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02099 CHINAGOLDINTL

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  • 39.050
  • -1.500-3.70%
Market Closed Dec 13 16:08 CST
15.48BMarket Cap-88.75P/E (TTM)

CHINAGOLDINTL 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
Cash flow from operating activities
Earning before tax
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-106.78%-18.67M
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-11.67%275.26M
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Profit adjustment
Interest (income) - adjustment
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3.88%-4.5M
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-27.94%-4.69M
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Dividend (income)- adjustment
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26.09%-1.99M
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-166.83%-2.7M
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Impairment and provisions:
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61.17%3.5M
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4,834.09%2.17M
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-Impairmen of inventory (reversal)
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-109.05%-41K
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--453K
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-Impairment of trade receivables (reversal)
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-2.91%1.67M
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3,804.55%1.72M
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-Other impairments and provisions
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--1.87M
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----
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Asset sale loss (gain):
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---23K
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-Loss (gain) on sale of property, machinery and equipment
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---23K
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----
----
----
Depreciation and amortization:
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-41.52%121.67M
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18.34%208.04M
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-Amortization of intangible assets
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-74.86%10.41M
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----
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10.84%41.42M
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----
Financial expense
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----
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-18.75%24.97M
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----
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-15.35%30.74M
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----
Unrealized exchange loss (gain)
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----
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-80.76%3.79M
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----
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266.02%19.7M
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----
Special items
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98.80%-220K
----
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-1,428.18%-18.28M
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----
Operating profit before the change of operating capital
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-74.81%128.52M
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----
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0.79%510.26M
----
----
Change of operating capital
Inventory (increase) decrease
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----
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-71.02%820K
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----
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548.49%2.83M
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----
Accounts receivable (increase)decrease
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-178.08%-10.11M
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----
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382.46%12.95M
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----
Accounts payable increase (decrease)
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-266.10%-39.17M
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45.98%-10.7M
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----
prepayments (increase)decrease
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20.44%383K
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-85.04%318K
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Special items for working capital changes
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-99.57%-6.05M
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-140.43%-3.03M
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Cash  from business operations
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-85.49%74.4M
