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00669 TECHTRONIC IND

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  • 107.200
  • -0.800-0.74%
Market Closed Nov 12 16:08 CST
196.42BMarket Cap23.93P/E (TTM)

TECHTRONIC IND Key Stats

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YOY yoy
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(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
Cash flow from operating activities
Earning before tax
16.18%593.71M
-8.75%1.06B
-17.77%511.02M
-2.11%1.16B
10.36%621.47M
37.22%1.18B
58.08%563.12M
30.24%861.25M
16.13%356.23M
11.21%661.29M
Profit adjustment
Interest (income) - adjustment
-11.51%-32.71M
-73.90%-44.96M
-129.26%-29.34M
19.28%-25.85M
22.05%-12.8M
12.94%-32.03M
15.85%-16.42M
8.52%-36.79M
-9.49%-19.51M
-59.56%-40.22M
Attributable subsidiary (profit) loss
167.66%159K
-800.00%-27K
73.92%-235K
40.00%-3K
-160.40%-901K
98.84%-5K
-18.49%-346K
---432K
-981.48%-292K
----
Impairment and provisions:
0.74%61.53M
-31.71%33.9M
18.62%61.08M
-61.12%49.64M
-11.27%51.49M
254.69%127.69M
915.33%58.04M
4.48%36M
-70.16%5.72M
24.91%34.46M
-Impairment of property, plant and equipment (reversal)
--6.75M
-127.33%-82K
----
--300K
----
----
----
----
----
----
-Impairmen of inventory (reversal)
-36.65%31.21M
-60.65%24.25M
-5.09%49.27M
-39.59%61.61M
7.83%51.91M
217.34%101.99M
742.27%48.14M
-6.72%32.14M
-70.16%5.72M
24.91%34.46M
-Impairment of trade receivables (reversal)
99.59%23.57M
----
--11.81M
----
----
----
----
----
----
----
-Impairment of goodwill
----
----
----
----
----
----
----
--3.86M
----
----
-Other impairments and provisions
----
179.38%9.74M
----
-147.74%-12.27M
-104.24%-419K
--25.7M
--9.89M
----
----
----
Revaluation surplus:
223.51%5.73M
-164.58%-4.06M
8.05%-4.64M
62.52%-1.53M
51.07%-5.05M
-133.40%-4.09M
-264.04%-10.31M
-44.41%12.25M
-54.89%6.29M
277.93%22.03M
-Other fair value changes
223.51%5.73M
-164.58%-4.06M
8.05%-4.64M
62.52%-1.53M
51.07%-5.05M
-133.40%-4.09M
-264.04%-10.31M
-44.41%12.25M
-54.89%6.29M
277.93%22.03M
Asset sale loss (gain):
37,640.00%3.77M
9.59%18.08M
-99.55%10K
-49.56%16.5M
-86.10%2.23M
-47.62%32.71M
5,383.50%16.01M
886.35%62.44M
-111.48%-303K
-61.92%6.33M
-Loss (gain) on sale of property, machinery and equipment
1,243.06%3.77M
9.59%18.08M
-87.37%281K
-49.56%16.5M
-86.10%2.23M
-47.62%32.71M
5,383.50%16.01M
886.35%62.44M
-111.48%-303K
-62.45%6.33M
-Loss (gain) from selling other assets
----
----
---271K
----
----
----
----
----
----
----
Depreciation and amortization:
28.00%367.85M
23.52%633.49M
18.65%287.38M
20.08%512.86M
18.17%242.21M
5.68%427.1M
19.09%204.96M
24.17%404.15M
10.45%172.11M
34.51%325.48M
-Amortization of intangible assets
78.32%136.86M
49.71%198.27M
33.02%76.75M
6.81%132.43M
-13.40%57.7M
-23.09%123.99M
15.94%66.62M
42.54%161.22M
3.70%57.46M
