CN Stock MarketDetailed Quotes

002960 Jade Bird Fire

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  • 11.35
  • -0.17-1.48%
Market Closed Jan 22 15:00 CST
8.34BMarket Cap17.07P/E (TTM)

Jade Bird Fire Key Stats

All
YOY yoy
Hide blank lines yoy
(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
(Q9)Sep 30, 2022
(Q6)Jun 30, 2022
Assets
Current assets
Money funds
-24.02%1.87B
-25.81%2.05B
-12.70%2.51B
-0.81%2.95B
139.48%2.47B
164.07%2.76B
182.24%2.88B
100.47%2.97B
7.54%1.03B
-14.36%1.05B
Transactional financial assets
-2.12%174.31M
596.11%134.51M
-93.43%14.25M
-73.56%114.83M
17,692.50%178.09M
--19.32M
--217M
--434.27M
--1M
----
Notes receivable and accounts receivable
5.55%3B
4.75%2.82B
4.93%2.43B
6.30%2.25B
7.04%2.84B
14.52%2.69B
25.97%2.31B
26.72%2.12B
22.50%2.66B
30.70%2.35B
-Notes receivable
5.55%46.89M
19.58%53.81M
8.67%62.9M
30.30%67.88M
52.04%44.43M
-16.90%45M
-25.16%57.88M
-52.26%52.09M
-77.53%29.22M
-66.30%54.16M
-Accounts receivable
5.55%2.95B
4.50%2.77B
4.84%2.37B
5.69%2.18B
6.54%2.8B
15.26%2.65B
28.22%2.26B
32.24%2.07B
28.88%2.63B
40.21%2.3B
Other receivables (including interest and dividends)
62.39%122.36M
3.39%86.21M
14.26%81.34M
25.58%87.73M
2.48%75.35M
-1.33%83.38M
37.73%71.19M
56.76%69.86M
38.76%73.53M
107.33%84.5M
-Other receivable
----
3.39%86.21M
----
----
----
-1.33%83.38M
----
56.76%69.86M
----
107.33%84.5M
Contractual assets
0.08%4.32M
28.91%5.4M
102.01%5.34M
149.77%6.01M
90.10%4.32M
76.19%4.19M
-1.21%2.64M
-10.48%2.41M
-32.29%2.27M
-12.99%2.38M
Advance payment
12.27%75.15M
28.46%78.55M
-43.26%51.41M
-43.24%40.42M
-43.67%66.94M
-44.07%61.15M
-20.45%90.6M
-28.72%71.21M
105.27%118.82M
112.56%109.32M
Inventories
-0.46%733.19M
-2.00%730.46M
0.81%753.36M
9.78%765.9M
12.91%736.55M
7.12%745.38M
-9.72%747.27M
-0.69%697.64M
-14.75%652.33M
10.86%695.86M
Receivable financing
-52.18%102.35M
-40.07%99.59M
8.71%238.43M
16.26%375.44M
29.82%214.05M
16.06%166.17M
-23.13%219.34M
-16.42%322.92M
34.44%164.88M
46.91%143.18M
Other current assets
237.12%187.72M
110.12%165.84M
291.74%103.84M
499.48%71.1M
459.36%55.68M
846.69%78.92M
0.87%26.51M
14.83%11.86M
-31.99%9.95M
-20.53%8.34M
Total current assets
-5.51%6.28B
-6.70%6.17B
-5.76%6.19B
-0.59%6.66B
41.03%6.64B
48.94%6.62B
57.69%6.57B
52.28%6.7B
13.67%4.71B
15.31%4.44B
Non Current assets
Other equity investment
155.56%23M
155.56%23M
155.56%23M
155.56%23M
0.00%9M
--9M
-81.21%9M
-81.21%9M
-47.06%9M
----
Other non-current financial assets
--63.85M
--62.16M
--60.78M
--59.54M
----
----
----
--0
----
----
Long-term equity investment
-5.50%123.82M
-5.95%126.18M
-1.56%131.03M
0.55%135.77M
