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001323 De Rucci Healthy Sleep

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  • 31.88
  • -0.20-0.62%
Not Open May 12 15:00 CST
12.75BMarket Cap17.14P/E (TTM)

De Rucci Healthy Sleep Key Stats

All
YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2025
(FY)Dec 31, 2024
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
Operating Cash Flow
Goods sale service render cash
-13.18%1.23B
-8.50%5.97B
-3.52%4.68B
0.25%3.16B
7.71%1.42B
-2.94%6.53B
10.82%4.85B
0.47%3.16B
-4.07%1.32B
-14.75%6.72B
Refunds of taxes and levies
--1.53M
--468.31K
----
----
----
----
----
----
----
--460.43K
Cash received relating to other operating activities
-16.30%15.68M
-20.19%88.9M
-31.50%72.34M
-21.00%53.49M
-29.10%18.74M
-5.82%111.39M
-9.89%105.6M
51.93%67.7M
215.45%26.43M
10.47%118.27M
Cash inflows from operating activities
-13.12%1.25B
-8.69%6.06B
-4.12%4.75B
-0.20%3.22B
6.99%1.44B
-2.99%6.64B
10.09%4.95B
0.94%3.22B
-2.74%1.34B
-14.40%6.84B
Goods services cash paid
-18.65%654.13M
1.77%2.4B
32.49%2.38B
55.71%1.64B
72.40%804.12M
-31.95%2.35B
-19.88%1.79B
-40.97%1.05B
-50.65%466.42M
-17.99%3.46B
Staff behalf paid
-5.48%237.6M
6.48%896.19M
8.94%676.52M
13.95%459.34M
22.97%251.36M
-22.09%841.67M
-27.34%621M
-34.84%403.12M
-45.74%204.41M
5.19%1.08B
All taxes paid
-1.34%133.86M
10.54%496.14M
12.50%371.7M
17.04%239.36M
13.88%135.68M
-2.94%448.85M
-4.73%330.4M
-6.47%204.51M
3.43%119.14M
-7.31%462.43M
Cash paid relating to other operating activities
6.66%288.98M
11.70%1.18B
-0.58%917.74M
44.98%654.27M
28.91%270.92M
-11.28%1.06B
-4.32%923.1M
-19.15%451.29M
-18.39%210.17M
-4.95%1.19B
Cash outflows from operating activities
-10.09%1.31B
5.68%4.97B
18.38%4.34B
41.71%2.99B
46.19%1.46B
-24.08%4.7B
-16.73%3.67B
-33.58%2.11B
-40.98%1B
-11.49%6.2B
Net cash flows from operating activities
-176.49%-64.58M
-43.63%1.09B
-68.39%406.01M
-79.95%222.63M
-106.78%-23.36M
198.82%1.93B
1,269.44%1.28B
9,076.42%1.11B
210.42%344.57M
-34.91%647.44M
Investing cash flow
Cash received from disposal of investments
159.01%2.67B
610.19%4.97B
381.88%3.37B
226.83%2.29B
47.14%1.03B
250.00%700M
250.00%700M
--700M
--700M
-66.67%200M
Cash received from returns on investments
131.57%13.63M
1,933.03%27.45M
652.45%10.16M
494.67%8.03M
336.09%5.89M
37.04%1.35M
37.04%1.35M
--1.35M
--1.35M
-76.86%985.21K
Net cash received from disposal of fix assets、 intangible assets 、other long-term asset
-63.11%428.7K
565.74%4.72M
1,472.43%3.26M
--2.58M
1,767.01%1.16M
-85.96%708.25K
-91.95%207.44K
----
-97.14%62.24K
397.67%5.04M
Cash inflows from investing activities
158.60%2.68B
612.69%5B
382.72%3.39B
227.71%2.3B
47.85%1.04B
240.76%702.06M
244.64%701.56M
--701.35M
32,134.94%701.41M
-65.96%206.03M
Cash paid to acquire fixed assets intangible assets and other long-term assets
-43.16%68.94M
-3.79%380.68M
13.73%324.44M
32.89%257.32M
