US Stock MarketDetailed Quotes
WXXWY WUXI BIOLGCS ADR
Watchlist
10.870
+0.560+5.43% Close 09/22 16:00 ET
10.898High10.750Low63.08KVolume
10.750Open10.310Pre Close682.33KTurnover0.00%Turnover Ratio41.49P/E (TTM)23.09BMarket Cap18.76052wk High37.10P/E (Static)2.12BShares8.70052wk Low4.47P/B23.09BFloat Cap38.000Historical High--Dividend TTM2.12BShs Float8.700Historical Low--Div YieldTTM1.43%Amplitude10.816Avg Price1Lot Size
WUXI BIOLGCS ADR Key Stats
Quarterly+Annual
YOY

(Q2)2023/06/30 | (FY)2022/12/31 | (Q4)2022/12/31 | (Q2)2022/06/30 | (FY)2021/12/31 | (Q4)2021/12/31 | (Q2)2021/06/30 | (FY)2020/12/31 | (Q4)2020/12/31 | (Q2)2020/06/30 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -11.86%8.69B | -21.68%8.71B | -21.68%8.71B | -29.23%9.86B | 31.20%11.13B | 31.20%11.13B | 159.30%13.94B | 25.67%8.48B | 25.67%8.48B | 77.45%5.38B |
-Cash and cash equivalents | -9.59%7.36B | -28.97%6.4B | -28.97%6.4B | -27.89%8.14B | 26.88%9B | 26.88%9B | 204.08%11.28B | 14.35%7.1B | 14.35%7.1B | 29.52%3.71B |
-Short-term investments | -22.55%1.34B | 9.23%2.32B | 9.23%2.32B | -34.94%1.73B | 53.32%2.12B | 53.32%2.12B | 59.55%2.66B | 155.03%1.38B | 155.03%1.38B | 909.56%1.67B |
-Accounts receivable | -10.38%4.86B | 48.88%4.65B | 48.88%4.65B | 90.25%5.42B | 33.91%3.12B | 33.91%3.12B | 71.38%2.85B | 74.78%2.33B | 74.78%2.33B | 90.55%1.66B |
-Taxes receivable | 102.31%411.79M | -45.50%343.33M | -45.50%343.33M | -79.27%203.55M | 105.64%630.02M | 105.64%630.02M | 139.49%981.73M | 24.47%306.37M | 24.47%306.37M | 90.76%409.93M |
-Other receivables | -44.68%618.48M | -10.44%1.03B | -10.44%1.03B | 45.95%1.12B | 162.47%1.15B | 162.47%1.15B | 105.36%766.01M | 157.41%438.13M | 157.41%438.13M | 164.18%373M |
Inventory | -8.33%1.97B | 35.18%2.28B | 35.18%2.28B | 25.60%2.14B | 55.63%1.69B | 55.63%1.69B | 178.99%1.71B | 171.46%1.08B | 171.46%1.08B | 91.81%611.76M |
Prepaid assets | 24.52%143.12M | 18.77%113.51M | 18.77%113.51M | -51.21%114.94M | -50.20%95.57M | -50.20%95.57M | 451.78%235.55M | 647.84%191.9M | 647.84%191.9M | 91.70%42.69M |
Restricted cash | -81.98%39.32M | -88.36%25.37M | -88.36%25.37M | -58.85%218.24M | -58.78%217.99M | -58.78%217.99M | 0.29%530.34M | 22.51%528.79M | 22.51%528.79M | 5,618.47%528.79M |
Current deferred assets | 2.53%1.09B | 9.05%1.1B | 9.05%1.1B | 57.23%1.06B | 156.42%1.01B | 156.42%1.01B | 69.82%673.52M | 37.96%392.12M | 37.96%392.12M | 4.18%396.61M |
Total current assets | -13.46%17.88B | -5.43%18.47B | -5.43%18.47B | -6.02%20.66B | 37.49%19.53B | 37.49%19.53B | 133.51%21.98B | 46.86%14.2B | 46.86%14.2B | 88.07%9.41B |
Non current assets | ||||||||||