4.36%131.02M
7.17%134.16M
62.40%133.11M
57.20%135.02M
53.86%125.55M
0.93%125.18M
Fixed assets
----
93.41%779.39M
----
----
----
21.38%402.97M
----
-13.04%321.8M
----
15.46%332M
Constru in process
----
-97.19%3.43M
----
----
----
94.89%121.98M
----
167.38%106.58M
----
30,003.93%62.59M
Intangible assets
9.96%200.72M
10.97%206.25M
10.01%207.53M
10.72%213.46M
-7.30%182.55M
-7.46%185.86M
-2.07%188.64M
-1.95%192.79M
73.13%196.91M
279.87%200.84M
Development expenditure
214.57%124.78M
191.74%107.57M
163.54%88.8M
149.50%68.33M
175.76%39.67M
984.56%36.87M
1,026.19%33.7M
798.21%27.39M
--14.38M
--3.4M
Goodwill
21.26%524.26M
17.75%509.07M
-2.57%421.22M
0.54%421.22M
3.73%432.34M
3.73%432.34M
3.94%432.34M
0.72%418.98M
-7.33%416.78M
135.47%416.78M
Long deferred expense
11.79%13.41M
72.00%13.41M
90.77%13.91M
87.48%14.05M
64.10%12M
-0.97%7.8M
-10.03%7.29M
-11.09%7.5M
-7.01%7.31M
14.72%7.87M
Deferred tax assets
24.76%76.06M
36.80%69.88M
37.70%62.53M
24.16%57.64M
32.13%60.97M
25.91%51.09M
22.56%45.41M
28.38%46.42M
10.49%46.15M
-6.43%40.57M
Usufruct assets
-8.53%39.85M
-9.01%41.15M
6.75%42.12M
-4.66%47.24M
-11.14%43.57M
-14.62%45.23M
-27.60%39.45M
-14.87%49.55M
-15.38%49.03M
410.79%52.97M
Other non current assets
84.22%65.33M
71.37%59.78M
2.12%32.82M
-27.82%31.4M
56.50%35.46M
36.63%34.88M
53.46%32.14M
104.83%43.51M
-29.33%22.66M
-28.98%25.53M
Total non current assets
32.16%2.06B
36.87%2B
32.95%1.85B
33.09%1.81B
21.82%1.56B
15.34%1.46B
8.10%1.39B
5.86%1.36B
8.42%1.28B
67.87%1.27B
Total assets
1.64%8.33B
1.18%8.17B
1.00%8.03B
5.09%8.47B
36.93%8.2B
41.48%8.08B
46.00%7.95B
41.80%8.06B
12.50%5.99B
23.93%5.71B
Liabilities
Current liabilities
Short term loan
-25.43%232.65M
-42.04%237.65M
-42.39%265M
-49.62%262M
-42.62%312M
-15.24%410M
13.10%460M
37.17%520M
79.45%543.74M
61.25%483.74M
Notes payable and accounts payable
-18.66%698.3M
-14.60%764.23M
-17.72%622.21M
-5.37%749.69M
10.53%858.52M
27.97%894.92M
30.52%756.2M
13.15%792.23M
2.27%776.7M
23.55%699.33M
-Notes payable
26.38%53.82M
137.48%55.53M
118.34%57.88M
80.22%50.9M
78.07%42.58M
51.59%23.38M
195.23%26.51M
141.18%28.25M
222.38%23.91M
--15.42M
-Accounts payable
-21.01%644.48M
-18.68%708.7M
-22.66%564.33M
-8.53%698.79M
8.39%815.94M
27.43%871.54M
27.93%729.69M
10.98%763.99M
0.10%752.79M
20.82%683.91M
Contract liabilities
-9.71%46.85M
-23.99%48.24M
-10.18%58.97M
18.71%65.54M
-12.22%51.89M
2.21%63.47M
-6.72%65.66M
-2.26%55.21M
-28.73%59.12M
3.77%62.09M
Advance receipts
103.94%65.32M
124.90%69.85M
28.13%78.12M
45.21%137.78M
-3.41%32.03M
-32.10%31.06M
-15.12%60.97M
-4.22%94.88M
44.88%33.16M
26.75%45.74M
Salaries payable
-30.59%59.28M