0.99%113.1M
Financial expense
-16.99%65.18M
77.56%124.06M
225.56%78.52M
66.32%69.87M
-3.51%24.12M
-5.01%42.01M
-5.60%25M
-15.48%44.22M
5.22%26.48M
37.51%52.32M
Special items
1.67%31.25M
23.06%46.88M
-19.33%30.73M
16.01%38.1M
75.89%38.1M
-18.38%32.84M
153.59%21.66M
795.33%40.24M
8.26%8.54M
-83.85%4.49M
Operating profit before the change of operating capital
17.33%1.1B
2.56%1.86B
-2.74%934.53M
0.47%1.82B
11.51%960.87M
27.03%1.81B
55.19%861.71M
33.50%1.42B
8.13%555.26M
17.28%1.07B
Change of operating capital
Inventory (increase) decrease
-96.82%13.98M
361.98%946.37M
190.08%439.32M
79.15%-361.24M
62.47%-487.68M
-55.00%-1.73B
-465.02%-1.3B
-191.32%-1.12B
-7.02%-229.96M
-10.06%-383.72M
Accounts receivable (increase)decrease
-64.41%-619.74M
-206.71%-129.91M
7.00%-376.95M
117.38%121.74M
33.47%-405.3M
-491.66%-700.33M
-60.84%-609.22M
22.13%-118.37M
-39.75%-378.77M
-449.76%-152.01M
Accounts payable increase (decrease)
265.54%381.26M
-114.35%-440.11M
-455.95%-230.32M
-128.51%-205.32M
-92.33%64.71M
-35.35%720.06M
138.59%843.83M
323.51%1.11B
791.26%353.68M
-24.93%263M
Special items for working capital changes
-120.73%-5.08M
578.33%26.29M
5,134.83%24.5M
105.94%3.88M
100.86%468K
-50.36%-65.29M
-42.29%-54.44M
-345.28%-43.43M
-1,810.08%-38.26M
505.22%17.7M
Cash  from business operations
9.58%866.89M
64.71%2.27B
494.53%791.08M
4,514.32%1.38B
151.69%133.06M
-97.63%29.81M
-198.27%-257.43M
55.03%1.26B
1,124.88%261.95M
-7.69%811.16M
Hong Kong profits tax paid
-103.44%-375K
711.11%11.39M
961.50%10.9M
52.06%-1.86M
-350.18%-1.27M
38.42%-3.89M
94.52%-281K
-142.45%-6.31M
-43.61%-5.12M
72.67%-2.6M
Other taxs
11.00%-26.42M
30.57%-49.08M
37.25%-29.69M
16.69%-70.7M
-22.29%-47.31M
-77.09%-84.86M
-133.46%-38.69M
-49.94%-47.92M
4.84%-16.57M
14.79%-31.96M
Interest paid - operating
16.99%-65.18M
-77.56%-124.06M
-225.56%-78.52M
-66.32%-69.87M
3.51%-24.12M
5.01%-42.01M
5.60%-25M
15.48%-44.22M
-5.22%-26.48M
-37.51%-52.32M
Net cash from operations
11.70%774.92M
70.62%2.1B
1,049.30%693.77M
1,321.56%1.23B
118.78%60.37M
-108.71%-100.95M
-250.34%-321.39M
60.03%1.16B
398.13%213.78M
-8.74%724.27M
Cash flow from investment activities
Interest received - investment
11.51%32.71M
73.90%44.96M
129.26%29.34M
-19.28%25.85M
-22.05%12.8M
-12.94%32.03M
-15.85%16.42M
-8.52%36.79M
9.49%19.51M
59.56%40.22M
Sale of fixed assets
-13.23%2.76M
1,311.39%51.42M
264.49%3.18M
123.22%3.64M
1,646.00%873K
-21.46%1.63M
-96.50%50K
-70.95%2.08M
-73.89%1.43M
282.77%7.15M
Purchase of fixed assets
52.34%-99.89M
13.67%-501.57M
8.64%-209.58M
22.18%-580.99M
6.40%-229.4M
-62.67%-746.54M
-108.99%-245.07M
-0.51%-458.93M
53.66%-117.27M
-76.22%-456.61M
Purchase of intangible assets
8.84%-170.17M
7.97%-372.59M
-3.76%-186.68M
-29.78%-404.88M
-36.94%-179.92M
-96.29%-311.98M
-67.56%-131.38M
0.02%-158.94M
-3.59%-78.41M