Net PPE | 32.72%28.99B | 31.18%25.92B | 31.18%25.92B | 23.15%21.85B | 53.50%19.76B | 53.50%19.76B | 76.75%17.74B | 89.37%12.87B | 89.37%12.87B | 148.68%10.04B |
-Gross PPE | 32.72%28.99B | 20.81%25.92B | 20.81%25.92B | 23.15%21.85B | 52.65%21.45B | 52.65%21.45B | 76.75%17.74B | 84.29%14.05B | 84.29%14.05B | 148.68%10.04B |
-Accumulated depreciation | ---- | ---- | ---- | ---- | -43.44%-1.7B | -43.44%-1.7B | ---- | -42.61%-1.18B | -42.61%-1.18B | ---- |
Goodwill and other intangible assets | -0.96%2.07B | -2.43%2.08B | -2.43%2.08B | 9.08%2.09B | 269.08%2.13B | 269.08%2.13B | 224.83%1.92B | -3.99%577.27M | -3.99%577.27M | 83.52%590.96M |
-Goodwill | 0.00%1.53B | 0.00%1.53B | 0.00%1.53B | 14.67%1.53B | 725.16%1.53B | 725.16%1.53B | 619.57%1.33B | 0.00%185.41M | 0.00%185.41M | --185.41M |
-Other intangible assets | -3.55%543.96M | -8.64%548.78M | -8.64%548.78M | -3.67%563.98M | 53.28%600.65M | 53.28%600.65M | 44.37%585.5M | -5.77%391.86M | -5.77%391.86M | 25.94%405.56M |
Financial assets | ---- | ---- | ---- | 81.94%28.57M | -47.57%10.94M | -47.57%10.94M | -3.32%15.7M | --20.87M | --20.87M | 1,604.09%16.24M |
Non current prepaid assets | 25.17%69.78M | 2.43%58.88M | 2.43%58.88M | -6.36%55.75M | 16.18%57.48M | 16.18%57.48M | 23.47%59.54M | 11.02%49.48M | 11.02%49.48M | 98.18%48.22M |
Total non current assets | 27.77%34.26B | 26.90%31.09B | 26.90%31.09B | 24.14%26.82B | 66.02%24.5B | 66.02%24.5B | 90.97%21.6B | 86.11%14.76B | 86.11%14.76B | 117.38%11.31B |
Total assets | 9.83%52.14B | 12.56%49.56B | 12.56%49.56B | 8.93%47.47B | 52.03%44.03B | 52.03%44.03B | 110.29%43.58B | 64.54%28.96B | 64.54%28.96B | 103.01%20.72B |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | -38.55%2.17B | -16.09%3.57B | -16.09%3.57B | 17.30%3.54B | 42.83%4.26B | 42.83%4.26B | 63.02%3.02B | 92.47%2.98B | 92.47%2.98B | 110.25%1.85B |
-accounts payable | -42.41%573.2M | 28.59%794.39M | 28.59%794.39M | 86.18%995.33M | -4.37%617.78M | -4.37%617.78M | -69.53%534.61M | 247.67%646M | 247.67%646M | 599.81%1.75B |
-Total tax payable | 0.30%646.39M | 37.01%831.33M | 37.01%831.33M | 84.97%644.48M | 115.13%606.76M | 115.13%606.76M | 263.83%348.42M | 88.88%282.05M | 88.88%282.05M | -8.80%95.77M |
-Other payable | -49.72%954.37M | -35.83%1.95B | -35.83%1.95B | -11.02%1.9B | 47.75%3.03B | 47.75%3.03B | --2.13B | 69.13%2.05B | 69.13%2.05B | ---- |
Current debt and capital lease obligation | -48.23%1.28B | -33.92%1.47B | -33.92%1.47B | 91.13%2.47B | 168.83%2.23B | 168.83%2.23B | 56.30%1.29B | 55.43%827.84M | 55.43%827.84M | 2,528.60%827.93M |