17.81%78.89M
13.76%89.41M
35.08%183.27M
18.14%85.41M
5.01%66.97M
30.13%78.59M
24.10%135.68M
45.58%72.3M
25.18%63.77M
Taxs payable
12.84%111.52M
37.00%83.68M
4.94%69.2M
-6.58%89.21M
-2.20%98.83M
-30.56%61.08M
72.18%65.94M
23.78%95.49M
23.00%101.05M
86.73%87.97M
Other payable (including interest and dividends)
223.55%242.19M
187.51%246.28M
78.40%245.55M
109.10%265.2M
-37.10%74.86M
-55.70%85.66M
-37.59%137.65M
-59.82%126.83M
-62.05%119M
69.67%193.36M
-Interest payable
2.37%81.98K
-3.79%86.84K
-28.92%86.48K
-31.28%83.64K
-18.54%80.08K
11.70%90.27K
--121.66K
--121.71K
--98.31K
--80.81K
-Dividend payable
----
----
----
----
----
--2M
----
----
----
----
-Other payable
----
194.59%246.19M
----
----
----
-56.76%83.57M
----
-59.86%126.71M
----
69.60%193.28M
Non current liabilities due within one year
92.78%61.06M
7.24%33.74M
-30.06%21.9M
-21.27%25.88M
-4.54%31.67M
-10.71%31.46M
0.26%31.31M
-8.95%32.87M
270.74%33.18M
862.07%35.23M
Other current liabilities
-4.09%19.16M
-7.57%15.87M
18.15%23.6M
81.50%24M
142.28%19.98M
106.14%17.17M
67.06%19.97M
-18.72%13.22M
-50.63%8.25M
-45.27%8.33M
Total current liabilities
-1.84%1.54B
-5.02%1.58B
-12.07%1.47B
-3.42%1.8B
-10.38%1.57B
-1.06%1.66B
12.45%1.68B
4.31%1.87B
6.54%1.75B
40.80%1.68B
Current liabilities
Long term loan
207.36%277.68M
151.63%234.79M
-6.48%89.92M
-10.36%90.14M
-0.44%90.34M
20.55%93.31M
33.89%96.15M
62.87%100.55M
48.67%90.74M
25.56%77.4M
Bonds payable
----
--3.07M
--3.07M
--3.14M
----
----
----
--0
----
----
Estimate liabilities
26.70%9.12M
15.44%8.94M
24.24%8.95M
-16.48%9.16M
-33.17%7.2M
-31.31%7.74M
-45.12%7.21M
-17.87%10.97M
-9.58%10.78M
69.92%11.27M
Deferred tax liabilities
2.03%48.22M
6.97%49.32M
14.98%49.42M
5.48%49.99M
8.68%47.26M
4.22%46.11M
-8.24%42.98M
-0.38%47.4M
83.64%43.48M
1,022.95%44.24M
Long term deferred income
67.95%14.84M
64.10%11.43M
89.60%11.57M
55.60%9.7M
38.72%8.83M
7.16%6.97M
-8.05%6.1M
-7.89%6.23M
-7.74%6.37M
--6.5M
Lease liabilities
-21.65%22.34M
-24.39%24.12M
-3.81%26.53M
-12.32%30.73M
-19.52%28.51M
-15.58%31.9M
-38.57%27.58M
-19.95%35.05M
-25.80%35.42M
521.22%37.78M
Total non current liabilities
104.34%372.19M
78.30%331.67M
5.25%189.45M
-3.67%192.86M
-2.49%182.14M
4.98%186.02M
-1.80%180.01M
15.57%200.2M
21.13%186.79M
117.99%177.19M
Total liabilities
9.23%1.91B
3.37%1.91B
-10.39%1.66B
-3.44%2B
-9.62%1.75B
-0.48%1.85B
10.89%1.86B
5.31%2.07B
7.79%1.93B
45.73%1.86B
Shareholders equity
Paid-in capital
0.92%744.34M
1.02%744.34M
34.31%758.55M
34.34%758.06M
50.59%737.53M
50.41%736.79M
61.86%564.8M
61.84%564.3M
40.62%489.76M
41.66%489.87M
Capital reserve funds
-6.65%2.18B
