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06181 LAOPU GOLD

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  • 281.000
  • +3.400+1.22%
Market Closed Jan 7 16:08 CST
47.31BMarket Cap53.48P/E (TTM)

LAOPU GOLD Key Stats

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YOY yoy
Hide blank lines yoy
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
Cash flow from operating activities
Earning before tax
200.64%780.4M
336.59%553.47M
229.09%259.58M
-17.79%126.77M
--78.88M
28.33%154.21M
--120.17M
Profit adjustment
Interest (income) - adjustment
-114.39%-596K
-108.33%-350K
-198.92%-278K
-36.59%-168K
---93K
36.92%-123K
---195K
Impairment and provisions:
22.60%2.16M
379.34%6.52M
54.61%1.76M
113.17%1.36M
--1.14M
-59.18%638K
--1.56M
-Impairment of property, plant and equipment (reversal)
----
----
----
--631K
----
----
--1.27M
-Impairmen of inventory (reversal)
99.03%1.43M
239.49%1.75M
101.68%720K
834.55%514K
--357K
-37.50%55K
--88K
-Impairment of trade receivables (reversal)
-51.91%478K
1,922.68%3.54M
52.22%994K
-139.59%-194K
--653K
730.51%490K
--59K
-Other impairments and provisions
427.66%248K
202.69%1.24M
-63.57%47K
339.78%409K
--129K
-37.58%93K
--149K
Asset sale loss (gain):
366.98%1.51M
-75.31%321K
--324K
12,900.00%1.3M
----
-98.85%10K
--871K
-Loss (gain) on sale of property, machinery and equipment
366.98%1.51M
-75.31%321K
--324K
12,900.00%1.3M
----
-98.85%10K
--871K
Depreciation and amortization:
58.30%83.5M
43.91%119.77M
39.18%52.75M
35.39%83.22M
--37.9M
-12.56%61.47M
--70.3M
-Amortization of intangible assets
155.94%3.02M
7.60%2.76M
-6.14%1.18M
-22.55%2.57M
--1.26M
-12.52%3.31M
--3.79M
Financial expense
26.93%10.71M
7.12%18.18M
-1.55%8.44M
45.43%16.97M
--8.57M
34.01%11.67M
--8.71M
Special items
647.77%13.9M
553.82%8.08M
170.85%1.86M
-143.64%-1.78M
---2.62M
193.51%4.08M
---4.36M
Operating profit before the change of operating capital
174.81%891.59M
210.08%705.99M
162.12%324.43M
-1.84%227.68M
--123.77M
17.71%231.96M
--197.05M
Change of operating capital
Inventory (increase) decrease
-436.52%-839.86M
-1,227.91%-461.89M
-2,076.24%-156.54M
61.32%-34.78M
--7.92M
-18.29%-89.92M
---76.02M
Accounts receivable (increase)decrease
111.91%7.82M
-6,500.41%-279.57M
-238.76%-65.67M
115.77%4.37M
--47.33M
-1,587.09%-27.7M
---1.64M
Accounts payable increase (decrease)
243.21%215.76M
11,630.24%134.21M
445.06%62.86M
-106.59%-1.16M
---18.22M
127.15%17.65M
---65.03M
prepayments (increase)decrease
-3,249.33%-51.33M
-7.34%-21.14M
124.35%1.63M
-229.43%-19.69M
---6.69M
52.66%15.21M
--9.97M
Special items for working capital changes
568.52%17.48M
410.96%19.76M
370.60%2.61M
47.31%3.87M
---966K
156.99%2.63M
---4.61M
Cash  from business operations
42.59%241.45M
-45.99%97.36M
10.57%169.33M
20.32%180.28M
--153.15M
150.84%149.83M
--59.73M
Other taxs
-213.03%-175.41M
-297.26%-126.91M
-191.72%-56.03M
33.03%-31.95M
---19.21M
-49.99%-47.7M
---31.8M
Interest received - operating
114.39%596K
108.33%350K
198.92%278K
36.59%168K
--93K
-36.92%123K
--195K
Net cash from operations
-41.33%66.64M
-119.66%-29.2M
-15.26%113.58M
45.24%148.5M
--134.03M
263.61%102.25M
--28.12M
Cash flow from investment activities
Sale of fixed assets
----
1,515.00%323K
8,950.00%181K
-91.63%20K
--2K
-56.07%239K
--544K
Purchase of fixed assets
-87.09%-32.56M
-72.07%-59.54M
