-32.42%33.41M
-28.95%37.45M
-24.39%41.82M
21.27%50.78M
64.09%49.45M
64.09%49.45M
469.87%52.71M
470.31%55.31M
Prepaid assets
----
116.00%2.21M
116.00%2.21M
9.77%1.15M
-32.23%966.88K
-76.67%1.42M
-81.56%1.02M
-81.56%1.02M
-71.45%1.05M
-34.72%1.43M
Restricted cash
-6.68%33.22M
75.70%54.18M
75.70%54.18M
13.09%42.51M
8.27%40.19M
41.60%35.6M
62.33%30.84M
62.33%30.84M
141.70%37.59M
94.63%37.12M
Total current assets
0.11%130.16M
2.16%128.42M
2.16%128.42M
5.46%136.29M
-12.28%120.43M
-7.11%130.02M
2.33%125.71M
2.33%125.71M
116.92%129.24M
46.97%137.28M
Non current assets
Net PPE
23.87%129.76M
28.93%130.51M
28.93%130.51M
11.57%130.14M
-9.37%115.11M
-20.85%104.75M
-15.19%101.22M
-15.19%101.22M
25.05%116.65M
35.37%127.01M
-Gross PPE
25.91%180.61M
29.96%178.28M
29.96%178.28M
21.25%175.05M
-0.26%154.01M
-9.88%143.45M
-4.64%137.18M
-4.64%137.18M
24.72%144.37M
33.51%154.41M
-Accumulated depreciation
-31.41%-50.85M
-32.84%-47.77M
-32.84%-47.77M
-62.00%-44.91M
-41.98%-38.9M
-44.21%-38.7M
-46.73%-35.96M
-46.73%-35.96M
-23.35%-27.72M
-25.51%-27.4M
Goodwill and other intangible assets
-10.27%12.15M
-8.16%12.55M
-8.16%12.55M
335.77%12.44M
300.27%12.63M
288.70%13.55M
-21.45%13.67M
-21.45%13.67M
-61.87%2.85M
29,795.87%3.16M
-Goodwill
----
----
----
----
----
----
----
----
--1.47M
--1.56M
-Other intangible assets
-10.27%12.15M
-8.16%12.55M
-8.16%12.55M
798.97%12.44M
692.57%12.63M
638.46%13.55M
-13.25%13.67M
-13.25%13.67M
-81.52%1.38M
14,998.10%1.59M
Investments and advances
163.21%2.5M
171.36%2.57M
171.36%2.57M
-27.32%897.64K
-22.98%900.33K
-33.49%950.77K
-39.07%945.24K
-39.07%945.24K
-26.64%1.24M
-36.20%1.17M
Non current accounts receivable
----
----
----
----
----
----
----
----
--56.21K
--59.71K
Related parties assets
----
----
----
0.23%323.97K
-5.63%323.97K
----
----
----
--323.22K
--343.32K
Non current deferred assets
----
--0
--0
189.00%3.4M
137.14%3.1M
93.45%2.9M
77.16%2.49M
77.16%2.49M
--1.18M
--1.31M
Non current prepaid assets
--11.88M
--7.1M
--7.1M
--3.67M
----
----
--0
--0
----
----
Total non current assets
27.96%156.3M
29.08%152.73M
29.08%152.73M
23.43%150.55M
-0.72%131.75M
-12.01%122.15M
-15.35%118.33M
-15.35%118.33M
-6.98%121.97M
34.36%132.7M
Total assets
13.60%286.46M
15.21%281.16M
15.21%281.16M
14.18%286.84M
-6.60%252.17M
-9.55%252.17M
-7.08%244.03M
-7.08%244.03M
31.73%251.21M
40.49%269.98M
Liabilities
Current liabilities
Payables
34.36%104.96M
40.18%113.8M
40.18%113.8M
9.13%88.57M
-18.74%75.96M
-14.02%78.12M
3.85%81.18M
3.85%81.18M
144.63%81.16M
183.03%93.48M
-accounts payable