-6.89%2.16B
-5.59%2.32B
-6.34%2.3B
198.99%2.33B
200.55%2.32B
179.60%2.46B
180.62%2.45B
-9.06%780.29M
-7.79%773.11M
Surplus reserve funds
21.88%265.9M
21.88%265.9M
21.88%265.9M
21.88%265.9M
30.05%218.17M
30.05%218.17M
29.47%218.17M
29.47%218.17M
36.28%167.76M
36.28%167.76M
Retained profit
6.09%3.15B
9.18%3B
16.36%3.15B
16.79%3.07B
17.38%2.97B
17.07%2.75B
16.53%2.71B
16.55%2.63B
17.71%2.53B
18.49%2.35B
Less:Treasury stock
2,371.02%234.93M
712.15%154.43M
583.85%361.38M
205.86%161.63M
-82.01%9.51M
-66.29%19.01M
-33.70%52.84M
-34.84%52.84M
-34.84%52.84M
14.18%56.41M
Other composite income
62.81%-5.25M
-204.87%-12.89M
-79.89%-7.63M
174.70%7.02M
55.63%-14.12M
133.22%12.29M
86.39%-4.24M
58.30%-9.4M
-191.78%-31.82M
-1,099.88%-37.01M
Shareholders equity without minority interests
-2.19%6.09B
-0.22%6.01B
3.98%6.13B
7.50%6.24B
60.60%6.23B
63.38%6.02B
63.28%5.89B
63.73%5.8B
14.65%3.88B
13.87%3.68B
Minority interests
49.63%331.26M
21.97%258.03M
18.29%242.43M
23.73%239.7M
26.33%221.39M
25.02%211.56M
24.29%204.95M
7.89%193.73M
20.69%175.24M
72.72%169.22M
Total shareholder equity
-0.41%6.42B
0.54%6.26B
4.46%6.37B
8.03%6.48B
59.12%6.45B
61.70%6.23B
61.58%6.1B
61.04%6B
14.90%4.05B
15.60%3.85B
Total liabilityies and equity
1.64%8.33B
1.18%8.17B
1.00%8.03B
5.09%8.47B
36.93%8.2B
41.48%8.08B
46.00%7.95B
41.80%8.06B
12.50%5.99B
23.93%5.71B
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
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Unqualified opinion
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Unqualified opinion
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Auditor
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ZTE Accounting firm (Special General Partnership)
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ZTE Accounting firm (Special General Partnership)
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(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(Q9)Sep 30, 2022(Q6)Jun 30, 2022
Assets
Current assets
Money funds -24.02%1.87B-25.81%2.05B-12.70%2.51B-0.81%2.95B139.48%2.47B164.07%2.76B182.24%2.88B100.47%2.97B7.54%1.03B-14.36%1.05B
Transactional financial assets -2.12%174.31M596.11%134.51M-93.43%14.25M-73.56%114.83M17,692.50%178.09M--19.32M--217M--434.27M--1M----
Notes receivable and accounts receivable 5.55%3B4.75%2.82B4.93%2.43B6.30%2.25B7.04%2.84B14.52%2.69B25.97%2.31B26.72%2.12B22.50%2.66B30.70%2.35B
-Notes receivable 5.55%46.89M19.58%53.81M8.67%62.9M30.30%67.88M52.04%44.43M-16.90%45M-25.16%57.88M-52.26%52.09M-77.53%29.22M-66.30%54.16M
-Accounts receivable 5.55%2.95B4.50%2.77B4.84%2.37B5.69%2.18B6.54%2.8B15.26%2.65B28.22%2.26B32.24%2.07B28.88%2.63B40.21%2.3B