20.10%-17.4M
-10.95%-34.6M
---21.78M
-181.91%-31.19M
---11.06M
Net cash from investment operations
-89.05%-32.56M
-71.23%-59.22M
20.93%-17.22M
-11.74%-34.58M
---21.78M
-194.22%-30.95M
---10.52M
Net cash before financing
-64.63%34.08M
-177.61%-88.41M
-14.16%96.35M
59.78%113.92M
--112.25M
305.07%71.3M
--17.6M
Cash flow from financing activities
New borrowing
--160M
-30.74%127.04M
----
-7.88%183.41M
--7.95M
15.28%199.09M
--172.7M
Refund
-1,035.71%-159M
25.71%-138M
25.33%-14M
6.63%-185.75M
---18.75M
-55.96%-198.95M
---127.56M
Issuing shares
--826.85M
--221.75M
----
----
----
----
----
Interest paid - financing
-19.29%-3.51M
3.30%-5.72M
1.74%-2.94M
-4.99%-5.92M
---3M
10.73%-5.64M
---6.31M
Absorb investment income
----
----
----
----
----
----
--355K
Issuance expenses and redemption of securities expenses
---30.35M
----
----
----
----
----
----
Other items of the financing business
-99.11%11K
648.19%1.24M
885.71%1.24M
-95.48%166K
--126K
-6.96%3.68M
--3.95M
Net cash from financing operations
1,361.27%720.29M
224.86%98.97M
-36.54%-57.11M
-42.35%-79.27M
---41.83M
-316.17%-55.68M
---13.38M
Effect of rate
-158.19%-302K
-325.39%-1M
80.84%519K
413.38%445K
--287K
-51.06%-142K
---94K
Net Cash
1,822.19%754.37M
-69.52%10.56M
-44.27%39.25M
121.91%34.65M
--70.43M
269.89%15.61M
--4.22M
Begining period cash
15.85%69.84M
139.31%60.28M
139.31%60.28M
159.18%25.19M
--25.19M
73.80%9.72M
--5.59M
Cash at the end
723.52%823.9M
15.85%69.84M
4.32%100.05M
139.31%60.28M
--95.9M
159.18%25.19M
--9.72M
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Unqualified Opinion
Auditor
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
Ernst & Young
(Q6)Jun 30, 2024 (FY)Dec 31, 2023 (Q6)Jun 30, 2023 (FY)Dec 31, 2022 (Q6)Jun 30, 2022 (FY)Dec 31, 2021 (FY)Dec 31, 2020
Cash flow from operating activities
Earning before tax 200.64%780.4M 336.59%553.47M 229.09%259.58M -17.79%126.77M --78.88M 28.33%154.21M --120.17M
Profit adjustment
Interest (income) - adjustment -114.39%-596K -108.33%-350K -198.92%-278K -36.59%-168K ---93K 36.92%-123K ---195K
Impairment and provisions: 22.60%2.16M 379.34%6.52M 54.61%1.76M 113.17%1.36M --1.14M -59.18%638K --1.56M
-Impairment of property, plant and equipment (reversal) ---- ---- ---- --631K ---- ---- --1.27M
-Impairmen of inventory (reversal) 99.03%1.43M 239.49%1.75M 101.68%720K 834.55%514K --357K -37.50%55K --88K
-Impairment of trade receivables (reversal) -51.91%478K 1,922.68%3.54M 52.22%994K -139.59%-194K --653K 730.51%490K --59K
-Other impairments and provisions 427.66%248K 202.69%1.24M -63.57%47K 339.78%409K --129K -37.58%93K --149K
Asset sale loss (gain): 366.98%1.51M -75.31%321K --324K 12,900.00%1.3M ---- -98.85%10K --871K
-Loss (gain) on sale of property, machinery and equipment 366.98%1.51M -75.31%321K --324K 12,900.00%1.3M ---- -98.85%10K --871K
Depreciation and amortization: 58.30%83.5M 43.91%119.77M 39.18%52.75M 35.39%83.22M --37.9M -12.56%61.47M --70.3M
-Amortization of intangible assets 155.94%3.02M 7.60%2.76M -6.14%1.18M -22.55%2.57M --1.26M -12.52%3.31M --3.79M
Financial expense 26.93%10.71M 7.12%18.18M -1.55%8.44M 45.43%16.97M --8.57M 34.01%11.67M --8.71M
Special items 647.77%13.9M 553.82%8.08M 170.85%1.86M -143.64%-1.78M ---2.62M 193.51%4.08M ---4.36M
