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002667 Willing New Energy

Watchlist
  • 13.41
  • +1.22+10.01%
Market Closed Apr 30 15:00 CST
3.25BMarket Cap-10.24P/E (TTM)

Willing New Energy 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
Assets
Current assets
Money funds
-23.31%45.32M
-17.38%110.52M
-62.62%134.63M
-74.72%140.76M
-86.22%59.09M
-80.15%133.78M
6.63%360.13M
309.24%556.69M
69.14%428.85M
163.29%674M
Transactional financial assets
----
----
----
----
----
----
--8M
----
----
----
Notes receivable and accounts receivable
-13.38%64.8M
-58.73%55.1M
25.36%117.04M
61.58%140.97M
-59.88%74.81M
-27.53%133.49M
-45.84%93.36M
-41.01%87.25M
-1.29%186.47M
28.52%184.19M
-Notes receivable
-32.27%12.83M
-59.08%13.17M
-60.16%5.93M
163.06%21.87M
-47.72%18.94M
-40.55%32.19M
-71.60%14.88M
-75.66%8.32M
-4.41%36.23M
27.95%54.15M
-Accounts receivable
-6.98%51.97M
-58.62%41.92M
41.57%111.11M
50.89%119.1M
-62.81%55.87M
-22.10%101.3M
-34.59%78.48M
-30.60%78.93M
-0.51%150.25M
28.76%130.04M
Other receivables (including interest and dividends)
-45.80%28.4M
-37.85%39.77M
-38.75%33.47M
-67.67%22.99M
-8.79%52.4M
49.88%63.99M
-0.99%54.64M
258.84%71.11M
326.44%57.46M
-30.25%42.69M
-Other receivable
----
----
----
-67.67%22.99M
----
49.88%63.99M
----
258.84%71.11M
----
-30.25%42.69M
Contractual assets
----
----
----
----
380.29%23.83M
526.20%23.83M
1,022.72%75.88M
1,086.82%79.22M
-21.72%4.96M
-42.45%3.8M
Advance payment
249.62%203.57M
306.07%173.61M
-57.32%36.98M
-63.11%36.92M
-45.30%58.23M
-37.34%42.75M
-31.39%86.63M
112.91%100.09M
122.91%106.44M
33.06%68.23M
Inventories
-79.08%50.76M
-61.27%46.87M
-30.31%121.04M
10.08%223.08M
-42.90%242.62M
-73.25%121M
-46.99%173.69M
-26.14%202.66M
82.73%424.86M
152.21%452.3M
Receivable financing
-96.72%36.8K
-95.73%496.53K
-97.65%2.38M
-99.91%277.46K
-99.59%1.12M
-88.81%11.62M
159.68%101.25M
2,500.98%300.05M
4,326.28%274.94M
853.72%103.82M
Non-current assets due within one year
----
--8.47M
----
----
----
----
----
----
----
----
Other current assets
-31.48%31.92M
11.99%39.25M
81.24%40.97M
113.35%42.56M
72.44%46.59M
4.86%35.05M
-18.11%22.61M
45.58%19.95M
187.91%27.02M
307.45%33.42M
Total current assets
-23.96%424.81M
-16.17%474.09M
-50.16%486.5M
-57.12%607.56M
-63.03%558.68M
-63.81%565.51M
-10.65%976.19M
115.66%1.42B
99.31%1.51B
117.97%1.56B
Non Current assets
Debt investment
----
----
--8.39M
--8.31M
--8.23M
--8.15M
----
----
----
----
Other equity investment
-3.06%80.7M
-3.06%80.7M
0.00%83.25M
0.00%83.25M
-0.37%83.25M
-0.37%83.25M
0.00%83.25M
0.00%83.25M
--83.56M
--83.56M
Long-term equity investment
-5.66%95.51M
120.79%96.1M
108.54%100.61M
114.05%101.14M
36.44%101.24M
-38.62%43.52M
-32.91%48.24M
-33.78%47.25M
4.77%74.2M
0.14%70.91M
Fixed assets
----
----
----
2.46%624.14M
----
5.85%611.99M
----
170.70%609.13M
----
517.86%578.16M
Constru in process
----
----
----
3,827.74%216.36M
----
1,345.17%212.16M
----
-96.59%5.51M
----
2,851.24%14.68M
Intangible assets
