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SUNMOW (03050)

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  • 1.010
  • 0.0000.00%
15min DelayTrading Mar 12 11:16 CST
236.28MMarket Cap38.85P/E (TTM)

03050 SUNMOW

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q2)Jun 30, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-64.79%8.53M
-64.79%8.53M
-4.34%23.33M
69.57%24.23M
69.57%24.23M
28.37%24.38M
17.10%14.29M
--14.29M
147.45%18.99M
64.53%12.2M
-Cash and cash equivalents
-71.66%6.23M
-71.66%6.23M
-3.40%21.04M
53.89%21.99M
53.89%21.99M
40.24%21.78M
17.10%14.29M
--14.29M
200.22%15.53M
64.53%12.2M
-Including:Cash
-71.66%6.23M
-71.66%6.23M
-3.40%21.04M
53.89%21.99M
53.89%21.99M
40.24%21.78M
40.59%14.29M
--14.29M
200.22%15.53M
3,108.31%10.16M
-Including:Cash equivalents
----
----
----
----
----
----
----
----
----
-71.28%2.04M
-Short term investments
2.59%2.3M
2.59%2.3M
-12.13%2.29M
--2.24M
--2.24M
-24.82%2.6M
----
----
38.39%3.46M
----
Receivables
28.90%103.49M
28.90%103.49M
19.91%76.75M
48.71%80.28M
48.71%80.28M
26.05%64.01M
10.59%53.99M
--53.99M
-16.33%50.78M
-23.54%48.82M
-Accounts receivable
4.59%21.05M
4.59%21.05M
-20.75%17.9M
16.62%20.12M
16.62%20.12M
96.19%22.59M
14.50%17.25M
--17.25M
-60.37%11.51M
-52.26%15.07M
-Gross accounts receivable
----
----
----
----
----
----
17.72%18.22M
--18.22M
----
-51.75%15.48M
-Bad debt provision
----
----
----
----
----
----
-136.27%-966.95K
---966.95K
----
20.56%-409.26K
-Other receivables
37.03%82.44M
37.03%82.44M
42.10%58.85M
63.78%60.16M
63.78%60.16M
5.48%41.42M
8.84%36.73M
--36.73M
24.13%39.27M
4.55%33.75M
Inventory
153.51%51.59M
153.51%51.59M
-45.27%14.89M
-42.93%20.35M
-42.93%20.35M
59.91%27.21M
227.05%35.66M
--35.66M
6,317.94%17.01M
3,252.15%10.9M
Prepaid assets
----
----
----
----
----
----
36.94%1.46M
--1.46M
----
23.49%1.07M
Restricted cash
----
----
----
----
----
----
386.05%8.3M
--8.3M
----
15.07%1.71M
Tax assets-Current
----
----
----
----
----
----
--0
--0
--35.4K
52.18%34.41K
Other current assets
--4K
--4K
----
----
----
----
----
----
----
----
Total current assets
31.03%163.62M
31.03%163.62M
-0.54%114.97M
9.81%124.86M
9.81%124.86M
33.14%115.6M
52.14%113.7M
--113.7M
26.51%86.82M
1.04%74.74M
Non current assets
Net PPE
18.49%12.24M
18.49%12.24M
22.72%12.22M
13.86%10.33M
13.86%10.33M
31.34%9.96M
39.54%9.07M
--9.07M
21.96%7.58M
15.16%6.5M
-Gross PP&E
----
----
----
----
----
----
9.85%28.58M
--28.58M
----
9.06%26.02M
-Accumulated depreciation
----
----
----
----
----
----
0.04%-19.51M
---19.51M
----
-7.18%-19.52M
Investment properties
-18.53%20.05M
-18.53%20.05M
-2.74%24.55M
0.31%24.61M
0.31%24.61M
3.43%25.25M
-0.22%24.54M
--24.54M
-35.64%24.41M
3.58%24.59M
Total investment
----
----
----
----
----
----
--0
--0
----
--0