-10.32%32.04M
-17.69%26.76M
-17.69%26.76M
22.95%39.59M
-29.44%28.56M
-23.26%35.72M
-19.42%32.52M
-19.42%32.52M
496.74%32.2M
678.68%40.48M
-Total tax payable
--1.62M
----
----
----
----
----
----
----
----
--31.09K
-Dividends payable
--1.22M
-2.65%1.26M
-2.65%1.26M
----
----
----
-10.65%1.29M
-10.65%1.29M
--1.29M
--1.37M
-Due to related parties current
----
----
----
5.55%389.25K
11.75%387.26K
9.30%355.91K
----
----
1.91%368.77K
-4.42%346.54K
-Other payable
66.71%70.09M
81.07%85.77M
81.07%85.77M
2.72%48.58M
-8.28%47.01M
-1.17%42.04M
31.43%47.37M
31.43%47.37M
72.51%47.3M
86.60%51.25M
Current accrued expenses
-69.29%6.87M
10.97%7.38M
10.97%7.38M
557.53%38.48M
343.88%27.87M
188.53%22.37M
-19.86%6.65M
-19.86%6.65M
110.35%5.85M
120.25%6.28M
Current provisions
-15.76%20.78K
-8.95%23.87K
-8.95%23.87K
-77.62%23.29K
-77.98%23.36K
-76.31%24.66K
-79.49%26.22K
-79.49%26.22K
-16.54%104.05K
-14.53%106.05K
Current debt and capital lease obligation
93.92%39.18M
107.23%35.26M
107.23%35.26M
50.42%33.9M
55.34%27.65M
25.23%20.2M
19.06%17.02M
19.06%17.02M
1,471.49%22.53M
785.10%17.8M
-Current debt
89.45%36.45M
111.11%32.93M
111.11%32.93M
59.23%33.53M
54.51%27.17M
24.74%19.24M
15.61%15.6M
15.61%15.6M
2,993.97%21.06M
2,017.81%17.58M
-Current capital lease obligation
182.97%2.73M
64.52%2.34M
64.52%2.34M
-75.21%366.39K
123.39%481.28K
35.74%965.15K
77.08%1.42M
77.08%1.42M
96.20%1.48M
-81.75%215.44K
Current deferred liabilities
493.43%5.03M
-41.77%4.03M
-41.77%4.03M
-92.83%366.17K
-93.86%367.27K
-89.03%847.58K
14.74%6.93M
14.74%6.93M
263.64%5.11M
361.44%5.98M
Other current liabilities
----
----
----
----
-99.28%15K
-98.79%51K
-97.67%136K
-97.67%136K
-89.05%1.15M
-93.78%2.08M
Current liabilities
28.32%156.06M
43.38%160.5M
43.38%160.5M
39.20%161.33M
4.90%131.88M
-4.08%121.62M
-0.74%111.93M
-0.74%111.93M
134.65%115.9M
72.74%125.72M
Non current liabilities
Long term provisions
13.72%535.66K
15.97%522.57K
15.97%522.57K
-73.47%471.38K
-76.39%451.74K
-75.51%471.02K
-76.29%450.61K
-76.29%450.61K
-5.16%1.78M
2.45%1.91M
Long term debt and capital lease obligation
405.28%2.76M
-21.73%475.3K
-21.73%475.3K
284.95%462.32K
321.25%539.74K
-34.78%546.46K
-30.71%607.22K
-30.71%607.22K
-85.01%120.1K
-83.73%128.13K
-Long term capital lease obligation
405.28%2.76M
-21.73%475.3K
-21.73%475.3K
284.95%462.32K
321.25%539.74K
-34.78%546.46K
-30.71%607.22K
-30.71%607.22K
-85.01%120.1K
-83.73%128.13K
Non current deferred liabilities
6.27%5.86M
11.23%6.2M
11.23%6.2M
-13.55%5.02M
-18.39%5.13M
-23.51%5.51M
-9.89%5.58M
