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4219 BJLAND

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  • 0.295
  • +0.005+1.72%
15min DelayNot Open May 14 16:57 CST
1.44BMarket Cap-18.44P/E (TTM)

BJLAND Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Dec 31, 2024
(Q1)Sep 30, 2024
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
Operating cash flow (direct method)
Cash income from operating activities
3.09%1.84B
-6.74%1.97B
2.24%7.9B
-2.56%1.99B
-1.33%2.01B
-0.51%1.78B
14.09%2.12B
22.66%7.73B
15.39%2.04B
4.34%2.04B
Revenue from customers
3.09%1.84B
-6.74%1.97B
2.55%7.89B
-2.20%1.99B
-0.92%2B
-0.27%1.78B
14.27%2.12B
22.49%7.69B
15.41%2.03B
3.43%2.01B
Other cash income from operating activities
----
----
-60.27%15.35M
-187.94%-3.44M
----
----
----
68.87%38.63M
3.99%3.91M
193.38%27.42M
Cash paid
-8.29%-1.88B
6.44%-1.85B
-3.21%-6.74B
-5.17%-1.3B
11.20%-1.73B
0.85%-1.74B
-23.63%-1.98B
-18.64%-6.53B
-0.86%-1.23B
-13.19%-1.95B
Payments to suppliers for goods and services
----
----
-0.28%-6.4B
----
----
----
----
-18.46%-6.39B
----
----
Other cash payments from operating activities
-8.29%-1.88B
6.44%-1.85B
-130.12%-339.87M
-0.89%5.11B
11.20%-1.73B
0.85%-1.74B
-23.63%-1.98B
-27.25%-147.69M
23.62%5.15B
-13.19%-1.95B
Direct dividend paid
Direct dividend received
Direct interest paid
Direct interest received
Direct tax refund paid
17.33%-26.88M
1.82%-37.62M
-1.67%-750.5M
-3.43%-638.32M
23.07%-41.35M
-0.66%-32.52M
-9.67%-38.32M
-33.50%-738.16M
-29.01%-617.16M
-55.50%-53.76M
Operating cash flow
-489.79%-66.14M
-15.01%81.27M
-10.84%407.33M
-73.32%49.93M
487.44%244.82M
48.49%16.97M
-55.87%95.63M
89.42%456.86M
189.44%187.1M
-79.43%41.68M
Investing cash flow
Net PPE purchase and sale
-155.99%-49.63M
-259.56%-82.15M
23.85%-192.87M
-68.48%-138.12M
-285.32%-86.86M
82.20%-19.39M
229.13%51.49M
-133.35%-253.28M
-735.94%-81.98M
-223.45%-22.54M
Net intangibles purchase and sale
-190.28%-418K
-25.18%-711K
-201.57%-1.54M
-2,486.21%-750K
64.25%-79K
44.19%-144K
-18,833.33%-568K
-32.73%-511K
---29K
---221K
Net business purchase and sale
-220.32%-27.5M
1.35%-26.3M
23.29%63.73M
-51.26%28.59M
1,760.02%38.94M
1,001.26%22.86M
-1,184.01%-26.66M
-37.26%51.69M
-45.07%58.65M
-174.71%-2.35M
Net investment product transactions
12.40%-14.63M
178.40%6.68M
5.19%-50.81M
-3,888.55%-41.37M
457.40%15.78M
-2,864.90%-16.7M
83.25%-8.52M
-722.12%-53.6M
106.27%1.09M
-162.60%-4.42M
Repayment of advance payments to other parties and cash income from loans
----
-841.34%-65.25M
-147.18%-66.32M
87.07%68.74M
----
----
-87.68%8.8M
1,561.62%140.58M
428.86%36.74M
126.55%2.25M
Dividends received (cash flow from investment activities)