-5.21%63.69M
-5.12%64.69M
-6.04%65.6M
72.27%66.6M
-2.32%67.19M
-2.18%68.18M
-1.76%69.81M
-46.00%38.66M
6.15%68.78M
113.90%69.7M
Goodwill
-25.92%128.85M
-25.92%128.85M
0.00%173.94M
0.00%173.94M
0.00%173.94M
0.00%173.94M
-4.90%173.94M
-4.90%173.94M
-4.14%173.94M
--173.94M
Long deferred expense
-54.64%256.68K
-49.11%328.32K
-90.19%407.53K
-86.84%486.74K
-85.41%565.94K
-10.03%645.15K
404.16%4.15M
294.09%3.7M
246.24%3.88M
-38.55%717.04K
Deferred tax assets
-89.20%391.42K
-89.06%399.97K
-47.22%6.97M
-69.77%3.51M
-86.56%3.62M
-86.89%3.66M
-53.58%13.21M
-59.92%11.61M
2.54%26.97M
3.24%27.88M
Usufruct assets
-61.82%4.62M
-60.99%5.32M
92.76%9.42M
79.34%10.9M
66.78%12.11M
144.65%13.65M
-6.70%4.89M
-5.41%6.08M
-10.68%7.26M
-5.49%5.58M
Other non current assets
-85.14%13.09M
-94.43%13.02M
-11.37%105.37M
157.73%96.01M
65.21%88.09M
991.46%233.7M
131.93%118.89M
-71.76%37.25M
-45.91%53.32M
1,443.82%21.41M
Total non current assets
-15.17%1.18B
-18.09%1.19B
11.87%1.39B
36.23%1.38B
21.04%1.39B
38.82%1.45B
20.98%1.24B
5.44%1.02B
66.77%1.14B
349.29%1.05B
Total assets
-17.69%1.6B
-17.55%1.66B
-15.48%1.87B
-18.13%1.99B
-26.79%1.94B
-22.64%2.02B
4.65%2.21B
50.12%2.43B
83.85%2.66B
174.70%2.61B
Liabilities
Current liabilities
Short term loan
69.82%254.73M
-3.57%178.61M
-27.48%137.79M
-42.31%150M
-48.28%150M
-37.81%185.22M
-23.73%190M
109.62%260M
53.19%290M
891.54%297.85M
Transactional financial liabilities
--1.08M
--1.08M
----
----
----
----
----
----
----
----
Notes payable and accounts payable
7.34%243M
14.12%294.36M
75.35%354.75M
111.36%335.49M
109.59%226.39M
71.64%257.95M
186.52%202.31M
231.49%158.73M
331.78%108.02M
1,075.64%150.28M
-Notes payable
-23.09%75.37M
309.35%153.36M
360.14%167.95M
1,261.52%155.79M
5,792.96%98M
966.57%37.46M
35.19%36.5M
-57.26%11.44M
-49.39%1.66M
--3.51M
-Accounts payable
30.56%167.62M
-36.05%141M
12.66%186.8M
22.00%179.69M
20.72%128.39M
50.22%220.48M
280.20%165.81M
597.63%147.29M
389.42%106.35M
1,048.16%146.77M
Contract liabilities
2.16%33.17M
36.65%41.55M
-67.91%18.06M
-94.66%8.34M
-78.50%32.47M
-81.17%30.41M
-79.91%56.28M
49.07%156.2M
41.45%151.05M
48.45%161.47M
Salaries payable
45.87%8.17M
-34.57%6.82M
-27.06%4.24M
3.06%5.81M
-37.30%5.6M
-5.40%10.42M
-37.54%5.81M
-38.63%5.64M
59.06%8.93M
46.15%11.02M
Taxs payable
-87.17%331.56K
100.96%4.78M
-63.33%910.79K
-78.42%3.25M
-96.00%2.58M
-95.97%2.38M
-93.89%2.48M
-58.18%15.04M
193.06%64.59M
890.92%59.12M
Other payable (including interest and dividends)
-8.51%103.07M
-3.19%89.53M
-25.15%125.96M
-26.88%129.68M
-69.13%112.66M
-74.73%92.48M
-42.91%168.27M
-22.39%177.36M
310.69%364.9M
1,167.48%366M
-Other payable
----
----
----
-26.88%129.68M
----
-74.73%92.48M
----
-22.39%177.36M
----
1,167.48%366M
Non current liabilities due within one year
79.80%110.81M
113.95%94.89M
135.71%94.13M
-50.75%61.14M
-47.76%61.63M
-17.22%44.35M
98.60%39.93M
435.43%124.14M
425.07%117.97M
1,006.76%53.58M
Other current liabilities
-61.10%8.74M
30.35%34.39M
-48.30%7.77M