Other receivables (including interest and dividends) 62.39%122.36M3.39%86.21M14.26%81.34M25.58%87.73M2.48%75.35M-1.33%83.38M37.73%71.19M56.76%69.86M38.76%73.53M107.33%84.5M
-Other receivable ----3.39%86.21M-------------1.33%83.38M----56.76%69.86M----107.33%84.5M
Contractual assets 0.08%4.32M28.91%5.4M102.01%5.34M149.77%6.01M90.10%4.32M76.19%4.19M-1.21%2.64M-10.48%2.41M-32.29%2.27M-12.99%2.38M
Advance payment 12.27%75.15M28.46%78.55M-43.26%51.41M-43.24%40.42M-43.67%66.94M-44.07%61.15M-20.45%90.6M-28.72%71.21M105.27%118.82M112.56%109.32M
Inventories -0.46%733.19M-2.00%730.46M0.81%753.36M9.78%765.9M12.91%736.55M7.12%745.38M-9.72%747.27M-0.69%697.64M-14.75%652.33M10.86%695.86M
Receivable financing -52.18%102.35M-40.07%99.59M8.71%238.43M16.26%375.44M29.82%214.05M16.06%166.17M-23.13%219.34M-16.42%322.92M34.44%164.88M46.91%143.18M
Other current assets 237.12%187.72M110.12%165.84M291.74%103.84M499.48%71.1M459.36%55.68M846.69%78.92M0.87%26.51M14.83%11.86M-31.99%9.95M-20.53%8.34M
Total current assets -5.51%6.28B-6.70%6.17B-5.76%6.19B-0.59%6.66B41.03%6.64B48.94%6.62B57.69%6.57B52.28%6.7B13.67%4.71B15.31%4.44B
Non Current assets
Other equity investment 155.56%23M155.56%23M155.56%23M155.56%23M0.00%9M--9M-81.21%9M-81.21%9M-47.06%9M----
Other non-current financial assets --63.85M--62.16M--60.78M--59.54M--------------0--------
Long-term equity investment -5.50%123.82M-5.95%126.18M-1.56%131.03M0.55%135.77M4.36%131.02M7.17%134.16M62.40%133.11M57.20%135.02M53.86%125.55M0.93%125.18M
Fixed assets ----93.41%779.39M------------21.38%402.97M-----13.04%321.8M----15.46%332M
Constru in process -----97.19%3.43M------------94.89%121.98M----167.38%106.58M----30,003.93%62.59M
Intangible assets 9.96%200.72M10.97%206.25M10.01%207.53M10.72%213.46M-7.30%182.55M-7.46%185.86M-2.07%188.64M-1.95%192.79M73.13%196.91M279.87%200.84M
Development expenditure 214.57%124.78M191.74%107.57M163.54%88.8M149.50%68.33M175.76%39.67M984.56%36.87M1,026.19%33.7M798.21%27.39M--14.38M--3.4M
Goodwill 21.26%524.26M17.75%509.07M-2.57%421.22M0.54%421.22M3.73%432.34M3.73%432.34M3.94%432.34M0.72%418.98M-7.33%416.78M135.47%416.78M
Long deferred expense 11.79%13.41M72.00%13.41M90.77%13.91M87.48%14.05M64.10%12M-0.97%7.8M-10.03%7.29M-11.09%7.5M-7.01%7.31M14.72%7.87M
Deferred tax assets 24.76%76.06M36.80%69.88M37.70%62.53M24.16%57.64M32.13%60.97M25.91%51.09M22.56%45.41M28.38%46.42M10.49%46.15M-6.43%40.57M
Usufruct assets -8.53%39.85M-9.01%41.15M6.75%42.12M-4.66%47.24M-11.14%43.57M-14.62%45.23M-27.60%39.45M-14.87%49.55M-15.38%49.03M410.79%52.97M