3,298.14%23.75M
7.76%625K
-76.22%27.52M
-75.88%26.12M
-96.09%124K
103.46%699K
-97.63%580K
216.28%115.71M
8,365.29%108.27M
72.60%3.17M
Interest received (cash flow from investment activities)
-10.23%12.53M
69.03%8.9M
-27.10%20.49M
-42.13%6.4M
-217.94%-5.14M
484.39%13.96M
-48.84%5.27M
307.69%28.11M
263.45%11.07M
3,657.76%4.36M
Net changes in other investments
-78.10%-87.46M
-702.42%-994K
127.72%3.15M
186.60%60.84M
48.12%-8.75M
-165.00%-49.11M
-10.81%165K
---11.38M
---70.26M
-149.46%-16.86M
Investing cash flow
-46.85%-134.81M
-620.96%-159.19M
-1,234.87%-196.65M
-83.57%10.45M
-298.50%-145.86M
-327.38%-91.8M
157.84%30.56M
142.65%17.33M
3,856.32%63.56M
-15,287.14%-36.6M
Financing cash flow
Net issuance payments of debt
418.28%323.05M
127.01%246.45M
76.91%266.47M
506.42%146.23M
-25.73%113.17M
-230.80%-101.5M
204.92%108.56M
-51.86%150.62M
930.91%24.11M
64.99%152.38M
Net common stock issuance
--0
---2.9M
---7.39M
--0
---2.95M
---4.44M
--0
--0
--0
--0
Net preferred stock issuance
----
----
--100M
----
----
----
----
--0
----
----
Increase or decrease of lease financing
-41.28%-34.41M
0.70%-27.78M
-7.81%-116.8M
1.94%-35.44M
-16.22%-29.03M
-49.30%-24.36M
9.49%-27.98M
-20.43%-108.35M
-213.55%-36.14M
-17.70%-24.97M
Issuance fees
----
----
---32.37M
----
----
----
----
--0
----
----
Cash dividends for minorities
19.97%-15.46M
-49.14%-23.64M
32.65%-50.93M
21.02%-15.75M
99.96%-7K
18.85%-19.32M
0.14%-15.85M
-171.17%-75.61M
-150.81%-19.94M
-100.34%-16M
Interest paid (cash flow from financing activities)
12.45%-79.6M
-6.09%-62.45M
-26.96%-301.74M
-19.54%-83.31M
-14.07%-68.65M
-52.37%-90.91M
-22.32%-58.87M
-15.41%-237.67M
20.55%-69.69M
-135.37%-60.19M
Net other fund-raising expenses
-24.17%-3.81M
41.74%-2.11M
11.02%-2.08M
114.16%9.09M
-89,680.00%-4.49M
23.88%-3.07M
-41.74%-3.62M
-27.56%-2.34M
129.21%4.25M
99.94%-5K
Financing cash flow
177.91%189.77M
5,592.19%127.56M
47.01%-144.85M
190.80%88.45M
-84.29%8.05M
-829.34%-243.59M
101.12%2.24M
-2,041.39%-273.35M
18.40%-97.42M
75.42%51.22M
Net cash flow
Beginning cash position
-1.92%1.13B
6.96%1.11B
29.55%1.04B
11.42%950.16M
4.86%830.2M
41.17%1.16B
29.55%1.04B
28.08%799.12M
4.17%852.76M
33.52%791.74M
Current changes in cash
96.49%-11.17M
-61.34%49.64M
-67.22%65.84M
-2.88%148.82M
90.09%107.01M
-778.08%-318.42M
365.72%128.42M
6.94%200.84M
371.52%153.24M
-75.74%56.29M
Effect of exchange rate changes
124.09%2.03M
-232.38%-22.15M
-82.45%6.2M
-71.57%8.32M
174.30%12.96M
-200.54%-8.42M
5.65%-6.67M
380.57%35.31M
602.66%29.28M
173.65%4.72M
End cash Position
35.59%1.13B
-1.92%1.13B
6.96%1.11B
6.96%1.11B
11.42%950.16M
4.86%830.2M
41.17%1.16B
29.55%1.04B
29.55%1.04B