-17.20%-158.97M
Acquisition of subsidiaries
----
87.79%-4.52M
87.79%-4.52M
---37.06M
---37.06M
----
----
----
----
----
Recovery of cash from investments
-95.97%107K
-94.98%3.97M
--2.65M
111,360.56%79M
----
---71K
----
----
----
----
Cash on investment
----
----
----
---4.8M
---4.8M
----
----
-307.64%-1.23M
-307.31%-1.23M
96.47%-301K
Other items in the investment business
8.00%-115K
-7,350.00%-435K
-12,600.00%-125K
--6K
116.67%1K
----
75.00%-6K
-252.00%-38K
---24K
101.70%25K
Net cash from investment operations
35.86%-234.59M
15.28%-778.78M
16.40%-365.74M
10.31%-919.23M
-21.53%-437.5M
-76.63%-1.02B
-104.56%-359.99M
-2.07%-580.27M
42.44%-175.99M
-34.15%-568.49M
Net cash before financing
64.71%540.33M
322.17%1.33B
186.98%328.04M
127.88%313.87M
44.65%-377.14M
-294.52%-1.13B
-1,903.22%-681.38M
271.53%578.8M
110.01%37.79M
-57.88%155.79M
Cash flow from financing activities
New borrowing
-33.35%2.25B
15.66%5.6B
49.77%3.38B
-33.71%4.84B
-36.73%2.26B
97.65%7.3B
53.57%3.57B
-8.61%3.69B
49.61%2.32B
60.44%4.04B
Refund
32.75%-2.39B
-37.20%-6.8B
-66.09%-3.55B
7.22%-4.96B
-11.48%-2.14B
-38.55%-5.34B
-2.24%-1.92B
-15.07%-3.86B
-103.01%-1.87B
-31.45%-3.35B
Issuing shares
309.09%2.25M
-47.97%550K
-43.53%550K
-87.12%1.06M
-72.06%974K
-4.49%8.21M
-9.97%3.49M
44.73%8.59M
6.14%3.87M
584.10%5.94M
Dividends paid - financing
----
5.12%-436.86M
----
-16.82%-460.42M
-22.03%-236.1M
-50.63%-394.12M
-41.55%-193.49M
-17.01%-261.64M
-16.21%-136.69M
-21.90%-223.59M
Issuance expenses and redemption of securities expenses
---30.96M
---4.41M
----
----
----
----
----
----
----
67.25%-12.64M
Other items of the financing business
-104.26%-129K
382.88%705K
3,019.59%3.03M
-65.32%146K
-63.53%97K
105.50%421K
103.34%266K
96.73%-7.65M
-153.73%-7.95M
-250.63%-234.27M
Net cash from financing operations
-0.70%-246.85M
-152.78%-1.8B
-34.03%-245.14M
-148.42%-712.74M
-112.91%-182.9M
395.55%1.47B
418.40%1.42B
-406.02%-498.09M
-43.69%273.35M
253.60%162.77M
Effect of rate
24.62%-20.18M
101.84%858K
33.40%-26.76M
-715.77%-46.61M
-4,907.30%-40.19M
-113.82%-5.71M
110.36%836K
489.68%41.35M
-27.59%-8.07M
54.90%-10.61M
Net Cash
254.02%293.48M
-19.48%-476.55M
114.80%82.9M
-215.20%-398.87M
-176.13%-560.03M
329.01%346.24M
136.44%735.64M
-74.66%80.71M
188.06%311.13M
20.71%318.55M
Begining period cash
-33.29%953.24M
-23.77%1.43B
-23.77%1.43B
22.20%1.87B
22.20%1.87B
8.65%1.53B
8.65%1.53B
27.90%1.41B
27.90%1.41B
27.84%1.1B
Cash at the end
-17.41%1.23B
-33.29%953.24M
16.55%1.49B
-23.77%1.43B
-43.88%1.27B
22.20%1.87B
32.39%2.27B
8.65%1.53B
42.25%1.71B
27.90%1.41B
Cash balance analysis
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
(Q6)Jun 30, 2024 (FY)Dec 31, 2023 (Q6)Jun 30, 2023 (FY)Dec 31, 2022 (Q6)Jun 30, 2022 (FY)Dec 31, 2021 (Q6)Jun 30, 2021 (FY)Dec 31, 2020 (Q6)Jun 30, 2020 (FY)Dec 31, 2019