-Long-term equity investment
----
----
----
----
----
----
--0
--0
----
--0
Deferred tax assets-non current
--1.29M
--1.29M
----
----
----
----
----
----
----
--0
Total non current assets
-3.90%33.58M
-3.90%33.58M
4.46%36.78M
3.96%34.94M
3.96%34.94M
10.05%35.21M
8.09%33.61M
--33.61M
-27.89%31.99M
5.02%31.09M
Total assets
23.40%197.19M
23.40%197.19M
0.63%151.75M
8.48%159.8M
8.48%159.8M
26.92%150.8M
39.20%147.31M
--147.31M
5.15%118.82M
2.18%105.83M
Liabilities
Current liabilities
Financial liabilities
51.98%13.98M
51.98%13.98M
112.84%18.41M
39.32%9.2M
39.32%9.2M
20.14%8.65M
-12.14%6.6M
--6.6M
-22.92%7.2M
-32.60%7.52M
-Current debt and capital lease obligation
51.98%13.98M
51.98%13.98M
112.84%18.41M
39.32%9.2M
39.32%9.2M
20.14%8.65M
-12.14%6.6M
--6.6M
-22.92%7.2M
-32.60%7.52M
-Including:Current debt
59.90%12.8M
59.90%12.8M
127.08%17.21M
34.78%8.01M
34.78%8.01M
18.73%7.58M
-1.10%5.94M
--5.94M
-16.13%6.38M
-35.44%6.01M
-Including:Current capital Lease obligation
-1.08%1.18M
-1.08%1.18M
12.00%1.2M
79.98%1.19M
79.98%1.19M
31.14%1.07M
-56.06%663.26K
--663.26K
-52.81%816.18K
-18.33%1.51M
Payables
32.81%81.2M
32.81%81.2M
10.71%53.68M
32.43%61.14M
32.43%61.14M
32.56%48.49M
32.97%46.17M
--46.17M
-27.84%36.58M
-17.44%34.72M
-accounts payable
28.25%73.14M
28.25%73.14M
13.96%50.1M
30.12%57.03M
30.12%57.03M
38.21%43.96M
38.41%43.83M
--43.83M
-6.27%31.81M
-16.75%31.66M
-Total tax payable
-1.26%871.66K
-1.26%871.66K
-57.02%696.87K
-17.51%882.83K
-17.51%882.83K
-3.64%1.62M
14.33%1.07M
--1.07M
83.46%1.68M
29.99%936.12K
-Dividends payable
--3.86M
--3.86M
--0
----
----
----
----
----
----
----
-Other payable
3.00%3.33M
3.00%3.33M
-0.75%2.88M
154.24%3.23M
154.24%3.23M
-5.96%2.9M
-40.10%1.27M
--1.27M
-80.50%3.09M
-35.82%2.12M
Current provisions
--198.06K
--198.06K
----
----
----
----
----
----
----
----
Accrued and deferred income
71.36%35.81M
71.36%35.81M
-65.48%12.02M
-48.64%20.9M
-48.64%20.9M
65.53%34.81M
195.05%40.69M
--40.69M
1,257.94%21.03M
2,379.26%13.79M
Other current liabilities
1,601.34%5.52M
1,601.34%5.52M
--324.35K
--324.35K
--324.35K
----
----
----
----
----
Current liabilities
49.30%136.71M
49.30%136.71M
-8.18%84.43M
-2.03%91.56M
-2.03%91.56M
41.88%91.95M
66.81%93.46M
--93.46M
5.25%64.81M
4.21%56.03M
Non current liabilities
Non current financial liabilities
-60.27%1.63M
-60.27%1.63M
-41.77%2.77M
-3.46%4.1M
-3.46%4.1M
15.09%4.76M
-9.97%4.25M
--4.25M
-26.97%4.14M
-33.27%4.72M
-Long term debt and capital lease obligation
-60.27%1.63M
-60.27%1.63M
-41.77%2.77M
-3.46%4.1M
-3.46%4.1M
15.09%4.76M
-9.97%4.25M
--4.25M
-26.97%4.14M
-33.27%4.72M
-Including:Long term debt
-50.39%1.28M
-50.39%1.28M
-39.66%1.85M
-28.79%2.58M
-28.79%2.58M
-23.18%3.07M
-20.09%3.63M
--3.63M
-18.86%3.99M
-17.45%4.54M
-Including:Long term capital lease obligation