4.17%852.76M
Free cash flow
-3,314.23%-116.36M
-103.37%-2.77M
-22.39%145.19M
-258.88%-154.6M
1,878.51%221.16M
96.53%-3.41M
-53.57%82.04M
138.03%187.08M
25.79%97.31M
-93.63%11.18M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q2)Dec 31, 2024(Q1)Sep 30, 2024(FY)Jun 30, 2024(Q4)Jun 30, 2024(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023
Operating cash flow (direct method)
Cash income from operating activities 3.09%1.84B-6.74%1.97B2.24%7.9B-2.56%1.99B-1.33%2.01B-0.51%1.78B14.09%2.12B22.66%7.73B15.39%2.04B4.34%2.04B
Revenue from customers 3.09%1.84B-6.74%1.97B2.55%7.89B-2.20%1.99B-0.92%2B-0.27%1.78B14.27%2.12B22.49%7.69B15.41%2.03B3.43%2.01B
Other cash income from operating activities ---------60.27%15.35M-187.94%-3.44M------------68.87%38.63M3.99%3.91M193.38%27.42M
Cash paid -8.29%-1.88B6.44%-1.85B-3.21%-6.74B-5.17%-1.3B11.20%-1.73B0.85%-1.74B-23.63%-1.98B-18.64%-6.53B-0.86%-1.23B-13.19%-1.95B
Payments to suppliers for goods and services ---------0.28%-6.4B-----------------18.46%-6.39B--------
Other cash payments from operating activities -8.29%-1.88B6.44%-1.85B-130.12%-339.87M-0.89%5.11B11.20%-1.73B0.85%-1.74B-23.63%-1.98B-27.25%-147.69M23.62%5.15B-13.19%-1.95B
Direct dividend paid
Direct dividend received
Direct interest paid
Direct interest received
Direct tax refund paid 17.33%-26.88M1.82%-37.62M-1.67%-750.5M-3.43%-638.32M23.07%-41.35M-0.66%-32.52M-9.67%-38.32M-33.50%-738.16M-29.01%-617.16M-55.50%-53.76M
Operating cash flow -489.79%-66.14M-15.01%81.27M-10.84%407.33M-73.32%49.93M487.44%244.82M48.49%16.97M-55.87%95.63M89.42%456.86M189.44%187.1M-79.43%41.68M
Investing cash flow
Net PPE purchase and sale -155.99%-49.63M-259.56%-82.15M23.85%-192.87M-68.48%-138.12M-285.32%-86.86M82.20%-19.39M229.13%51.49M-133.35%-253.28M-735.94%-81.98M-223.45%-22.54M
Net intangibles purchase and sale -190.28%-418K-25.18%-711K-201.57%-1.54M-2,486.21%-750K64.25%-79K44.19%-144K-18,833.33%-568K-32.73%-511K---29K---221K
Net business purchase and sale -220.32%-27.5M1.35%-26.3M23.29%63.73M-51.26%28.59M1,760.02%38.94M1,001.26%22.86M-1,184.01%-26.66M-37.26%51.69M-45.07%58.65M-174.71%-2.35M
Net investment product transactions 12.40%-14.63M178.40%6.68M5.19%-50.81M-3,888.55%-41.37M457.40%15.78M-2,864.90%-16.7M83.25%-8.52M-722.12%-53.6M106.27%1.09M-162.60%-4.42M
Repayment of advance payments to other parties and cash income from loans -----841.34%-65.25M-147.18%-66.32M87.07%68.74M---------87.68%8.8M1,561.62%140.58M428.86%36.74M126.55%2.25M
Dividends received (cash flow from investment activities) 3,298.14%23.75M7.76%625K-76.22%27.52M-75.88%26.12M-96.09%124K103.46%699K-97.63%580K216.28%115.71M8,365.29%108.27M72.60%3.17M