-9.89%5.58M
-34.24%5.81M
-13.99%6.28M
Non current accrued expenses
----
--0
--0
--0
--0
--1.09M
--1.09M
--1.09M
----
----
Total non current liabilities
20.11%9.16M
-6.72%7.2M
-6.72%7.2M
-22.72%5.96M
-26.49%6.12M
-23.54%7.62M
-13.89%7.72M
-13.89%7.72M
-59.68%7.71M
-52.57%8.33M
Total liabilities
27.84%165.22M
40.15%167.7M
40.15%167.7M
35.34%167.29M
2.95%138M
-5.50%129.24M
-1.71%119.65M
-1.71%119.65M
80.42%123.61M
48.39%134.05M
Shareholders'equity
Share capital
1.02%90.06K
1.04%90.06K
1.04%90.06K
0.53%89.61K
0.02%89.15K
0.34%89.15K
0.32%89.14K
0.32%89.14K
0.65%89.14K
0.67%89.14K
-common stock
1.02%90.06K
1.04%90.06K
1.04%90.06K
0.53%89.61K
0.02%89.15K
0.34%89.15K
0.32%89.14K
0.32%89.14K
0.65%89.14K
0.67%89.14K
Retained earnings
6.58%-124.56M
-1.86%-134.4M
-1.86%-134.4M
-6.91%-129.63M
-12.13%-135.96M
-9.24%-133.33M
-7.71%-131.95M
-7.71%-131.95M
7.90%-121.25M
20.06%-121.25M
Paid-in capital
0.54%247.58M
0.50%247.47M
0.50%247.47M
1.71%247.2M
2.10%247.07M
1.76%246.25M
1.78%246.24M
1.78%246.24M
0.75%243.05M
0.35%241.99M
Less: Treasury stock
0.00%4.07M
0.00%4.07M
0.00%4.07M
0.00%4.07M
0.00%4.07M
0.00%4.07M
0.00%4.07M
0.00%4.07M
0.00%4.07M
0.00%4.07M
Gains losses not affecting retained earnings
-95.69%-12.27M
-49.80%-10.37M
-49.80%-10.37M
-17.47%-13.1M
-317.52%-12.57M
-252.49%-6.27M
-286.13%-6.92M
-286.13%-6.92M
-551.34%-11.15M
-235.14%-3.01M
Other equity interest
0.00%14.1M
0.00%14.1M
0.00%14.1M
0.00%14.1M
0.00%14.1M
0.00%14.1M
0.00%14.1M
0.00%14.1M
0.00%14.1M
0.00%14.1M
Total stockholders'equity
3.52%120.88M
-3.98%112.82M
-3.98%112.82M
-5.12%114.6M
-15.01%108.66M
-12.96%116.77M
-11.85%117.5M
-11.85%117.5M
-1.14%120.78M
25.57%127.86M
Noncontrolling interests
-94.15%359.81K
-90.79%634.04K
-90.79%634.04K
-27.40%4.96M
-31.77%5.51M
-21.82%6.15M
-9.35%6.88M
-9.35%6.88M
28,629.56%6.83M
39,571.57%8.08M
Total equity
-1.37%121.24M
-8.78%113.46M
-8.78%113.46M
-6.31%119.55M
-16.01%114.17M
-13.45%122.93M
-11.72%124.38M
-11.72%124.38M
4.42%127.6M
33.48%135.93M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 215.72%23.79M-28.78%4.64M-28.78%4.64M-34.65%3.18M-34.17%3.45M17.72%7.54M-19.99%6.52M-19.99%6.52M71.61%4.86M-84.61%5.24M
-Cash and cash equivalents -59.74%3.03M-28.78%4.64M-28.78%4.64M-21.48%3.18M-21.26%3.45M34.35%7.54M-11.40%6.52M-11.40%6.52M102.92%4.05M-86.84%4.38M
-Short-term investments --20.76M-----------------------------2.82%815.01K14.63%859.35K
Receivables 29.41%44.89M-10.30%33.98M-10.30%33.98M57.43%52M-10.96%34M-42.65%34.69M-36.88%37.88M-36.88%37.88M16.85%33.03M34.44%38.19M