42.05%121.27M
-36.36%395.67M
-35.48%285.29M
-39.17%193.63M
-55.40%85.38M
-19.06%621.74M
Cash paid to acquire investments
358.72%1.53B
437.44%6.76B
--4.76B
--3.15B
--334M
39.76%1.26B
----
----
----
50.00%900M
 Net cash paid to acquire subsidiaries and other business units
--27.67M
----
--3M
--3M
----
----
----
----
----
----
Cash outflows from investing activities
257.74%1.63B
331.85%7.14B
1,683.64%5.09B
1,659.38%3.41B
433.25%455.27M
8.66%1.65B
-55.57%285.29M
-39.17%193.63M
-55.40%85.38M
11.22%1.52B
Net cash flows from investing activities
81.02%1.05B
-124.61%-2.14B
-508.85%-1.7B
-318.29%-1.11B
-5.56%581.78M
27.69%-951.41M
194.91%416.27M
259.51%507.72M
425.51%616.04M
-72.46%-1.32B
Financing cash flow
Cash received from capital contributions
--200K
----
----
----
----
----
----
----
----
--1.48B
Cash from borrowing
-48.71%304.14M
247.64%2.21B
168.85%1.71B
--1.25B
--593M
--634.91M
--634.91M
----
----
----
Cash received relating to other financing activities
-51.06%201.21M
411.17%811.85M
930.03%627.6M
1,888.13%561.37M
2,564.96%411.11M
--158.82M
--60.93M
--28.24M
--15.43M
----
Cash inflows from financing activities
-49.65%505.55M
280.36%3.02B
235.50%2.33B
6,311.86%1.81B
6,409.00%1B
-46.51%793.73M
-55.33%695.84M
-98.19%28.24M
--15.43M
--1.48B
Borrowing repayment
27.22%562.19M
724.35%1.59B
--934.91M
--934.91M
--441.91M
--193M
----
----
----
----
Dividend interest payment
-7.55%1.52M
72.73%699.08M
43.24%572.98M
0.88%403.53M
--1.64M
1.18%404.73M
4.16%400.01M
--400.01M
----
--400.01M
Cash payments relating to other financing activities
-18.11%112.18M
33.42%1.05B
15.49%635.97M
108.83%279.28M
65.49%137M
773.62%787.21M
284.38%550.67M
30.10%133.74M
172.68%82.78M
10.20%90.11M
Cash outflows from financing activities
16.42%675.88M
141.19%3.34B
125.51%2.14B
203.09%1.62B
601.31%580.55M
182.57%1.38B
80.30%950.68M
419.23%533.75M
172.68%82.78M
499.38%490.12M
Net cash flows from financing activities
-140.22%-170.34M
45.64%-321.38M
174.82%190.67M
138.13%192.74M
728.86%423.56M
-159.49%-591.21M
-124.73%-254.84M
-134.75%-505.51M
-121.86%-67.35M
1,315.37%993.83M
Net cash flow
Exchange rate change effecting cash and cash equivalents
-1,273.10%-3.02M
-45.15%237.66K
-127.20%-43.28K
240.33%224.24K
149.36%257.07K
-81.28%433.27K
-87.45%159.11K
69.67%-159.8K
-7,274.89%-520.77K
863.97%2.31M
Net increase in cash and cash equivalents
-17.01%815.21M
-448.44%-1.37B
-176.43%-1.11B
-162.28%-692.72M
10.03%982.24M
19.71%392.5M
110.56%1.45B
-3.11%1.11B
267.91%892.73M
119.12%327.87M
Add:Begin period cash and cash equivalents
-63.79%776.19M
22.41%2.14B
22.41%2.14B
22.41%2.14B
22.41%2.14B
23.03%1.75B
23.03%1.75B
23.03%1.75B
23.03%1.75B
11.75%1.42B
End period cash equivalent
-49.09%1.59B
-63.79%776.19M
-67.52%1.04B
-49.33%1.45B
18.23%3.13B
22.41%2.14B
51.52%3.2B
11.36%2.86B
196.49%2.64B
23.03%1.75B
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
--