-21.99%22.25M
-50.14%22.48M
-50.77%26.38M
-79.50%15.04M
-13.62%28.52M
16.15%45.09M
137.98%53.59M
Total current liabilities
24.32%763.1M
14.84%746.01M
9.33%743.61M
-22.65%715.94M
-46.65%613.81M
-43.66%649.59M
-34.48%680.13M
52.60%925.61M
130.62%1.15B
420.90%1.15B
Current liabilities
Long term loan
-45.73%124.36M
-30.61%169.82M
-28.95%183.82M
10.76%229.16M
23.21%229.16M
47.24%244.73M
158.73%258.73M
106.91%206.91M
39.56%186M
--166.21M
Estimate liabilities
----
----
----
----
----
----
-88.04%613.21K
-37.32%3.21M
-37.32%3.21M
-37.32%3.21M
Deferred tax liabilities
-34.87%4.56M
-34.43%4.69M
28.15%5.92M
34.24%6.34M
43.00%7M
15.91%7.15M
13.01%4.62M
9.73%4.73M
7.90%4.89M
31,288.08%6.17M
Long term deferred income
-2.64%5.85M
-2.62%5.89M
-2.61%5.92M
-2.59%5.96M
-46.99%6M
-48.00%6.04M
-66.88%6.08M
-67.34%6.12M
-40.98%11.33M
-1.41%11.62M
Lease liabilities
-85.71%1.49M
-85.00%1.28M
239.43%8.45M
202.52%9.53M
601.40%10.41M
339.47%8.53M
-17.04%2.49M
3.27%3.15M
-74.11%1.48M
77.25%1.94M
Total non current liabilities
-46.05%136.26M
-31.82%181.67M
-25.10%204.12M
11.99%251M
22.07%252.58M
40.86%266.45M
108.70%272.53M
70.78%224.12M
23.07%206.92M
949.17%189.16M
Total liabilities
3.80%899.35M
1.27%927.68M
-0.52%947.72M
-15.90%966.95M
-36.18%866.39M
-31.75%916.04M
-18.48%952.66M
55.83%1.15B
103.51%1.36B
460.69%1.34B
Shareholders equity
Paid-in capital
0.00%242.37M
-0.04%242.37M
-0.35%242.37M
-0.35%242.37M
-0.35%242.37M
-0.31%242.46M
5.23%243.22M
5.23%243.22M
5.23%243.22M
5.23%243.22M
Capital reserve funds
0.07%437.53M
-0.19%437.45M
-5.67%437.38M
-1.77%437.3M
2.28%437.21M
7.57%438.28M
96.75%463.68M
88.89%445.16M
81.39%427.48M
72.89%407.46M
Surplus reserve funds
0.00%37.87M
0.00%37.87M
0.00%37.87M
0.00%37.87M
0.00%37.87M
0.00%37.87M
0.00%37.87M
0.00%37.87M
0.00%37.87M
0.00%37.87M
Retained profit
-1,580.46%-297.11M
-859.83%-272.11M
-141.76%-77.02M
-106.81%-15.12M
-92.26%20.07M
-86.17%35.81M
-29.09%184.41M
-1.04%222.09M
27.34%259.45M
47.39%259.02M
Less:Treasury stock
0.00%77.48M
-1.59%77.48M
-53.39%77.48M
-53.39%77.48M
-53.39%77.48M
-52.64%78.73M
--166.24M
--166.24M
--166.24M
--166.24M
Other composite income
-1,166,165.99%-2.62M
-1,553,828.03%-2.62M
---102.25K
---118.3
--224.37
--168.93
----
----
----
----
Specific reserves
----
----
----
----
----
----
----
--0
90.57%2.62M
119.03%2.27M
Shareholders equity without minority interests
-48.40%340.56M
-45.91%365.47M
-26.21%563.02M
-20.10%624.94M
-17.95%660.04M
-13.77%675.69M
-0.49%762.95M
7.02%782.11M
13.33%804.4M
14.99%783.61M
Minority interests
-13.76%360.46M
-13.06%370.9M
-27.63%360.97M
-20.19%400.31M
-15.38%417.99M
-11.73%426.61M
176.09%498.79M
229.21%501.55M
628.79%493.95M
1,569.84%483.33M
Total shareholder equity
-34.97%701.02M
-33.20%736.37M
-26.77%923.98M
-20.13%1.03B
-16.97%1.08B
-12.99%1.1B
33.18%1.26B
45.35%1.28B
66.98%1.3B
78.34%1.27B
Total liabilityies and equity
-17.69%1.6B
-17.55%1.66B
-15.48%1.87B
-18.13%1.99B
-26.79%1.94B
-22.64%2.02B
4.65%2.21B
50.12%2.43B