-Accounts receivable 9.26%25.29M23.75%26.17M23.75%26.17M96.23%39.9M4.66%23.27M-44.16%23.15M-52.03%21.15M-52.03%21.15M-7.50%20.33M4.42%22.23M
-Notes receivable 124.25%11.12M-60.37%2.48M-60.37%2.48M260.82%5.67M58.34%6.05M-43.67%4.96M7.69%6.27M7.69%6.27M524.06%1.57M327.45%3.82M
-Taxes receivable ----22.28%5.25M22.28%5.25M39.34%5.75M-34.11%3.97M-48.07%4.35M-40.32%4.29M-40.32%4.29M-17.71%4.13M15.36%6.02M
-Related party accounts receivable ------------0.23%323.97K-5.63%323.97K--------------323.22K--343.32K
-Other receivables 273.46%8.47M-94.06%367.4K-94.06%367.4K-94.06%397.1K-92.60%426.74K82.58%2.27M165.56%6.18M165.56%6.18M551.66%6.68M474.58%5.77M
-Recievables adjustments allowances -----4,046.11%-290.23K-4,046.11%-290.23K-425.21%-36.77K-476.93%-40.39K-503.64%-42.26K0.00%-7K0.00%-7K0.00%-7K0.00%-7K
Inventory -44.35%28.26M-32.42%33.41M-32.42%33.41M-28.95%37.45M-24.39%41.82M21.27%50.78M64.09%49.45M64.09%49.45M469.87%52.71M470.31%55.31M
Prepaid assets ----116.00%2.21M116.00%2.21M9.77%1.15M-32.23%966.88K-76.67%1.42M-81.56%1.02M-81.56%1.02M-71.45%1.05M-34.72%1.43M
Restricted cash -6.68%33.22M75.70%54.18M75.70%54.18M13.09%42.51M8.27%40.19M41.60%35.6M62.33%30.84M62.33%30.84M141.70%37.59M94.63%37.12M
Total current assets 0.11%130.16M2.16%128.42M2.16%128.42M5.46%136.29M-12.28%120.43M-7.11%130.02M2.33%125.71M2.33%125.71M116.92%129.24M46.97%137.28M
Non current assets
Net PPE 23.87%129.76M28.93%130.51M28.93%130.51M11.57%130.14M-9.37%115.11M-20.85%104.75M-15.19%101.22M-15.19%101.22M25.05%116.65M35.37%127.01M
-Gross PPE 25.91%180.61M29.96%178.28M29.96%178.28M21.25%175.05M-0.26%154.01M-9.88%143.45M-4.64%137.18M-4.64%137.18M24.72%144.37M33.51%154.41M
-Accumulated depreciation -31.41%-50.85M-32.84%-47.77M-32.84%-47.77M-62.00%-44.91M-41.98%-38.9M-44.21%-38.7M-46.73%-35.96M-46.73%-35.96M-23.35%-27.72M-25.51%-27.4M
Goodwill and other intangible assets -10.27%12.15M-8.16%12.55M-8.16%12.55M335.77%12.44M300.27%12.63M288.70%13.55M-21.45%13.67M-21.45%13.67M-61.87%2.85M29,795.87%3.16M
-Goodwill ----------------------------------1.47M--1.56M
-Other intangible assets -10.27%12.15M-8.16%12.55M-8.16%12.55M798.97%12.44M692.57%12.63M638.46%13.55M-13.25%13.67M-13.25%13.67M-81.52%1.38M14,998.10%1.59M
Investments and advances 163.21%2.5M171.36%2.57M171.36%2.57M-27.32%897.64K-22.98%900.33K-33.49%950.77K-39.07%945.24K-39.07%945.24K-26.64%1.24M-36.20%1.17M
Non current accounts receivable ----------------------------------56.21K--59.71K
Related parties assets ------------0.23%323.97K-5.63%323.97K--------------323.22K--343.32K
