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01501 INT MEDICAL

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  • 28.400
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Not Open Nov 15 16:08 CST
5.00BMarket Cap25.84P/E (TTM)

INT MEDICAL Key Stats

All
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
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
(FY)Dec 31, 2019
Assets
Current assets
Inventory
-0.34%153.69M
-16.53%128.77M
21.00%154.21M
66.80%154.28M
52.40%127.44M
67.54%92.49M
60.61%83.62M
27.14%55.21M
--52.07M
11.29%43.42M
Accounts receivable
19.43%79.13M
57.41%125.19M
0.69%66.25M
-3.92%79.53M
132.51%65.8M
165.73%82.77M
73.02%28.3M
108.51%31.15M
--16.36M
110.85%14.94M
Cash and equivalents
-27.84%330.64M
-18.25%423.67M
-9.76%458.22M
-19.09%518.27M
-29.45%507.78M
-26.38%640.55M
-32.09%719.72M
-16.07%870.13M
--1.06B
247.72%1.04B
Fixed time deposit-current assets
249.74%34.97M
10.10%11.01M
-87.50%10M
--10M
--80M
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----
----
----
----
Financial assets at fair value-current assets
----
----
----
----
----
-99.82%132K
10.53%18.03M
233.86%71.45M
--16.31M
--21.4M
Other current assets
23.49%48.8M
-10.58%35.65M
-35.70%39.52M
-6.17%39.87M
99.89%61.46M
110.58%42.49M
101.01%30.75M
183.49%20.18M
--15.3M
111.44%7.12M
Total current assets
-11.12%647.23M
-9.68%724.29M
-13.56%728.2M
-6.58%801.94M
-4.31%842.48M
-18.10%858.44M
-24.10%880.42M
-6.72%1.05B
--1.16B
223.24%1.12B
Non-current assets
Property, plant and equipment
6.43%802.15M
24.53%789.08M
57.18%753.71M
38.31%633.67M
61.95%479.51M
129.94%458.15M
132.46%296.08M
73.91%199.25M
--127.37M
92.42%114.57M
Fixed time deposit-non-current assets
1.06%10.11M
--31.45M
0.00%10M
----
--10M
----
----
----
----
----
Financial assets at fair value-non-current assets
10.89%185.16M
7.74%175.02M
18.55%166.97M
24.80%162.45M
93.41%140.85M
165.34%130.17M
7,182.50%72.83M
--49.06M
--1M
----
Intangible assets
57.51%143.95M
86.46%130.37M
112.38%91.39M
150.82%69.92M
375.90%43.03M
266.66%27.88M
60.35%9.04M
28.89%7.6M
--5.64M
931.29%5.9M
Deferred tax assets
-18.85%17.4M
17.38%17.65M
112.33%21.44M
58.98%15.04M
1,528.23%10.1M
339.29%9.46M
-65.03%620K
16.57%2.15M
--1.77M
3.53%1.85M
Other illiquid assets
-1.11%52.52M
85.27%52.56M
65.10%53.11M
-7.37%28.37M
11.02%32.17M
96.55%30.63M
184.35%28.98M
95.31%15.58M
--10.19M
77.84%7.98M
Total non-current assets
9.18%1.32B
27.30%1.31B
45.11%1.21B
34.37%1.03B
60.96%832.27M
103.73%763.11M
173.16%517.06M
114.14%374.57M
--189.29M
30.14%174.92M
Total assets
1.54%1.97B
11.07%2.03B
15.59%1.94B
12.69%1.83B
19.84%1.67B
13.98%1.62B
3.58%1.4B
9.56%1.42B
--1.35B
169.39%1.3B
Liabilities
Current liabilities
Accounts payable
-1.60%148.45M
38.30%176.17M
74.47%150.86M
21.66%127.39M
58.33%86.47M
61.05%104.71M
14.97%54.61M
52.66%65.02M
--47.5M
77.09%42.59M
Tax payable
-30.77%7.5M
77.96%22.42M
-20.74%10.83M
3.12%12.6M
247.41%13.67M
49.34%12.22M
-56.86%3.93M
31.22%8.18M
--9.12M
394.37%6.23M