Other non current assets 84.22%65.33M71.37%59.78M2.12%32.82M-27.82%31.4M56.50%35.46M36.63%34.88M53.46%32.14M104.83%43.51M-29.33%22.66M-28.98%25.53M
Total non current assets 32.16%2.06B36.87%2B32.95%1.85B33.09%1.81B21.82%1.56B15.34%1.46B8.10%1.39B5.86%1.36B8.42%1.28B67.87%1.27B
Total assets 1.64%8.33B1.18%8.17B1.00%8.03B5.09%8.47B36.93%8.2B41.48%8.08B46.00%7.95B41.80%8.06B12.50%5.99B23.93%5.71B
Liabilities
Current liabilities
Short term loan -25.43%232.65M-42.04%237.65M-42.39%265M-49.62%262M-42.62%312M-15.24%410M13.10%460M37.17%520M79.45%543.74M61.25%483.74M
Notes payable and accounts payable -18.66%698.3M-14.60%764.23M-17.72%622.21M-5.37%749.69M10.53%858.52M27.97%894.92M30.52%756.2M13.15%792.23M2.27%776.7M23.55%699.33M
-Notes payable 26.38%53.82M137.48%55.53M118.34%57.88M80.22%50.9M78.07%42.58M51.59%23.38M195.23%26.51M141.18%28.25M222.38%23.91M--15.42M
-Accounts payable -21.01%644.48M-18.68%708.7M-22.66%564.33M-8.53%698.79M8.39%815.94M27.43%871.54M27.93%729.69M10.98%763.99M0.10%752.79M20.82%683.91M
Contract liabilities -9.71%46.85M-23.99%48.24M-10.18%58.97M18.71%65.54M-12.22%51.89M2.21%63.47M-6.72%65.66M-2.26%55.21M-28.73%59.12M3.77%62.09M
Advance receipts 103.94%65.32M124.90%69.85M28.13%78.12M45.21%137.78M-3.41%32.03M-32.10%31.06M-15.12%60.97M-4.22%94.88M44.88%33.16M26.75%45.74M
Salaries payable -30.59%59.28M17.81%78.89M13.76%89.41M35.08%183.27M18.14%85.41M5.01%66.97M30.13%78.59M24.10%135.68M45.58%72.3M25.18%63.77M
Taxs payable 12.84%111.52M37.00%83.68M4.94%69.2M-6.58%89.21M-2.20%98.83M-30.56%61.08M72.18%65.94M23.78%95.49M23.00%101.05M86.73%87.97M
Other payable (including interest and dividends) 223.55%242.19M187.51%246.28M78.40%245.55M109.10%265.2M-37.10%74.86M-55.70%85.66M-37.59%137.65M-59.82%126.83M-62.05%119M69.67%193.36M
-Interest payable 2.37%81.98K-3.79%86.84K-28.92%86.48K-31.28%83.64K-18.54%80.08K11.70%90.27K--121.66K--121.71K--98.31K--80.81K
-Dividend payable ----------------------2M----------------
-Other payable ----194.59%246.19M-------------56.76%83.57M-----59.86%126.71M----69.60%193.28M
Non current liabilities due within one year 92.78%61.06M7.24%33.74M-30.06%21.9M-21.27%25.88M-4.54%31.67M-10.71%31.46M0.26%31.31M-8.95%32.87M270.74%33.18M862.07%35.23M
Other current liabilities -4.09%19.16M-7.57%15.87M18.15%23.6M81.50%24M142.28%19.98M106.14%17.17M67.06%19.97M-18.72%13.22M-50.63%8.25M-45.27%8.33M
Total current liabilities -1.84%1.54B-5.02%1.58B-12.07%1.47B-3.42%1.8B-10.38%1.57B-1.06%1.66B12.45%1.68B4.31%1.87B6.54%1.75B40.80%1.68B
Current liabilities
Long term loan 207.36%277.68M151.63%234.79M-6.48%89.92M-10.36%90.14M-0.44%90.34M20.55%93.31M33.89%96.15M62.87%100.55M48.67%90.74M25.56%77.4M