Interest received (cash flow from investment activities) -10.23%12.53M69.03%8.9M-27.10%20.49M-42.13%6.4M-217.94%-5.14M484.39%13.96M-48.84%5.27M307.69%28.11M263.45%11.07M3,657.76%4.36M
Net changes in other investments -78.10%-87.46M-702.42%-994K127.72%3.15M186.60%60.84M48.12%-8.75M-165.00%-49.11M-10.81%165K---11.38M---70.26M-149.46%-16.86M
Investing cash flow -46.85%-134.81M-620.96%-159.19M-1,234.87%-196.65M-83.57%10.45M-298.50%-145.86M-327.38%-91.8M157.84%30.56M142.65%17.33M3,856.32%63.56M-15,287.14%-36.6M
Financing cash flow
Net issuance payments of debt 418.28%323.05M127.01%246.45M76.91%266.47M506.42%146.23M-25.73%113.17M-230.80%-101.5M204.92%108.56M-51.86%150.62M930.91%24.11M64.99%152.38M
Net common stock issuance --0---2.9M---7.39M--0---2.95M---4.44M--0--0--0--0
Net preferred stock issuance ----------100M------------------0--------
Increase or decrease of lease financing -41.28%-34.41M0.70%-27.78M-7.81%-116.8M1.94%-35.44M-16.22%-29.03M-49.30%-24.36M9.49%-27.98M-20.43%-108.35M-213.55%-36.14M-17.70%-24.97M
Issuance fees -----------32.37M------------------0--------
Cash dividends for minorities 19.97%-15.46M-49.14%-23.64M32.65%-50.93M21.02%-15.75M99.96%-7K18.85%-19.32M0.14%-15.85M-171.17%-75.61M-150.81%-19.94M-100.34%-16M
Interest paid (cash flow from financing activities) 12.45%-79.6M-6.09%-62.45M-26.96%-301.74M-19.54%-83.31M-14.07%-68.65M-52.37%-90.91M-22.32%-58.87M-15.41%-237.67M20.55%-69.69M-135.37%-60.19M
Net other fund-raising expenses -24.17%-3.81M41.74%-2.11M11.02%-2.08M114.16%9.09M-89,680.00%-4.49M23.88%-3.07M-41.74%-3.62M-27.56%-2.34M129.21%4.25M99.94%-5K
Financing cash flow 177.91%189.77M5,592.19%127.56M47.01%-144.85M190.80%88.45M-84.29%8.05M-829.34%-243.59M101.12%2.24M-2,041.39%-273.35M18.40%-97.42M75.42%51.22M
Net cash flow
Beginning cash position -1.92%1.13B6.96%1.11B29.55%1.04B11.42%950.16M4.86%830.2M41.17%1.16B29.55%1.04B28.08%799.12M4.17%852.76M33.52%791.74M
Current changes in cash 96.49%-11.17M-61.34%49.64M-67.22%65.84M-2.88%148.82M90.09%107.01M-778.08%-318.42M365.72%128.42M6.94%200.84M371.52%153.24M-75.74%56.29M
Effect of exchange rate changes 124.09%2.03M-232.38%-22.15M-82.45%6.2M-71.57%8.32M174.30%12.96M-200.54%-8.42M5.65%-6.67M380.57%35.31M602.66%29.28M173.65%4.72M
End cash Position 35.59%1.13B-1.92%1.13B6.96%1.11B6.96%1.11B11.42%950.16M4.86%830.2M41.17%1.16B29.55%1.04B29.55%1.04B4.17%852.76M
Free cash flow -3,314.23%-116.36M-103.37%-2.77M-22.39%145.19M-258.88%-154.6M1,878.51%221.16M96.53%-3.41M-53.57%82.04M138.03%187.08M25.79%97.31M-93.63%11.18M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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.