--
--
Unqualified opinion
Auditor
--
Grant Thornton Certified Public Accountants (Special General Partnership)
--
--
--
Grant Thornton Certified Public Accountants (Special General Partnership)
--
--
--
Grant Thornton Certified Public Accountants (Special General Partnership)
(Q3)Mar 31, 2025(FY)Dec 31, 2024(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022
Operating Cash Flow
Goods sale service render cash -13.18%1.23B-8.50%5.97B-3.52%4.68B0.25%3.16B7.71%1.42B-2.94%6.53B10.82%4.85B0.47%3.16B-4.07%1.32B-14.75%6.72B
Refunds of taxes and levies --1.53M--468.31K------------------------------460.43K
Cash received relating to other operating activities -16.30%15.68M-20.19%88.9M-31.50%72.34M-21.00%53.49M-29.10%18.74M-5.82%111.39M-9.89%105.6M51.93%67.7M215.45%26.43M10.47%118.27M
Cash inflows from operating activities -13.12%1.25B-8.69%6.06B-4.12%4.75B-0.20%3.22B6.99%1.44B-2.99%6.64B10.09%4.95B0.94%3.22B-2.74%1.34B-14.40%6.84B
Goods services cash paid -18.65%654.13M1.77%2.4B32.49%2.38B55.71%1.64B72.40%804.12M-31.95%2.35B-19.88%1.79B-40.97%1.05B-50.65%466.42M-17.99%3.46B
Staff behalf paid -5.48%237.6M6.48%896.19M8.94%676.52M13.95%459.34M22.97%251.36M-22.09%841.67M-27.34%621M-34.84%403.12M-45.74%204.41M5.19%1.08B
All taxes paid -1.34%133.86M10.54%496.14M12.50%371.7M17.04%239.36M13.88%135.68M-2.94%448.85M-4.73%330.4M-6.47%204.51M3.43%119.14M-7.31%462.43M
Cash paid relating to other operating activities 6.66%288.98M11.70%1.18B-0.58%917.74M44.98%654.27M28.91%270.92M-11.28%1.06B-4.32%923.1M-19.15%451.29M-18.39%210.17M-4.95%1.19B
Cash outflows from operating activities -10.09%1.31B5.68%4.97B18.38%4.34B41.71%2.99B46.19%1.46B-24.08%4.7B-16.73%3.67B-33.58%2.11B-40.98%1B-11.49%6.2B
Net cash flows from operating activities -176.49%-64.58M-43.63%1.09B-68.39%406.01M-79.95%222.63M-106.78%-23.36M198.82%1.93B1,269.44%1.28B9,076.42%1.11B210.42%344.57M-34.91%647.44M
Investing cash flow
Cash received from disposal of investments 159.01%2.67B610.19%4.97B381.88%3.37B226.83%2.29B47.14%1.03B250.00%700M250.00%700M--700M--700M-66.67%200M
Cash received from returns on investments 131.57%13.63M1,933.03%27.45M652.45%10.16M494.67%8.03M336.09%5.89M37.04%1.35M37.04%1.35M--1.35M--1.35M-76.86%985.21K
Net cash received from disposal of fix assets、 intangible assets 、other long-term asset -63.11%428.7K565.74%4.72M1,472.43%3.26M--2.58M1,767.01%1.16M-85.96%708.25K-91.95%207.44K-----97.14%62.24K397.67%5.04M
Cash inflows from investing activities 158.60%2.68B612.69%5B382.72%3.39B227.71%2.3B47.85%1.04B240.76%702.06M244.64%701.56M--701.35M32,134.94%701.41M-65.96%206.03M
Cash paid to acquire fixed assets intangible assets and other long-term assets -43.16%68.94M-3.79%380.68M13.73%324.44M32.89%257.32M42.05%121.27M-36.36%395.67M-35.48%285.29M-39.17%193.63M-55.40%85.38M-19.06%621.74M
Cash paid to acquire investments 358.72%1.53B437.44%6.76B--4.76B--3.15B--334M39.76%1.26B------------50.00%900M