Non current deferred assets ------0--0189.00%3.4M137.14%3.1M93.45%2.9M77.16%2.49M77.16%2.49M--1.18M--1.31M
Non current prepaid assets --11.88M--7.1M--7.1M--3.67M----------0--0--------
Total non current assets 27.96%156.3M29.08%152.73M29.08%152.73M23.43%150.55M-0.72%131.75M-12.01%122.15M-15.35%118.33M-15.35%118.33M-6.98%121.97M34.36%132.7M
Total assets 13.60%286.46M15.21%281.16M15.21%281.16M14.18%286.84M-6.60%252.17M-9.55%252.17M-7.08%244.03M-7.08%244.03M31.73%251.21M40.49%269.98M
Liabilities
Current liabilities
Payables 34.36%104.96M40.18%113.8M40.18%113.8M9.13%88.57M-18.74%75.96M-14.02%78.12M3.85%81.18M3.85%81.18M144.63%81.16M183.03%93.48M
-accounts payable -10.32%32.04M-17.69%26.76M-17.69%26.76M22.95%39.59M-29.44%28.56M-23.26%35.72M-19.42%32.52M-19.42%32.52M496.74%32.2M678.68%40.48M
-Total tax payable --1.62M----------------------------------31.09K
-Dividends payable --1.22M-2.65%1.26M-2.65%1.26M-------------10.65%1.29M-10.65%1.29M--1.29M--1.37M
-Due to related parties current ------------5.55%389.25K11.75%387.26K9.30%355.91K--------1.91%368.77K-4.42%346.54K
-Other payable 66.71%70.09M81.07%85.77M81.07%85.77M2.72%48.58M-8.28%47.01M-1.17%42.04M31.43%47.37M31.43%47.37M72.51%47.3M86.60%51.25M
Current accrued expenses -69.29%6.87M10.97%7.38M10.97%7.38M557.53%38.48M343.88%27.87M188.53%22.37M-19.86%6.65M-19.86%6.65M110.35%5.85M120.25%6.28M
Current provisions -15.76%20.78K-8.95%23.87K-8.95%23.87K-77.62%23.29K-77.98%23.36K-76.31%24.66K-79.49%26.22K-79.49%26.22K-16.54%104.05K-14.53%106.05K
Current debt and capital lease obligation 93.92%39.18M107.23%35.26M107.23%35.26M50.42%33.9M55.34%27.65M25.23%20.2M19.06%17.02M19.06%17.02M1,471.49%22.53M785.10%17.8M
-Current debt 89.45%36.45M111.11%32.93M111.11%32.93M59.23%33.53M54.51%27.17M24.74%19.24M15.61%15.6M15.61%15.6M2,993.97%21.06M2,017.81%17.58M
-Current capital lease obligation 182.97%2.73M64.52%2.34M64.52%2.34M-75.21%366.39K123.39%481.28K35.74%965.15K77.08%1.42M77.08%1.42M96.20%1.48M-81.75%215.44K
Current deferred liabilities 493.43%5.03M-41.77%4.03M-41.77%4.03M-92.83%366.17K-93.86%367.27K-89.03%847.58K14.74%6.93M14.74%6.93M263.64%5.11M361.44%5.98M
Other current liabilities -----------------99.28%15K-98.79%51K-97.67%136K-97.67%136K-89.05%1.15M-93.78%2.08M
Current liabilities 28.32%156.06M43.38%160.5M43.38%160.5M39.20%161.33M4.90%131.88M-4.08%121.62M-0.74%111.93M-0.74%111.93M134.65%115.9M72.74%125.72M
Non current liabilities