Bank loans and overdrafts
-46.34%51.54M
142.09%79.12M
--96.06M
--32.68M
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----
----
----
----
----
Derivative financial instrument-current liabilities
----
--491K
----
----
----
----
----
----
----
----
Financial lease liabilities-current liabilities
----
----
----
4.69%201K
1.03%196K
-40.00%192K
-53.25%194K
55.34%320K
--415K
-96.18%206K
Deferred income-current liabilities
3.32%1.62M
15.24%1.55M
363.31%1.57M
251.17%1.35M
-17.96%338K
-14.70%383K
-24.82%412K
-9.11%449K
--548K
0.00%494K
Total current liabilities
-21.72%239.81M
32.20%316.83M
76.92%306.35M
56.42%239.67M
128.55%173.16M
73.50%153.22M
10.39%75.76M
49.17%88.31M
--68.63M
38.54%59.2M
Net current assets
-3.42%407.43M
-27.53%407.46M
-36.97%421.85M
-20.27%562.28M
-16.82%669.32M
-26.53%705.22M
-26.27%804.66M
-9.83%959.8M
--1.09B
249.12%1.06B
Total assets less current liabilities
5.92%1.73B
7.88%1.71B
8.52%1.63B
8.13%1.59B
13.61%1.5B
10.04%1.47B
3.21%1.32B
7.66%1.33B
--1.28B
182.12%1.24B
Non-current liabilities
Financial lease liabilities-non-current liabilities
4.91%16.04M
-1.81%15.66M
14.04%15.29M
20.68%15.94M
2.89%13.4M
835.03%13.21M
765.51%13.03M
-12.78%1.41M
--1.51M
-97.04%1.62M
Deferred tax liability
-71.52%2.42M
-73.47%1.77M
67.13%8.49M
90.85%6.67M
--5.08M
--3.5M
----
----
--27K
--28K
Deferred income-non-current liabilities
36.19%16.46M
55.20%16.99M
-3.02%12.09M
-20.06%10.95M
142.81%12.46M
157.88%13.7M
39.49%5.13M
54.30%5.31M
--3.68M
7.09%3.44M
Total non-current liabilities
-2.64%34.91M
2.54%34.42M
15.88%35.86M
10.40%33.57M
70.40%30.94M
352.17%30.4M
248.46%18.16M
32.10%6.72M
--5.21M
-91.22%5.09M
Total liabilities
-19.72%274.72M
28.55%351.25M
67.67%342.21M
48.80%273.23M
117.31%204.1M
93.22%183.63M
27.19%93.92M
47.82%95.04M
--73.84M
-36.17%64.29M
Total assets less total liabilities
6.11%1.69B
8.00%1.68B
8.37%1.59B
8.08%1.55B
12.82%1.47B
8.31%1.44B
2.21%1.3B
7.56%1.33B
--1.28B
223.70%1.23B
Total equity and non-current liabilities
5.92%1.73B
7.88%1.71B
8.52%1.63B
8.13%1.59B
13.61%1.5B
10.04%1.47B
3.21%1.32B
7.66%1.33B
--1.28B
182.12%1.24B
Equity
Share capital
4.76%176M
1.79%171M
0.00%168M
1.20%168M
1.20%168M
0.00%166M
0.00%166M
0.00%166M
--166M
176.67%166M
Reserve
8.38%1.5B
9.99%1.48B
9.95%1.39B
9.32%1.34B
13.76%1.26B
7.88%1.23B
1.77%1.11B
8.50%1.14B
--1.09B
236.63%1.05B
Shareholders' Equity
7.99%1.68B
9.08%1.65B
8.78%1.55B
8.35%1.51B
12.12%1.43B
6.88%1.4B
1.54%1.27B
7.34%1.31B
--1.26B
226.96%1.22B
Non-controlling interest
-68.27%12.45M
-30.77%29.14M
-5.90%39.24M
-0.85%42.09M
43.20%41.7M
92.96%42.45M
43.79%29.12M
22.85%22M
--20.25M
92.85%17.91M
Total equity
6.11%1.69B
8.00%1.68B
8.37%1.59B
8.08%1.55B
12.82%1.47B
8.31%1.44B
2.21%1.3B
7.56%1.33B
--1.28B
223.70%1.23B
Total equity and total liabilities
1.54%1.97B
11.07%2.03B
15.59%1.94B
12.69%1.83B
19.84%1.67B
13.98%1.62B
3.58%1.4B
9.56%1.42B
--1.35B
169.39%1.3B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
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