Bonds payable ------3.07M--3.07M--3.14M--------------0--------
Estimate liabilities 26.70%9.12M15.44%8.94M24.24%8.95M-16.48%9.16M-33.17%7.2M-31.31%7.74M-45.12%7.21M-17.87%10.97M-9.58%10.78M69.92%11.27M
Deferred tax liabilities 2.03%48.22M6.97%49.32M14.98%49.42M5.48%49.99M8.68%47.26M4.22%46.11M-8.24%42.98M-0.38%47.4M83.64%43.48M1,022.95%44.24M
Long term deferred income 67.95%14.84M64.10%11.43M89.60%11.57M55.60%9.7M38.72%8.83M7.16%6.97M-8.05%6.1M-7.89%6.23M-7.74%6.37M--6.5M
Lease liabilities -21.65%22.34M-24.39%24.12M-3.81%26.53M-12.32%30.73M-19.52%28.51M-15.58%31.9M-38.57%27.58M-19.95%35.05M-25.80%35.42M521.22%37.78M
Total non current liabilities 104.34%372.19M78.30%331.67M5.25%189.45M-3.67%192.86M-2.49%182.14M4.98%186.02M-1.80%180.01M15.57%200.2M21.13%186.79M117.99%177.19M
Total liabilities 9.23%1.91B3.37%1.91B-10.39%1.66B-3.44%2B-9.62%1.75B-0.48%1.85B10.89%1.86B5.31%2.07B7.79%1.93B45.73%1.86B
Shareholders equity
Paid-in capital 0.92%744.34M1.02%744.34M34.31%758.55M34.34%758.06M50.59%737.53M50.41%736.79M61.86%564.8M61.84%564.3M40.62%489.76M41.66%489.87M
Capital reserve funds -6.65%2.18B-6.89%2.16B-5.59%2.32B-6.34%2.3B198.99%2.33B200.55%2.32B179.60%2.46B180.62%2.45B-9.06%780.29M-7.79%773.11M
Surplus reserve funds 21.88%265.9M21.88%265.9M21.88%265.9M21.88%265.9M30.05%218.17M30.05%218.17M29.47%218.17M29.47%218.17M36.28%167.76M36.28%167.76M
Retained profit 6.09%3.15B9.18%3B16.36%3.15B16.79%3.07B17.38%2.97B17.07%2.75B16.53%2.71B16.55%2.63B17.71%2.53B18.49%2.35B
Less:Treasury stock 2,371.02%234.93M712.15%154.43M583.85%361.38M205.86%161.63M-82.01%9.51M-66.29%19.01M-33.70%52.84M-34.84%52.84M-34.84%52.84M14.18%56.41M
Other composite income 62.81%-5.25M-204.87%-12.89M-79.89%-7.63M174.70%7.02M55.63%-14.12M133.22%12.29M86.39%-4.24M58.30%-9.4M-191.78%-31.82M-1,099.88%-37.01M
Shareholders equity without minority interests -2.19%6.09B-0.22%6.01B3.98%6.13B7.50%6.24B60.60%6.23B63.38%6.02B63.28%5.89B63.73%5.8B14.65%3.88B13.87%3.68B
Minority interests 49.63%331.26M21.97%258.03M18.29%242.43M23.73%239.7M26.33%221.39M25.02%211.56M24.29%204.95M7.89%193.73M20.69%175.24M72.72%169.22M
Total shareholder equity -0.41%6.42B0.54%6.26B4.46%6.37B8.03%6.48B59.12%6.45B61.70%6.23B61.58%6.1B61.04%6B14.90%4.05B15.60%3.85B
Total liabilityies and equity 1.64%8.33B1.18%8.17B1.00%8.03B5.09%8.47B36.93%8.2B41.48%8.08B46.00%7.95B41.80%8.06B12.50%5.99B23.93%5.71B
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----
Auditor ------ZTE Accounting firm (Special General Partnership)------ZTE Accounting firm (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.