Long term provisions 13.72%535.66K15.97%522.57K15.97%522.57K-73.47%471.38K-76.39%451.74K-75.51%471.02K-76.29%450.61K-76.29%450.61K-5.16%1.78M2.45%1.91M
Long term debt and capital lease obligation 405.28%2.76M-21.73%475.3K-21.73%475.3K284.95%462.32K321.25%539.74K-34.78%546.46K-30.71%607.22K-30.71%607.22K-85.01%120.1K-83.73%128.13K
-Long term capital lease obligation 405.28%2.76M-21.73%475.3K-21.73%475.3K284.95%462.32K321.25%539.74K-34.78%546.46K-30.71%607.22K-30.71%607.22K-85.01%120.1K-83.73%128.13K
Non current deferred liabilities 6.27%5.86M11.23%6.2M11.23%6.2M-13.55%5.02M-18.39%5.13M-23.51%5.51M-9.89%5.58M-9.89%5.58M-34.24%5.81M-13.99%6.28M
Non current accrued expenses ------0--0--0--0--1.09M--1.09M--1.09M--------
Total non current liabilities 20.11%9.16M-6.72%7.2M-6.72%7.2M-22.72%5.96M-26.49%6.12M-23.54%7.62M-13.89%7.72M-13.89%7.72M-59.68%7.71M-52.57%8.33M
Total liabilities 27.84%165.22M40.15%167.7M40.15%167.7M35.34%167.29M2.95%138M-5.50%129.24M-1.71%119.65M-1.71%119.65M80.42%123.61M48.39%134.05M
Shareholders'equity
Share capital 1.02%90.06K1.04%90.06K1.04%90.06K0.53%89.61K0.02%89.15K0.34%89.15K0.32%89.14K0.32%89.14K0.65%89.14K0.67%89.14K
-common stock 1.02%90.06K1.04%90.06K1.04%90.06K0.53%89.61K0.02%89.15K0.34%89.15K0.32%89.14K0.32%89.14K0.65%89.14K0.67%89.14K
Retained earnings 6.58%-124.56M-1.86%-134.4M-1.86%-134.4M-6.91%-129.63M-12.13%-135.96M-9.24%-133.33M-7.71%-131.95M-7.71%-131.95M7.90%-121.25M20.06%-121.25M
Paid-in capital 0.54%247.58M0.50%247.47M0.50%247.47M1.71%247.2M2.10%247.07M1.76%246.25M1.78%246.24M1.78%246.24M0.75%243.05M0.35%241.99M
Less: Treasury stock 0.00%4.07M0.00%4.07M0.00%4.07M0.00%4.07M0.00%4.07M0.00%4.07M0.00%4.07M0.00%4.07M0.00%4.07M0.00%4.07M
Gains losses not affecting retained earnings -95.69%-12.27M-49.80%-10.37M-49.80%-10.37M-17.47%-13.1M-317.52%-12.57M-252.49%-6.27M-286.13%-6.92M-286.13%-6.92M-551.34%-11.15M-235.14%-3.01M
Other equity interest 0.00%14.1M0.00%14.1M0.00%14.1M0.00%14.1M0.00%14.1M0.00%14.1M0.00%14.1M0.00%14.1M0.00%14.1M0.00%14.1M
Total stockholders'equity 3.52%120.88M-3.98%112.82M-3.98%112.82M-5.12%114.6M-15.01%108.66M-12.96%116.77M-11.85%117.5M-11.85%117.5M-1.14%120.78M25.57%127.86M
Noncontrolling interests -94.15%359.81K-90.79%634.04K-90.79%634.04K-27.40%4.96M-31.77%5.51M-21.82%6.15M-9.35%6.88M-9.35%6.88M28,629.56%6.83M39,571.57%8.08M
Total equity -1.37%121.24M-8.78%113.46M-8.78%113.46M-6.31%119.55M-16.01%114.17M-13.45%122.93M-11.72%124.38M-11.72%124.38M4.42%127.6M33.48%135.93M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------

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