-77.13%346.47K
-77.13%346.47K
-45.60%921.54K
145.46%1.51M
145.46%1.51M
1,068.33%1.69M
251.43%617.2K
--617.2K
-80.52%144.99K
-88.79%175.63K
Non current deferred liabilities
-33.88%8.2K
-33.88%8.2K
-8.81%12.96K
-0.42%12.4K
-0.42%12.4K
-92.14%14.21K
-92.48%12.45K
--12.45K
2,180.37%180.72K
--165.54K
Preferred securities outside stock equity
--0
--0
--4.33M
--3.61M
--3.61M
----
----
----
----
----
Total non current liabilities
-78.81%1.64M
-78.81%1.64M
49.02%7.11M
81.37%7.72M
81.37%7.72M
10.60%4.77M
-12.77%4.26M
--4.26M
-23.88%4.32M
-30.93%4.88M
Total liabilities
39.34%138.34M
39.34%138.34M
-5.36%91.54M
1.60%99.29M
1.60%99.29M
39.93%96.72M
60.44%97.72M
--97.72M
2.79%69.13M
0.13%60.91M
Shareholders'equity
Share capital
0.00%38.25M
0.00%38.25M
0.00%38.25M
0.00%38.25M
0.00%38.25M
0.00%38.25M
0.00%38.25M
--38.25M
0.00%38.25M
0.00%38.25M
-common stock
0.00%38.25M
0.00%38.25M
0.00%38.25M
0.00%38.25M
0.00%38.25M
0.00%38.25M
0.00%38.25M
--38.25M
0.00%38.25M
0.00%38.25M
Retained earnings
-4.05%39.55M
-4.05%39.55M
6.63%40.91M
21.67%41.22M
21.67%41.22M
12.91%38.37M
16.00%33.88M
--33.88M
13.14%33.98M
8.07%29.21M
Other reserves
0.00%-22.54M
0.00%-22.54M
0.00%-22.54M
0.00%-22.54M
0.00%-22.54M
0.00%-22.54M
0.00%-22.54M
---22.54M
0.00%-22.54M
0.00%-22.54M
Other equity interest
-0.01%3.58M
-0.01%3.58M
--3.58M
--3.58M
--3.58M
----
----
----
----
----
Total stockholders'equity
-2.76%58.85M
-2.76%58.85M
11.33%60.21M
22.03%60.52M
22.03%60.52M
8.83%54.08M
10.40%49.59M
--49.59M
8.63%49.69M
5.10%44.92M
Total equity
-2.76%58.85M
-2.76%58.85M
11.33%60.21M
22.03%60.52M
22.03%60.52M
8.83%54.08M
10.40%49.59M
--49.59M
8.63%49.69M
5.10%44.92M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q2)Jun 30, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -64.79%8.53M-64.79%8.53M-4.34%23.33M69.57%24.23M69.57%24.23M28.37%24.38M17.10%14.29M--14.29M147.45%18.99M64.53%12.2M
-Cash and cash equivalents -71.66%6.23M-71.66%6.23M-3.40%21.04M53.89%21.99M53.89%21.99M40.24%21.78M17.10%14.29M--14.29M200.22%15.53M64.53%12.2M
-Including:Cash -71.66%6.23M-71.66%6.23M-3.40%21.04M53.89%21.99M53.89%21.99M40.24%21.78M40.59%14.29M--14.29M200.22%15.53M3,108.31%10.16M
-Including:Cash equivalents -------------------------------------71.28%2.04M
-Short term investments 2.59%2.3M2.59%2.3M-12.13%2.29M--2.24M--2.24M-24.82%2.6M--------38.39%3.46M----
Receivables 28.90%103.49M28.90%103.49M19.91%76.75M48.71%80.28M48.71%80.28M26.05%64.01M10.59%53.99M--53.99M-16.33%50.78M-23.54%48.82M
-Accounts receivable 4.59%21.05M4.59%21.05M-20.75%17.9M16.62%20.12M16.62%20.12M96.19%22.59M14.50%17.25M--17.25M-60.37%11.51M-52.26%15.07M
-Gross accounts receivable ------------------------17.72%18.22M--18.22M-----51.75%15.48M
-Bad debt provision -------------------------136.27%-966.95K---966.95K----20.56%-409.26K