83.85%2.66B
174.70%2.61B
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 with explanatory notes
--
--
--
Unqualified opinion
Auditor
--
Beijing Dehao International Accounting Firm (Special General Partnership)
--
--
--
Beijing Dahua International Accounting Firm (Special General Partnership)
--
--
--
Dahua 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
Assets
Current assets
Money funds -23.31%45.32M-17.38%110.52M-62.62%134.63M-74.72%140.76M-86.22%59.09M-80.15%133.78M6.63%360.13M309.24%556.69M69.14%428.85M163.29%674M
Transactional financial assets --------------------------8M------------
Notes receivable and accounts receivable -13.38%64.8M-58.73%55.1M25.36%117.04M61.58%140.97M-59.88%74.81M-27.53%133.49M-45.84%93.36M-41.01%87.25M-1.29%186.47M28.52%184.19M
-Notes receivable -32.27%12.83M-59.08%13.17M-60.16%5.93M163.06%21.87M-47.72%18.94M-40.55%32.19M-71.60%14.88M-75.66%8.32M-4.41%36.23M27.95%54.15M
-Accounts receivable -6.98%51.97M-58.62%41.92M41.57%111.11M50.89%119.1M-62.81%55.87M-22.10%101.3M-34.59%78.48M-30.60%78.93M-0.51%150.25M28.76%130.04M
Other receivables (including interest and dividends) -45.80%28.4M-37.85%39.77M-38.75%33.47M-67.67%22.99M-8.79%52.4M49.88%63.99M-0.99%54.64M258.84%71.11M326.44%57.46M-30.25%42.69M
-Other receivable -------------67.67%22.99M----49.88%63.99M----258.84%71.11M-----30.25%42.69M
Contractual assets ----------------380.29%23.83M526.20%23.83M1,022.72%75.88M1,086.82%79.22M-21.72%4.96M-42.45%3.8M
Advance payment 249.62%203.57M306.07%173.61M-57.32%36.98M-63.11%36.92M-45.30%58.23M-37.34%42.75M-31.39%86.63M112.91%100.09M122.91%106.44M33.06%68.23M
Inventories -79.08%50.76M-61.27%46.87M-30.31%121.04M10.08%223.08M-42.90%242.62M-73.25%121M-46.99%173.69M-26.14%202.66M82.73%424.86M152.21%452.3M
Receivable financing -96.72%36.8K-95.73%496.53K-97.65%2.38M-99.91%277.46K-99.59%1.12M-88.81%11.62M159.68%101.25M2,500.98%300.05M4,326.28%274.94M853.72%103.82M
Non-current assets due within one year ------8.47M--------------------------------
Other current assets -31.48%31.92M11.99%39.25M81.24%40.97M113.35%42.56M72.44%46.59M4.86%35.05M-18.11%22.61M45.58%19.95M187.91%27.02M307.45%33.42M
Total current assets -23.96%424.81M-16.17%474.09M-50.16%486.5M-57.12%607.56M-63.03%558.68M-63.81%565.51M-10.65%976.19M115.66%1.42B99.31%1.51B117.97%1.56B
Non Current assets
Debt investment ----------8.39M--8.31M--8.23M--8.15M----------------
Other equity investment -3.06%80.7M-3.06%80.7M0.00%83.25M0.00%83.25M-0.37%83.25M-0.37%83.25M0.00%83.25M0.00%83.25M--83.56M--83.56M
Long-term equity investment -5.66%95.51M120.79%96.1M108.54%100.61M114.05%101.14M36.44%101.24M-38.62%43.52M-32.91%48.24M-33.78%47.25M4.77%74.2M0.14%70.91M
Fixed assets ------------2.46%624.14M----5.85%611.99M----170.70%609.13M----517.86%578.16M
Constru in process ------------3,827.74%216.36M----1,345.17%212.16M-----96.59%5.51M----2,851.24%14.68M
Intangible assets -5.21%63.69M-5.12%64.69M-6.04%65.6M72.27%66.6M-2.32%67.19M-2.18%68.18M-1.76%69.81M-46.00%38.66M6.15%68.78M113.90%69.7M