-Current debt | -50.77%1.16B | -37.72%1.32B | -37.72%1.32B | 102.23%2.35B | 176.60%2.12B | 176.60%2.12B | 55.60%1.16B | 51.57%767.13M | 51.57%767.13M | --745.92M |
-Current capital lease obligation | -1.04%124.94M | 43.93%149.06M | 43.93%149.06M | -5.39%126.25M | 70.58%103.56M | 70.58%103.56M | 62.72%133.44M | 129.19%60.71M | 129.19%60.71M | 160.36%82.01M |
Current liabilities | -9.51%8.14B | 12.87%9.32B | 12.87%9.32B | 65.32%9B | 83.53%8.26B | 83.53%8.26B | 71.39%5.44B | 56.67%4.5B | 56.67%4.5B | 135.43%3.17B |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 100.53%3.86B | 42.58%2.95B | 42.58%2.95B | -41.76%1.93B | -17.34%2.07B | -17.34%2.07B | 15.85%3.31B | 50.73%2.5B | 50.73%2.5B | 1,217.49%2.85B |
-Long term debt | 211.97%1.66B | 128.19%1.46B | 128.19%1.46B | -74.35%531.9M | -65.14%640.51M | -65.14%640.51M | -5.92%2.07B | 31.71%1.84B | 31.71%1.84B | --2.2B |
-Long term capital lease obligation | 57.98%2.2B | 4.22%1.49B | 4.22%1.49B | 13.14%1.39B | 114.45%1.43B | 114.45%1.43B | 89.82%1.23B | 150.46%666.51M | 150.46%666.51M | 199.58%648.75M |
Derivative product liabilities | ---- | ---- | ---- | ---- | ---- | ---- | -77.09%6.31M | --7.26M | --7.26M | 40,414.71%27.55M |
Total non current liabilities | 65.40%4.96B | 31.33%4.03B | 31.33%4.03B | -34.22%3B | -13.89%3.07B | -13.89%3.07B | 20.82%4.56B | 94.33%3.57B | 94.33%3.57B | 1,081.45%3.77B |
Total liabilities | 9.21%13.1B | 17.88%13.35B | 17.88%13.35B | 19.96%11.99B | 40.45%11.33B | 40.45%11.33B | 43.94%10B | 71.35%8.06B | 71.35%8.06B | 316.46%6.95B |
Shareholders'equity | ||||||||||
Share capital | -0.43%234K | -0.85%233K | -0.85%233K | 0.43%235K | 4.44%235K | 4.44%235K | 8.33%234K | 5.14%225K | 5.14%225K | 5.88%216K |
-common stock | -0.43%234K | -0.85%233K | -0.85%233K | 0.43%235K | 4.44%235K | 4.44%235K | 8.33%234K | 5.14%225K | 5.14%225K | 5.88%216K |
Retained earnings | --12.78B | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Paid-in capital | --22.57B | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Other equity interest | --2.32B | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total stockholders'equity | 9.51%37.74B | 8.58%35.05B | 8.58%35.05B | 3.74%34.46B | 56.96%32.28B | 56.96%32.28B | 143.65%33.22B | 60.86%20.56B | 60.86%20.56B | 59.64%13.63B |
Noncontrolling interests | 28.17%1.31B | 172.62%1.17B | 172.62%1.17B | 180.66%1.02B | 27.65%427.57M | 27.65%427.57M | 151.83%363.04M | 199.77%334.95M | 199.77%334.95M | 169,704.71%144.16M |
Total equity | 10.04%39.04B | 10.72%36.21B | 10.72%36.21B | 5.65%35.48B | 56.49%32.71B | 56.49%32.71B | 143.74%33.58B | 62.06%20.9B | 62.06%20.9B | 61.33%13.78B |
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