-Other receivables 37.03%82.44M37.03%82.44M42.10%58.85M63.78%60.16M63.78%60.16M5.48%41.42M8.84%36.73M--36.73M24.13%39.27M4.55%33.75M
Inventory 153.51%51.59M153.51%51.59M-45.27%14.89M-42.93%20.35M-42.93%20.35M59.91%27.21M227.05%35.66M--35.66M6,317.94%17.01M3,252.15%10.9M
Prepaid assets ------------------------36.94%1.46M--1.46M----23.49%1.07M
Restricted cash ------------------------386.05%8.3M--8.3M----15.07%1.71M
Tax assets-Current --------------------------0--0--35.4K52.18%34.41K
Other current assets --4K--4K--------------------------------
Total current assets 31.03%163.62M31.03%163.62M-0.54%114.97M9.81%124.86M9.81%124.86M33.14%115.6M52.14%113.7M--113.7M26.51%86.82M1.04%74.74M
Non current assets
Net PPE 18.49%12.24M18.49%12.24M22.72%12.22M13.86%10.33M13.86%10.33M31.34%9.96M39.54%9.07M--9.07M21.96%7.58M15.16%6.5M
-Gross PP&E ------------------------9.85%28.58M--28.58M----9.06%26.02M
-Accumulated depreciation ------------------------0.04%-19.51M---19.51M-----7.18%-19.52M
Investment properties -18.53%20.05M-18.53%20.05M-2.74%24.55M0.31%24.61M0.31%24.61M3.43%25.25M-0.22%24.54M--24.54M-35.64%24.41M3.58%24.59M
Total investment --------------------------0--0------0
-Long-term equity investment --------------------------0--0------0
Deferred tax assets-non current --1.29M--1.29M------------------------------0
Total non current assets -3.90%33.58M-3.90%33.58M4.46%36.78M3.96%34.94M3.96%34.94M10.05%35.21M8.09%33.61M--33.61M-27.89%31.99M5.02%31.09M
Total assets 23.40%197.19M23.40%197.19M0.63%151.75M8.48%159.8M8.48%159.8M26.92%150.8M39.20%147.31M--147.31M5.15%118.82M2.18%105.83M
Liabilities
Current liabilities
Financial liabilities 51.98%13.98M51.98%13.98M112.84%18.41M39.32%9.2M39.32%9.2M20.14%8.65M-12.14%6.6M--6.6M-22.92%7.2M-32.60%7.52M
-Current debt and capital lease obligation 51.98%13.98M51.98%13.98M112.84%18.41M39.32%9.2M39.32%9.2M20.14%8.65M-12.14%6.6M--6.6M-22.92%7.2M-32.60%7.52M
-Including:Current debt 59.90%12.8M59.90%12.8M127.08%17.21M34.78%8.01M34.78%8.01M18.73%7.58M-1.10%5.94M--5.94M-16.13%6.38M-35.44%6.01M
-Including:Current capital Lease obligation -1.08%1.18M-1.08%1.18M12.00%1.2M79.98%1.19M79.98%1.19M31.14%1.07M-56.06%663.26K--663.26K-52.81%816.18K-18.33%1.51M
Payables 32.81%81.2M32.81%81.2M10.71%53.68M32.43%61.14M32.43%61.14M32.56%48.49M32.97%46.17M--46.17M-27.84%36.58M-17.44%34.72M
-accounts payable 28.25%73.14M28.25%73.14M13.96%50.1M30.12%57.03M30.12%57.03M38.21%43.96M38.41%43.83M--43.83M-6.27%31.81M-16.75%31.66M
-Total tax payable -1.26%871.66K-1.26%871.66K-57.02%696.87K-17.51%882.83K-17.51%882.83K-3.64%1.62M14.33%1.07M--1.07M83.46%1.68M29.99%936.12K
-Dividends payable --3.86M--3.86M--0----------------------------