--
KPMG Huazhen Certified Public Accountants (Special General Partnership)
--
Lixin Certified Public Accountants (Special General Partnership)
--
Lixin Certified Public Accountants (Special General Partnership)
--
Lixin Certified Public Accountants (Special General Partnership)
--
Lixin Certified Public Accountants (Special General Partnership)
(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
Assets
Current assets
Inventory -0.34%153.69M-16.53%128.77M21.00%154.21M66.80%154.28M52.40%127.44M67.54%92.49M60.61%83.62M27.14%55.21M--52.07M11.29%43.42M
Accounts receivable 19.43%79.13M57.41%125.19M0.69%66.25M-3.92%79.53M132.51%65.8M165.73%82.77M73.02%28.3M108.51%31.15M--16.36M110.85%14.94M
Cash and equivalents -27.84%330.64M-18.25%423.67M-9.76%458.22M-19.09%518.27M-29.45%507.78M-26.38%640.55M-32.09%719.72M-16.07%870.13M--1.06B247.72%1.04B
Fixed time deposit-current assets 249.74%34.97M10.10%11.01M-87.50%10M--10M--80M--------------------
Financial assets at fair value-current assets ---------------------99.82%132K10.53%18.03M233.86%71.45M--16.31M--21.4M
Other current assets 23.49%48.8M-10.58%35.65M-35.70%39.52M-6.17%39.87M99.89%61.46M110.58%42.49M101.01%30.75M183.49%20.18M--15.3M111.44%7.12M
Total current assets -11.12%647.23M-9.68%724.29M-13.56%728.2M-6.58%801.94M-4.31%842.48M-18.10%858.44M-24.10%880.42M-6.72%1.05B--1.16B223.24%1.12B
Non-current assets
Property, plant and equipment 6.43%802.15M24.53%789.08M57.18%753.71M38.31%633.67M61.95%479.51M129.94%458.15M132.46%296.08M73.91%199.25M--127.37M92.42%114.57M
Fixed time deposit-non-current assets 1.06%10.11M--31.45M0.00%10M------10M--------------------
Financial assets at fair value-non-current assets 10.89%185.16M7.74%175.02M18.55%166.97M24.80%162.45M93.41%140.85M165.34%130.17M7,182.50%72.83M--49.06M--1M----
Intangible assets 57.51%143.95M86.46%130.37M112.38%91.39M150.82%69.92M375.90%43.03M266.66%27.88M60.35%9.04M28.89%7.6M--5.64M931.29%5.9M
Deferred tax assets -18.85%17.4M17.38%17.65M112.33%21.44M58.98%15.04M1,528.23%10.1M339.29%9.46M-65.03%620K16.57%2.15M--1.77M3.53%1.85M
Other illiquid assets -1.11%52.52M85.27%52.56M65.10%53.11M-7.37%28.37M11.02%32.17M96.55%30.63M184.35%28.98M95.31%15.58M--10.19M77.84%7.98M
Total non-current assets 9.18%1.32B27.30%1.31B45.11%1.21B34.37%1.03B60.96%832.27M103.73%763.11M173.16%517.06M114.14%374.57M--189.29M30.14%174.92M
Total assets 1.54%1.97B11.07%2.03B15.59%1.94B12.69%1.83B19.84%1.67B13.98%1.62B3.58%1.4B9.56%1.42B--1.35B169.39%1.3B
Liabilities
Current liabilities
Accounts payable -1.60%148.45M38.30%176.17M74.47%150.86M21.66%127.39M58.33%86.47M61.05%104.71M14.97%54.61M52.66%65.02M--47.5M77.09%42.59M
Tax payable -30.77%7.5M77.96%22.42M-20.74%10.83M3.12%12.6M247.41%13.67M49.34%12.22M-56.86%3.93M31.22%8.18M--9.12M394.37%6.23M
Bank loans and overdrafts -46.34%51.54M142.09%79.12M--96.06M--32.68M------------------------
Derivative financial instrument-current liabilities ------491K--------------------------------