Cash flow from operating activities
Earning before tax 16.18%593.71M -8.75%1.06B -17.77%511.02M -2.11%1.16B 10.36%621.47M 37.22%1.18B 58.08%563.12M 30.24%861.25M 16.13%356.23M 11.21%661.29M
Profit adjustment
Interest (income) - adjustment -11.51%-32.71M -73.90%-44.96M -129.26%-29.34M 19.28%-25.85M 22.05%-12.8M 12.94%-32.03M 15.85%-16.42M 8.52%-36.79M -9.49%-19.51M -59.56%-40.22M
Attributable subsidiary (profit) loss 167.66%159K -800.00%-27K 73.92%-235K 40.00%-3K -160.40%-901K 98.84%-5K -18.49%-346K ---432K -981.48%-292K ----
Impairment and provisions: 0.74%61.53M -31.71%33.9M 18.62%61.08M -61.12%49.64M -11.27%51.49M 254.69%127.69M 915.33%58.04M 4.48%36M -70.16%5.72M 24.91%34.46M
-Impairment of property, plant and equipment (reversal) --6.75M -127.33%-82K ---- --300K ---- ---- ---- ---- ---- ----
-Impairmen of inventory (reversal) -36.65%31.21M -60.65%24.25M -5.09%49.27M -39.59%61.61M 7.83%51.91M 217.34%101.99M 742.27%48.14M -6.72%32.14M -70.16%5.72M 24.91%34.46M
-Impairment of trade receivables (reversal) 99.59%23.57M ---- --11.81M ---- ---- ---- ---- ---- ---- ----
-Impairment of goodwill ---- ---- ---- ---- ---- ---- ---- --3.86M ---- ----
-Other impairments and provisions ---- 179.38%9.74M ---- -147.74%-12.27M -104.24%-419K --25.7M --9.89M ---- ---- ----
Revaluation surplus: 223.51%5.73M -164.58%-4.06M 8.05%-4.64M 62.52%-1.53M 51.07%-5.05M -133.40%-4.09M -264.04%-10.31M -44.41%12.25M -54.89%6.29M 277.93%22.03M
-Other fair value changes 223.51%5.73M -164.58%-4.06M 8.05%-4.64M 62.52%-1.53M 51.07%-5.05M -133.40%-4.09M -264.04%-10.31M -44.41%12.25M -54.89%6.29M 277.93%22.03M
Asset sale loss (gain): 37,640.00%3.77M 9.59%18.08M -99.55%10K -49.56%16.5M -86.10%2.23M -47.62%32.71M 5,383.50%16.01M 886.35%62.44M -111.48%-303K -61.92%6.33M
-Loss (gain) on sale of property, machinery and equipment 1,243.06%3.77M 9.59%18.08M -87.37%281K -49.56%16.5M -86.10%2.23M -47.62%32.71M 5,383.50%16.01M 886.35%62.44M -111.48%-303K -62.45%6.33M
-Loss (gain) from selling other assets ---- ---- ---271K ---- ---- ---- ---- ---- ---- ----
Depreciation and amortization: 28.00%367.85M 23.52%633.49M 18.65%287.38M 20.08%512.86M 18.17%242.21M 5.68%427.1M 19.09%204.96M 24.17%404.15M 10.45%172.11M 34.51%325.48M
-Amortization of intangible assets 78.32%136.86M 49.71%198.27M 33.02%76.75M 6.81%132.43M -13.40%57.7M -23.09%123.99M 15.94%66.62M 42.54%161.22M 3.70%57.46M 0.99%113.1M
Financial expense -16.99%65.18M 77.56%124.06M 225.56%78.52M 66.32%69.87M -3.51%24.12M -5.01%42.01M -5.60%25M -15.48%44.22M 5.22%26.48M 37.51%52.32M
Special items 1.67%31.25M 23.06%46.88M -19.33%30.73M 16.01%38.1M 75.89%38.1M -18.38%32.84M 153.59%21.66M 795.33%40.24M 8.26%8.54M -83.85%4.49M
Operating profit before the change of operating capital 17.33%1.1B 2.56%1.86B -2.74%934.53M 0.47%1.82B 11.51%960.87M 27.03%1.81B 55.19%861.71M 33.50%1.42B 8.13%555.26M 17.28%1.07B