-Other payable 3.00%3.33M3.00%3.33M-0.75%2.88M154.24%3.23M154.24%3.23M-5.96%2.9M-40.10%1.27M--1.27M-80.50%3.09M-35.82%2.12M
Current provisions --198.06K--198.06K--------------------------------
Accrued and deferred income 71.36%35.81M71.36%35.81M-65.48%12.02M-48.64%20.9M-48.64%20.9M65.53%34.81M195.05%40.69M--40.69M1,257.94%21.03M2,379.26%13.79M
Other current liabilities 1,601.34%5.52M1,601.34%5.52M--324.35K--324.35K--324.35K--------------------
Current liabilities 49.30%136.71M49.30%136.71M-8.18%84.43M-2.03%91.56M-2.03%91.56M41.88%91.95M66.81%93.46M--93.46M5.25%64.81M4.21%56.03M
Non current liabilities
Non current financial liabilities -60.27%1.63M-60.27%1.63M-41.77%2.77M-3.46%4.1M-3.46%4.1M15.09%4.76M-9.97%4.25M--4.25M-26.97%4.14M-33.27%4.72M
-Long term debt and capital lease obligation -60.27%1.63M-60.27%1.63M-41.77%2.77M-3.46%4.1M-3.46%4.1M15.09%4.76M-9.97%4.25M--4.25M-26.97%4.14M-33.27%4.72M
-Including:Long term debt -50.39%1.28M-50.39%1.28M-39.66%1.85M-28.79%2.58M-28.79%2.58M-23.18%3.07M-20.09%3.63M--3.63M-18.86%3.99M-17.45%4.54M
-Including:Long term capital lease obligation -77.13%346.47K-77.13%346.47K-45.60%921.54K145.46%1.51M145.46%1.51M1,068.33%1.69M251.43%617.2K--617.2K-80.52%144.99K-88.79%175.63K
Non current deferred liabilities -33.88%8.2K-33.88%8.2K-8.81%12.96K-0.42%12.4K-0.42%12.4K-92.14%14.21K-92.48%12.45K--12.45K2,180.37%180.72K--165.54K
Preferred securities outside stock equity --0--0--4.33M--3.61M--3.61M--------------------
Total non current liabilities -78.81%1.64M-78.81%1.64M49.02%7.11M81.37%7.72M81.37%7.72M10.60%4.77M-12.77%4.26M--4.26M-23.88%4.32M-30.93%4.88M
Total liabilities 39.34%138.34M39.34%138.34M-5.36%91.54M1.60%99.29M1.60%99.29M39.93%96.72M60.44%97.72M--97.72M2.79%69.13M0.13%60.91M
Shareholders'equity
Share capital 0.00%38.25M0.00%38.25M0.00%38.25M0.00%38.25M0.00%38.25M0.00%38.25M0.00%38.25M--38.25M0.00%38.25M0.00%38.25M
-common stock 0.00%38.25M0.00%38.25M0.00%38.25M0.00%38.25M0.00%38.25M0.00%38.25M0.00%38.25M--38.25M0.00%38.25M0.00%38.25M
Retained earnings -4.05%39.55M-4.05%39.55M6.63%40.91M21.67%41.22M21.67%41.22M12.91%38.37M16.00%33.88M--33.88M13.14%33.98M8.07%29.21M
Other reserves 0.00%-22.54M0.00%-22.54M0.00%-22.54M0.00%-22.54M0.00%-22.54M0.00%-22.54M0.00%-22.54M---22.54M0.00%-22.54M0.00%-22.54M
Other equity interest -0.01%3.58M-0.01%3.58M--3.58M--3.58M--3.58M--------------------
Total stockholders'equity -2.76%58.85M-2.76%58.85M11.33%60.21M22.03%60.52M22.03%60.52M8.83%54.08M10.40%49.59M--49.59M8.63%49.69M5.10%44.92M
Total equity -2.76%58.85M-2.76%58.85M11.33%60.21M22.03%60.52M22.03%60.52M8.83%54.08M10.40%49.59M--49.59M8.63%49.69M5.10%44.92M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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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