Goodwill -25.92%128.85M-25.92%128.85M0.00%173.94M0.00%173.94M0.00%173.94M0.00%173.94M-4.90%173.94M-4.90%173.94M-4.14%173.94M--173.94M
Long deferred expense -54.64%256.68K-49.11%328.32K-90.19%407.53K-86.84%486.74K-85.41%565.94K-10.03%645.15K404.16%4.15M294.09%3.7M246.24%3.88M-38.55%717.04K
Deferred tax assets -89.20%391.42K-89.06%399.97K-47.22%6.97M-69.77%3.51M-86.56%3.62M-86.89%3.66M-53.58%13.21M-59.92%11.61M2.54%26.97M3.24%27.88M
Usufruct assets -61.82%4.62M-60.99%5.32M92.76%9.42M79.34%10.9M66.78%12.11M144.65%13.65M-6.70%4.89M-5.41%6.08M-10.68%7.26M-5.49%5.58M
Other non current assets -85.14%13.09M-94.43%13.02M-11.37%105.37M157.73%96.01M65.21%88.09M991.46%233.7M131.93%118.89M-71.76%37.25M-45.91%53.32M1,443.82%21.41M
Total non current assets -15.17%1.18B-18.09%1.19B11.87%1.39B36.23%1.38B21.04%1.39B38.82%1.45B20.98%1.24B5.44%1.02B66.77%1.14B349.29%1.05B
Total assets -17.69%1.6B-17.55%1.66B-15.48%1.87B-18.13%1.99B-26.79%1.94B-22.64%2.02B4.65%2.21B50.12%2.43B83.85%2.66B174.70%2.61B
Liabilities
Current liabilities
Short term loan 69.82%254.73M-3.57%178.61M-27.48%137.79M-42.31%150M-48.28%150M-37.81%185.22M-23.73%190M109.62%260M53.19%290M891.54%297.85M
Transactional financial liabilities --1.08M--1.08M--------------------------------
Notes payable and accounts payable 7.34%243M14.12%294.36M75.35%354.75M111.36%335.49M109.59%226.39M71.64%257.95M186.52%202.31M231.49%158.73M331.78%108.02M1,075.64%150.28M
-Notes payable -23.09%75.37M309.35%153.36M360.14%167.95M1,261.52%155.79M5,792.96%98M966.57%37.46M35.19%36.5M-57.26%11.44M-49.39%1.66M--3.51M
-Accounts payable 30.56%167.62M-36.05%141M12.66%186.8M22.00%179.69M20.72%128.39M50.22%220.48M280.20%165.81M597.63%147.29M389.42%106.35M1,048.16%146.77M
Contract liabilities 2.16%33.17M36.65%41.55M-67.91%18.06M-94.66%8.34M-78.50%32.47M-81.17%30.41M-79.91%56.28M49.07%156.2M41.45%151.05M48.45%161.47M
Salaries payable 45.87%8.17M-34.57%6.82M-27.06%4.24M3.06%5.81M-37.30%5.6M-5.40%10.42M-37.54%5.81M-38.63%5.64M59.06%8.93M46.15%11.02M
Taxs payable -87.17%331.56K100.96%4.78M-63.33%910.79K-78.42%3.25M-96.00%2.58M-95.97%2.38M-93.89%2.48M-58.18%15.04M193.06%64.59M890.92%59.12M
Other payable (including interest and dividends) -8.51%103.07M-3.19%89.53M-25.15%125.96M-26.88%129.68M-69.13%112.66M-74.73%92.48M-42.91%168.27M-22.39%177.36M310.69%364.9M1,167.48%366M
-Other payable -------------26.88%129.68M-----74.73%92.48M-----22.39%177.36M----1,167.48%366M
Non current liabilities due within one year 79.80%110.81M113.95%94.89M135.71%94.13M-50.75%61.14M-47.76%61.63M-17.22%44.35M98.60%39.93M435.43%124.14M425.07%117.97M1,006.76%53.58M
Other current liabilities -61.10%8.74M30.35%34.39M-48.30%7.77M-21.99%22.25M-50.14%22.48M-50.77%26.38M-79.50%15.04M-13.62%28.52M16.15%45.09M137.98%53.59M
Total current liabilities 24.32%763.1M14.84%746.01M9.33%743.61M-22.65%715.94M-46.65%613.81M-43.66%649.59M-34.48%680.13M52.60%925.61M130.62%1.15B420.90%1.15B