----
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4.44%512.63M
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----
Other taxs
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-13.34%-41.5M
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12.08%-36.61M
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----
Interest paid - operating
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13.04%-20.98M
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21.88%-24.12M
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Special items of business
985.36%244.25M
62.60%88.09M
-94.36%7.2M
-124.42%-10.36M
-93.72%22.5M
-79.81%54.18M
-20.56%127.71M
-340.46%-4.62M
-9.06%358.22M
-2.91%268.38M
Net cash from operations
985.36%244.25M
62.60%88.09M
-94.36%7.2M
-99.65%1.57M
-93.72%22.5M
-79.81%54.18M
-20.56%127.71M
7.19%447.28M
-9.06%358.22M
-2.91%268.38M
Cash flow from investment activities
Interest received - investment
-53.45%1.92M
-72.09%916K
-72.28%449K
-3.88%4.5M
19.90%4.12M
46.06%3.28M
65.31%1.62M
27.94%4.69M
33.32%3.43M
120.73%2.25M
Dividend received - investment
5.17%2.1M
----
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-26.09%1.99M
-26.09%1.99M
----
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166.83%2.7M
166.83%2.7M
----
Restricted cash (increase) decrease
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----
----
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--1.11M
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----
----
Decrease in deposits (increase)
---77.37M
---14.03M
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----
----
----
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135.98%4.14M
279.90%4.21M
Sale of fixed assets
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--66K
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----
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Purchase of fixed assets
31.97%-26.27M
26.92%-21.96M
-71.10%-16.86M
-162.61%-59.35M
-63.73%-38.62M
-121.99%-30.05M
17.96%-9.85M
84.27%-22.6M
82.16%-23.59M
86.44%-13.54M
Purchase of intangible assets
-1,622.29%-36.93M
---19.54M
---18.86M
90.78%-2.12M
90.85%-2.14M
----
----
-120.24%-22.98M
-1,768.98%-23.44M
---21.57M
Cash on investment
---6.1M
---6.1M
---6.1M
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----
----
----
----
----
----
Other items in the investment business
----
----
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-1,466.65%-66.39M
---66.77M
---64.77M
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--4.86M
----
----
Net cash from investment operations
-40.65%-142.65M
33.67%-60.72M
-480.41%-41.36M
-263.86%-121.3M
-175.96%-101.42M
-219.44%-91.54M
42.23%-7.13M
77.88%-33.34M
74.01%-36.75M
71.68%-28.66M
Net cash before financing
228.74%101.6M
173.26%27.38M
-128.33%-34.16M
-128.92%-119.73M
-124.55%-78.92M
-115.59%-37.37M
-18.76%120.59M
55.29%413.94M
27.31%321.47M
36.79%239.73M
Cash flow from financing activities
New borrowing
-48.99%142.77M
-58.03%117.48M
--40.03M
--344.66M
--279.89M
--279.89M
----
----
----
----
Refund
69.95%-110.49M
77.16%-83.78M
----
-372.97%-401.52M
-1,336.12%-367.69M
-1,332.72%-366.82M
----
67.17%-84.89M
82.41%-25.6M
70.92%-25.6M
Dividends paid - financing
99.81%-276K
99.81%-276K
35.51%-276K
-48.07%-147.76M
-48.46%-147.76M
-48.46%-147.76M
2.73%-428K
-104.37%-99.79M
-103.84%-99.53M
-103.84%-99.53M
Net cash from financing operations
113.54%31.92M
114.22%33.37M
8,811.84%39.73M
-10.75%-205.23M
-88.18%-235.65M
-87.51%-234.75M
2.98%-456K
39.74%-185.31M
35.60%-125.22M
8.57%-125.19M
Effect of rate
88.63%-1.6M
97.70%-389K
-103.01%-134K
24.67%-6.26M
-206.63%-14.06M
-256.09%-16.89M
323.57%4.46M
-242.70%-8.3M
-424.03%-4.59M
-317.52%-4.74M
Net Cash
142.45%133.52M
122.32%60.75M
-95.37%5.57M
-242.13%-324.96M
-260.29%-314.57M
-337.59%-272.12M
-18.81%120.13M
657.92%228.63M
238.00%196.25M
198.89%114.53M
Begining period cash
-77.31%97.24M
-77.31%97.24M
-77.31%97.24M
105.86%428.45M
105.86%428.45M
105.86%428.45M
105.86%428.45M
-14.45%208.13M
-14.45%208.13M
-14.45%208.13M
Cash at the end
129.56%229.16M
13.01%157.6M
-81.44%102.67M
-77.31%97.24M
-75.03%99.83M
-56.14%139.45M
56.18%553.04M
105.86%428.45M
32.05%399.79M
12.03%317.92M
Cash balance analysis
Cash and bank balance
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13.01%157.6M
-81.44%102.67M
----
----
-56.14%139.45M
56.18%553.04M
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32.05%399.79M
12.03%317.92M
Cash and cash equivalent balance
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13.01%157.6M
-81.44%102.67M
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-56.14%139.45M
56.18%553.04M
----
32.05%399.79M
12.03%317.92M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
Auditor
--
--
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
--
--
Deloitte Guan Huang Chen Fang Certified Public Accountants
--
--
(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
Cash flow from operating activities
Earning before tax -------------106.78%-18.67M-------------11.67%275.26M--------
Profit adjustment
Interest (income) - adjustment ------------3.88%-4.5M-------------27.94%-4.69M--------
Dividend (income)- adjustment ------------26.09%-1.99M-------------166.83%-2.7M--------