Financial lease liabilities-current liabilities ------------4.69%201K1.03%196K-40.00%192K-53.25%194K55.34%320K--415K-96.18%206K
Deferred income-current liabilities 3.32%1.62M15.24%1.55M363.31%1.57M251.17%1.35M-17.96%338K-14.70%383K-24.82%412K-9.11%449K--548K0.00%494K
Total current liabilities -21.72%239.81M32.20%316.83M76.92%306.35M56.42%239.67M128.55%173.16M73.50%153.22M10.39%75.76M49.17%88.31M--68.63M38.54%59.2M
Net current assets -3.42%407.43M-27.53%407.46M-36.97%421.85M-20.27%562.28M-16.82%669.32M-26.53%705.22M-26.27%804.66M-9.83%959.8M--1.09B249.12%1.06B
Total assets less current liabilities 5.92%1.73B7.88%1.71B8.52%1.63B8.13%1.59B13.61%1.5B10.04%1.47B3.21%1.32B7.66%1.33B--1.28B182.12%1.24B
Non-current liabilities
Financial lease liabilities-non-current liabilities 4.91%16.04M-1.81%15.66M14.04%15.29M20.68%15.94M2.89%13.4M835.03%13.21M765.51%13.03M-12.78%1.41M--1.51M-97.04%1.62M
Deferred tax liability -71.52%2.42M-73.47%1.77M67.13%8.49M90.85%6.67M--5.08M--3.5M----------27K--28K
Deferred income-non-current liabilities 36.19%16.46M55.20%16.99M-3.02%12.09M-20.06%10.95M142.81%12.46M157.88%13.7M39.49%5.13M54.30%5.31M--3.68M7.09%3.44M
Total non-current liabilities -2.64%34.91M2.54%34.42M15.88%35.86M10.40%33.57M70.40%30.94M352.17%30.4M248.46%18.16M32.10%6.72M--5.21M-91.22%5.09M
Total liabilities -19.72%274.72M28.55%351.25M67.67%342.21M48.80%273.23M117.31%204.1M93.22%183.63M27.19%93.92M47.82%95.04M--73.84M-36.17%64.29M
Total assets less total liabilities 6.11%1.69B8.00%1.68B8.37%1.59B8.08%1.55B12.82%1.47B8.31%1.44B2.21%1.3B7.56%1.33B--1.28B223.70%1.23B
Total equity and non-current liabilities 5.92%1.73B7.88%1.71B8.52%1.63B8.13%1.59B13.61%1.5B10.04%1.47B3.21%1.32B7.66%1.33B--1.28B182.12%1.24B
Equity
Share capital 4.76%176M1.79%171M0.00%168M1.20%168M1.20%168M0.00%166M0.00%166M0.00%166M--166M176.67%166M
Reserve 8.38%1.5B9.99%1.48B9.95%1.39B9.32%1.34B13.76%1.26B7.88%1.23B1.77%1.11B8.50%1.14B--1.09B236.63%1.05B
Shareholders' Equity 7.99%1.68B9.08%1.65B8.78%1.55B8.35%1.51B12.12%1.43B6.88%1.4B1.54%1.27B7.34%1.31B--1.26B226.96%1.22B
Non-controlling interest -68.27%12.45M-30.77%29.14M-5.90%39.24M-0.85%42.09M43.20%41.7M92.96%42.45M43.79%29.12M22.85%22M--20.25M92.85%17.91M
Total equity 6.11%1.69B8.00%1.68B8.37%1.59B8.08%1.55B12.82%1.47B8.31%1.44B2.21%1.3B7.56%1.33B--1.28B223.70%1.23B
Total equity and total liabilities 1.54%1.97B11.07%2.03B15.59%1.94B12.69%1.83B19.84%1.67B13.98%1.62B3.58%1.4B9.56%1.42B--1.35B169.39%1.3B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --KPMG Huazhen Certified Public Accountants (Special General Partnership)--Lixin Certified Public Accountants (Special General Partnership)--Lixin Certified Public Accountants (Special General Partnership)--Lixin Certified Public Accountants (Special General Partnership)--Lixin 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.

Analysis

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Price Target

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