 Net cash paid to acquire subsidiaries and other business units --27.67M------3M--3M------------------------
Cash outflows from investing activities 257.74%1.63B331.85%7.14B1,683.64%5.09B1,659.38%3.41B433.25%455.27M8.66%1.65B-55.57%285.29M-39.17%193.63M-55.40%85.38M11.22%1.52B
Net cash flows from investing activities 81.02%1.05B-124.61%-2.14B-508.85%-1.7B-318.29%-1.11B-5.56%581.78M27.69%-951.41M194.91%416.27M259.51%507.72M425.51%616.04M-72.46%-1.32B
Financing cash flow
Cash received from capital contributions --200K----------------------------------1.48B
Cash from borrowing -48.71%304.14M247.64%2.21B168.85%1.71B--1.25B--593M--634.91M--634.91M------------
Cash received relating to other financing activities -51.06%201.21M411.17%811.85M930.03%627.6M1,888.13%561.37M2,564.96%411.11M--158.82M--60.93M--28.24M--15.43M----
Cash inflows from financing activities -49.65%505.55M280.36%3.02B235.50%2.33B6,311.86%1.81B6,409.00%1B-46.51%793.73M-55.33%695.84M-98.19%28.24M--15.43M--1.48B
Borrowing repayment 27.22%562.19M724.35%1.59B--934.91M--934.91M--441.91M--193M----------------
Dividend interest payment -7.55%1.52M72.73%699.08M43.24%572.98M0.88%403.53M--1.64M1.18%404.73M4.16%400.01M--400.01M------400.01M
Cash payments relating to other financing activities -18.11%112.18M33.42%1.05B15.49%635.97M108.83%279.28M65.49%137M773.62%787.21M284.38%550.67M30.10%133.74M172.68%82.78M10.20%90.11M
Cash outflows from financing activities 16.42%675.88M141.19%3.34B125.51%2.14B203.09%1.62B601.31%580.55M182.57%1.38B80.30%950.68M419.23%533.75M172.68%82.78M499.38%490.12M
Net cash flows from financing activities -140.22%-170.34M45.64%-321.38M174.82%190.67M138.13%192.74M728.86%423.56M-159.49%-591.21M-124.73%-254.84M-134.75%-505.51M-121.86%-67.35M1,315.37%993.83M
Net cash flow
Exchange rate change effecting cash and cash equivalents -1,273.10%-3.02M-45.15%237.66K-127.20%-43.28K240.33%224.24K149.36%257.07K-81.28%433.27K-87.45%159.11K69.67%-159.8K-7,274.89%-520.77K863.97%2.31M
Net increase in cash and cash equivalents -17.01%815.21M-448.44%-1.37B-176.43%-1.11B-162.28%-692.72M10.03%982.24M19.71%392.5M110.56%1.45B-3.11%1.11B267.91%892.73M119.12%327.87M
Add:Begin period cash and cash equivalents -63.79%776.19M22.41%2.14B22.41%2.14B22.41%2.14B22.41%2.14B23.03%1.75B23.03%1.75B23.03%1.75B23.03%1.75B11.75%1.42B
End period cash equivalent -49.09%1.59B-63.79%776.19M-67.52%1.04B-49.33%1.45B18.23%3.13B22.41%2.14B51.52%3.2B11.36%2.86B196.49%2.64B23.03%1.75B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
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------Unqualified opinion
Auditor --Grant Thornton Certified Public Accountants (Special General Partnership)------Grant Thornton Certified Public Accountants (Special General Partnership)------Grant Thornton 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.