Operating profit before the change of operating capital 174.81%891.59M 210.08%705.99M 162.12%324.43M -1.84%227.68M --123.77M 17.71%231.96M --197.05M
Change of operating capital
Inventory (increase) decrease -436.52%-839.86M -1,227.91%-461.89M -2,076.24%-156.54M 61.32%-34.78M --7.92M -18.29%-89.92M ---76.02M
Accounts receivable (increase)decrease 111.91%7.82M -6,500.41%-279.57M -238.76%-65.67M 115.77%4.37M --47.33M -1,587.09%-27.7M ---1.64M
Accounts payable increase (decrease) 243.21%215.76M 11,630.24%134.21M 445.06%62.86M -106.59%-1.16M ---18.22M 127.15%17.65M ---65.03M
prepayments (increase)decrease -3,249.33%-51.33M -7.34%-21.14M 124.35%1.63M -229.43%-19.69M ---6.69M 52.66%15.21M --9.97M
Special items for working capital changes 568.52%17.48M 410.96%19.76M 370.60%2.61M 47.31%3.87M ---966K 156.99%2.63M ---4.61M
Cash  from business operations 42.59%241.45M -45.99%97.36M 10.57%169.33M 20.32%180.28M --153.15M 150.84%149.83M --59.73M
Other taxs -213.03%-175.41M -297.26%-126.91M -191.72%-56.03M 33.03%-31.95M ---19.21M -49.99%-47.7M ---31.8M
Interest received - operating 114.39%596K 108.33%350K 198.92%278K 36.59%168K --93K -36.92%123K --195K
Net cash from operations -41.33%66.64M -119.66%-29.2M -15.26%113.58M 45.24%148.5M --134.03M 263.61%102.25M --28.12M
Cash flow from investment activities
Sale of fixed assets ---- 1,515.00%323K 8,950.00%181K -91.63%20K --2K -56.07%239K --544K
Purchase of fixed assets -87.09%-32.56M -72.07%-59.54M 20.10%-17.4M -10.95%-34.6M ---21.78M -181.91%-31.19M ---11.06M
Net cash from investment operations -89.05%-32.56M -71.23%-59.22M 20.93%-17.22M -11.74%-34.58M ---21.78M -194.22%-30.95M ---10.52M
Net cash before financing -64.63%34.08M -177.61%-88.41M -14.16%96.35M 59.78%113.92M --112.25M 305.07%71.3M --17.6M
Cash flow from financing activities
New borrowing --160M -30.74%127.04M ---- -7.88%183.41M --7.95M 15.28%199.09M --172.7M
Refund -1,035.71%-159M 25.71%-138M 25.33%-14M 6.63%-185.75M ---18.75M -55.96%-198.95M ---127.56M
Issuing shares --826.85M --221.75M ---- ---- ---- ---- ----
Interest paid - financing -19.29%-3.51M 3.30%-5.72M 1.74%-2.94M -4.99%-5.92M ---3M 10.73%-5.64M ---6.31M
Absorb investment income ---- ---- ---- ---- ---- ---- --355K
Issuance expenses and redemption of securities expenses ---30.35M ---- ---- ---- ---- ---- ----
Other items of the financing business -99.11%11K 648.19%1.24M 885.71%1.24M -95.48%166K --126K -6.96%3.68M --3.95M
Net cash from financing operations 1,361.27%720.29M 224.86%98.97M -36.54%-57.11M -42.35%-79.27M ---41.83M -316.17%-55.68M ---13.38M
Effect of rate -158.19%-302K -325.39%-1M 80.84%519K 413.38%445K --287K -51.06%-142K ---94K
Net Cash 1,822.19%754.37M -69.52%10.56M -44.27%39.25M 121.91%34.65M --70.43M 269.89%15.61M --4.22M
Begining period cash 15.85%69.84M 139.31%60.28M 139.31%60.28M 159.18%25.19M --25.19M 73.80%9.72M --5.59M
Cash at the end 723.52%823.9M 15.85%69.84M 4.32%100.05M 139.31%60.28M --95.9M 159.18%25.19M --9.72M
Cash balance analysis
Currency Unit CNY CNY CNY CNY CNY CNY CNY
Accounting Standards IAS IAS IAS IAS IAS IAS IAS
Audit Opinions -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion Unqualified Opinion
Auditor -- Ernst & Young -- Ernst & Young -- Ernst & Young Ernst & Young

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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