Current liabilities
Long term loan -45.73%124.36M-30.61%169.82M-28.95%183.82M10.76%229.16M23.21%229.16M47.24%244.73M158.73%258.73M106.91%206.91M39.56%186M--166.21M
Estimate liabilities -------------------------88.04%613.21K-37.32%3.21M-37.32%3.21M-37.32%3.21M
Deferred tax liabilities -34.87%4.56M-34.43%4.69M28.15%5.92M34.24%6.34M43.00%7M15.91%7.15M13.01%4.62M9.73%4.73M7.90%4.89M31,288.08%6.17M
Long term deferred income -2.64%5.85M-2.62%5.89M-2.61%5.92M-2.59%5.96M-46.99%6M-48.00%6.04M-66.88%6.08M-67.34%6.12M-40.98%11.33M-1.41%11.62M
Lease liabilities -85.71%1.49M-85.00%1.28M239.43%8.45M202.52%9.53M601.40%10.41M339.47%8.53M-17.04%2.49M3.27%3.15M-74.11%1.48M77.25%1.94M
Total non current liabilities -46.05%136.26M-31.82%181.67M-25.10%204.12M11.99%251M22.07%252.58M40.86%266.45M108.70%272.53M70.78%224.12M23.07%206.92M949.17%189.16M
Total liabilities 3.80%899.35M1.27%927.68M-0.52%947.72M-15.90%966.95M-36.18%866.39M-31.75%916.04M-18.48%952.66M55.83%1.15B103.51%1.36B460.69%1.34B
Shareholders equity
Paid-in capital 0.00%242.37M-0.04%242.37M-0.35%242.37M-0.35%242.37M-0.35%242.37M-0.31%242.46M5.23%243.22M5.23%243.22M5.23%243.22M5.23%243.22M
Capital reserve funds 0.07%437.53M-0.19%437.45M-5.67%437.38M-1.77%437.3M2.28%437.21M7.57%438.28M96.75%463.68M88.89%445.16M81.39%427.48M72.89%407.46M
Surplus reserve funds 0.00%37.87M0.00%37.87M0.00%37.87M0.00%37.87M0.00%37.87M0.00%37.87M0.00%37.87M0.00%37.87M0.00%37.87M0.00%37.87M
Retained profit -1,580.46%-297.11M-859.83%-272.11M-141.76%-77.02M-106.81%-15.12M-92.26%20.07M-86.17%35.81M-29.09%184.41M-1.04%222.09M27.34%259.45M47.39%259.02M
Less:Treasury stock 0.00%77.48M-1.59%77.48M-53.39%77.48M-53.39%77.48M-53.39%77.48M-52.64%78.73M--166.24M--166.24M--166.24M--166.24M
Other composite income -1,166,165.99%-2.62M-1,553,828.03%-2.62M---102.25K---118.3--224.37--168.93----------------
Specific reserves ------------------------------090.57%2.62M119.03%2.27M
Shareholders equity without minority interests -48.40%340.56M-45.91%365.47M-26.21%563.02M-20.10%624.94M-17.95%660.04M-13.77%675.69M-0.49%762.95M7.02%782.11M13.33%804.4M14.99%783.61M
Minority interests -13.76%360.46M-13.06%370.9M-27.63%360.97M-20.19%400.31M-15.38%417.99M-11.73%426.61M176.09%498.79M229.21%501.55M628.79%493.95M1,569.84%483.33M
Total shareholder equity -34.97%701.02M-33.20%736.37M-26.77%923.98M-20.13%1.03B-16.97%1.08B-12.99%1.1B33.18%1.26B45.35%1.28B66.98%1.3B78.34%1.27B
Total liabilityies and equity -17.69%1.6B-17.55%1.66B-15.48%1.87B-18.13%1.99B-26.79%1.94B-22.64%2.02B4.65%2.21B50.12%2.43B83.85%2.66B174.70%2.61B
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 with explanatory notes------Unqualified opinion
Auditor --Beijing Dehao International Accounting Firm (Special General Partnership)------Beijing Dahua International Accounting Firm (Special General Partnership)------Dahua 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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