Impairment and provisions: ------------61.17%3.5M------------4,834.09%2.17M--------
-Impairmen of inventory (reversal) -------------109.05%-41K--------------453K--------
-Impairment of trade receivables (reversal) -------------2.91%1.67M------------3,804.55%1.72M--------
-Other impairments and provisions --------------1.87M------------------------
Asset sale loss (gain): ---------------23K------------------------
-Loss (gain) on sale of property, machinery and equipment ---------------23K------------------------
Depreciation and amortization: -------------41.52%121.67M------------18.34%208.04M--------
-Amortization of intangible assets -------------74.86%10.41M------------10.84%41.42M--------
Financial expense -------------18.75%24.97M-------------15.35%30.74M--------
Unrealized exchange loss (gain) -------------80.76%3.79M------------266.02%19.7M--------
Special items ------------98.80%-220K-------------1,428.18%-18.28M--------
Operating profit before the change of operating capital -------------74.81%128.52M------------0.79%510.26M--------
Change of operating capital
Inventory (increase) decrease -------------71.02%820K------------548.49%2.83M--------
Accounts receivable (increase)decrease -------------178.08%-10.11M------------382.46%12.95M--------
Accounts payable increase (decrease) -------------266.10%-39.17M------------45.98%-10.7M--------
prepayments (increase)decrease ------------20.44%383K-------------85.04%318K--------
Special items for working capital changes -------------99.57%-6.05M-------------140.43%-3.03M--------
Cash  from business operations -------------85.49%74.4M------------4.44%512.63M--------
Other taxs -------------13.34%-41.5M------------12.08%-36.61M--------
Interest paid - operating ------------13.04%-20.98M------------21.88%-24.12M--------
Special items of business 985.36%244.25M62.60%88.09M-94.36%7.2M-124.42%-10.36M-93.72%22.5M-79.81%54.18M-20.56%127.71M-340.46%-4.62M-9.06%358.22M-2.91%268.38M
Net cash from operations 985.36%244.25M62.60%88.09M-94.36%7.2M-99.65%1.57M-93.72%22.5M-79.81%54.18M-20.56%127.71M7.19%447.28M-9.06%358.22M-2.91%268.38M
Cash flow from investment activities
Interest received - investment -53.45%1.92M-72.09%916K-72.28%449K-3.88%4.5M19.90%4.12M46.06%3.28M65.31%1.62M27.94%4.69M33.32%3.43M120.73%2.25M
Dividend received - investment 5.17%2.1M---------26.09%1.99M-26.09%1.99M--------166.83%2.7M166.83%2.7M----
Restricted cash (increase) decrease --------------------------1.11M------------
Decrease in deposits (increase) ---77.37M---14.03M------------------------135.98%4.14M279.90%4.21M
Sale of fixed assets --------------66K------------------------
Purchase of fixed assets 31.97%-26.27M26.92%-21.96M-71.10%-16.86M-162.61%-59.35M-63.73%-38.62M-121.99%-30.05M17.96%-9.85M84.27%-22.6M82.16%-23.59M86.44%-13.54M
Purchase of intangible assets -1,622.29%-36.93M---19.54M---18.86M90.78%-2.12M90.85%-2.14M---------120.24%-22.98M-1,768.98%-23.44M---21.57M
Cash on investment ---6.1M---6.1M---6.1M----------------------------
Other items in the investment business -------------1,466.65%-66.39M---66.77M---64.77M------4.86M--------
Net cash from investment operations -40.65%-142.65M33.67%-60.72M-480.41%-41.36M-263.86%-121.3M-175.96%-101.42M-219.44%-91.54M42.23%-7.13M77.88%-33.34M74.01%-36.75M71.68%-28.66M
Net cash before financing 228.74%101.6M173.26%27.38M-128.33%-34.16M-128.92%-119.73M-124.55%-78.92M-115.59%-37.37M-18.76%120.59M55.29%413.94M27.31%321.47M36.79%239.73M
Cash flow from financing activities
New borrowing -48.99%142.77M-58.03%117.48M--40.03M--344.66M--279.89M--279.89M----------------
Refund 69.95%-110.49M77.16%-83.78M-----372.97%-401.52M-1,336.12%-367.69M-1,332.72%-366.82M----67.17%-84.89M82.41%-25.6M70.92%-25.6M
Dividends paid - financing 99.81%-276K99.81%-276K35.51%-276K-48.07%-147.76M-48.46%-147.76M-48.46%-147.76M2.73%-428K-104.37%-99.79M-103.84%-99.53M-103.84%-99.53M
Net cash from financing operations 113.54%31.92M114.22%33.37M8,811.84%39.73M-10.75%-205.23M-88.18%-235.65M-87.51%-234.75M2.98%-456K39.74%-185.31M35.60%-125.22M8.57%-125.19M
Effect of rate 88.63%-1.6M97.70%-389K-103.01%-134K24.67%-6.26M-206.63%-14.06M-256.09%-16.89M323.57%4.46M-242.70%-8.3M-424.03%-4.59M-317.52%-4.74M
Net Cash 142.45%133.52M122.32%60.75M-95.37%5.57M-242.13%-324.96M-260.29%-314.57M-337.59%-272.12M-18.81%120.13M657.92%228.63M238.00%196.25M198.89%114.53M
Begining period cash -77.31%97.24M-77.31%97.24M-77.31%97.24M105.86%428.45M105.86%428.45M105.86%428.45M105.86%428.45M-14.45%208.13M-14.45%208.13M-14.45%208.13M
Cash at the end 129.56%229.16M13.01%157.6M-81.44%102.67M-77.31%97.24M-75.03%99.83M-56.14%139.45M56.18%553.04M105.86%428.45M32.05%399.79M12.03%317.92M
Cash balance analysis
Cash and bank balance ----13.01%157.6M-81.44%102.67M---------56.14%139.45M56.18%553.04M----32.05%399.79M12.03%317.92M
Cash and cash equivalent balance ----13.01%157.6M-81.44%102.67M---------56.14%139.45M56.18%553.04M----32.05%399.79M12.03%317.92M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ------Unqualified Opinion------Unqualified Opinion----
Auditor ------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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