Change of operating capital
Inventory (increase) decrease -96.82%13.98M 361.98%946.37M 190.08%439.32M 79.15%-361.24M 62.47%-487.68M -55.00%-1.73B -465.02%-1.3B -191.32%-1.12B -7.02%-229.96M -10.06%-383.72M
Accounts receivable (increase)decrease -64.41%-619.74M -206.71%-129.91M 7.00%-376.95M 117.38%121.74M 33.47%-405.3M -491.66%-700.33M -60.84%-609.22M 22.13%-118.37M -39.75%-378.77M -449.76%-152.01M
Accounts payable increase (decrease) 265.54%381.26M -114.35%-440.11M -455.95%-230.32M -128.51%-205.32M -92.33%64.71M -35.35%720.06M 138.59%843.83M 323.51%1.11B 791.26%353.68M -24.93%263M
Special items for working capital changes -120.73%-5.08M 578.33%26.29M 5,134.83%24.5M 105.94%3.88M 100.86%468K -50.36%-65.29M -42.29%-54.44M -345.28%-43.43M -1,810.08%-38.26M 505.22%17.7M
Cash  from business operations 9.58%866.89M 64.71%2.27B 494.53%791.08M 4,514.32%1.38B 151.69%133.06M -97.63%29.81M -198.27%-257.43M 55.03%1.26B 1,124.88%261.95M -7.69%811.16M
Hong Kong profits tax paid -103.44%-375K 711.11%11.39M 961.50%10.9M 52.06%-1.86M -350.18%-1.27M 38.42%-3.89M 94.52%-281K -142.45%-6.31M -43.61%-5.12M 72.67%-2.6M
Other taxs 11.00%-26.42M 30.57%-49.08M 37.25%-29.69M 16.69%-70.7M -22.29%-47.31M -77.09%-84.86M -133.46%-38.69M -49.94%-47.92M 4.84%-16.57M 14.79%-31.96M
Interest paid - operating 16.99%-65.18M -77.56%-124.06M -225.56%-78.52M -66.32%-69.87M 3.51%-24.12M 5.01%-42.01M 5.60%-25M 15.48%-44.22M -5.22%-26.48M -37.51%-52.32M
Net cash from operations 11.70%774.92M 70.62%2.1B 1,049.30%693.77M 1,321.56%1.23B 118.78%60.37M -108.71%-100.95M -250.34%-321.39M 60.03%1.16B 398.13%213.78M -8.74%724.27M
Cash flow from investment activities
Interest received - investment 11.51%32.71M 73.90%44.96M 129.26%29.34M -19.28%25.85M -22.05%12.8M -12.94%32.03M -15.85%16.42M -8.52%36.79M 9.49%19.51M 59.56%40.22M
Sale of fixed assets -13.23%2.76M 1,311.39%51.42M 264.49%3.18M 123.22%3.64M 1,646.00%873K -21.46%1.63M -96.50%50K -70.95%2.08M -73.89%1.43M 282.77%7.15M
Purchase of fixed assets 52.34%-99.89M 13.67%-501.57M 8.64%-209.58M 22.18%-580.99M 6.40%-229.4M -62.67%-746.54M -108.99%-245.07M -0.51%-458.93M 53.66%-117.27M -76.22%-456.61M
Purchase of intangible assets 8.84%-170.17M 7.97%-372.59M -3.76%-186.68M -29.78%-404.88M -36.94%-179.92M -96.29%-311.98M -67.56%-131.38M 0.02%-158.94M -3.59%-78.41M -17.20%-158.97M
Acquisition of subsidiaries ---- 87.79%-4.52M 87.79%-4.52M ---37.06M ---37.06M ---- ---- ---- ---- ----
Recovery of cash from investments -95.97%107K -94.98%3.97M --2.65M 111,360.56%79M ---- ---71K ---- ---- ---- ----
Cash on investment ---- ---- ---- ---4.8M ---4.8M ---- ---- -307.64%-1.23M -307.31%-1.23M 96.47%-301K
Other items in the investment business 8.00%-115K -7,350.00%-435K -12,600.00%-125K --6K 116.67%1K ---- 75.00%-6K -252.00%-38K ---24K 101.70%25K
Net cash from investment operations 35.86%-234.59M 15.28%-778.78M 16.40%-365.74M 10.31%-919.23M -21.53%-437.5M -76.63%-1.02B -104.56%-359.99M -2.07%-580.27M 42.44%-175.99M -34.15%-568.49M
Net cash before financing 64.71%540.33M 322.17%1.33B 186.98%328.04M 127.88%313.87M 44.65%-377.14M -294.52%-1.13B -1,903.22%-681.38M 271.53%578.8M 110.01%37.79M -57.88%155.79M
Cash flow from financing activities
New borrowing -33.35%2.25B 15.66%5.6B 49.77%3.38B -33.71%4.84B -36.73%2.26B 97.65%7.3B 53.57%3.57B -8.61%3.69B 49.61%2.32B 60.44%4.04B
Refund 32.75%-2.39B -37.20%-6.8B -66.09%-3.55B 7.22%-4.96B -11.48%-2.14B -38.55%-5.34B -2.24%-1.92B -15.07%-3.86B -103.01%-1.87B -31.45%-3.35B
Issuing shares 309.09%2.25M -47.97%550K -43.53%550K -87.12%1.06M -72.06%974K -4.49%8.21M -9.97%3.49M 44.73%8.59M 6.14%3.87M 584.10%5.94M
Dividends paid - financing ---- 5.12%-436.86M ---- -16.82%-460.42M -22.03%-236.1M -50.63%-394.12M -41.55%-193.49M -17.01%-261.64M -16.21%-136.69M -21.90%-223.59M
Issuance expenses and redemption of securities expenses ---30.96M ---4.41M ---- ---- ---- ---- ---- ---- ---- 67.25%-12.64M
Other items of the financing business -104.26%-129K 382.88%705K 3,019.59%3.03M -65.32%146K -63.53%97K 105.50%421K 103.34%266K 96.73%-7.65M -153.73%-7.95M -250.63%-234.27M
Net cash from financing operations -0.70%-246.85M -152.78%-1.8B -34.03%-245.14M -148.42%-712.74M -112.91%-182.9M 395.55%1.47B 418.40%1.42B -406.02%-498.09M -43.69%273.35M 253.60%162.77M
Effect of rate 24.62%-20.18M 101.84%858K 33.40%-26.76M -715.77%-46.61M -4,907.30%-40.19M -113.82%-5.71M 110.36%836K 489.68%41.35M -27.59%-8.07M 54.90%-10.61M
Net Cash 254.02%293.48M -19.48%-476.55M 114.80%82.9M -215.20%-398.87M -176.13%-560.03M 329.01%346.24M 136.44%735.64M -74.66%80.71M 188.06%311.13M 20.71%318.55M
Begining period cash -33.29%953.24M -23.77%1.43B -23.77%1.43B 22.20%1.87B 22.20%1.87B 8.65%1.53B 8.65%1.53B 27.90%1.41B 27.90%1.41B 27.84%1.1B
Cash at the end -17.41%1.23B -33.29%953.24M 16.55%1.49B -23.77%1.43B -43.88%1.27B 22.20%1.87B 32.39%2.27B 8.65%1.53B 42.25%1.71B 27.90%1.41B
Cash balance analysis
Currency Unit USD USD USD USD USD USD USD USD USD USD
Accounting Standards HKAS HKAS HKAS HKAS HKAS HKAS HKAS HKAS HKAS HKAS
Audit Opinions -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion -- Unqualified Opinion
Auditor -- Deloitte Guan Huang Chen Fang Certified Public Accountants -- Deloitte Guan Huang Chen Fang Certified Public Accountants -- Deloitte Guan Huang Chen Fang Certified Public Accountants -- Deloitte Guan Huang Chen Fang Certified Public Accountants -- Deloitte Guan Huang Chen Fang Certified Public Accountants

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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