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CMOC (03993)

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  • 19.280
  • +0.160+0.84%
15min DelayTrading Jun 17 10:08 CST
412.48BMarket Cap15.07P/E (TTM)

CMOC (03993) Balance Sheet

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YOY yoy
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(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q9)Sep 30, 2025
(Q6)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
Assets
Current assets
Inventory
26.39%41.21B
35.89%40.6B
4.45%33.53B
-10.21%28.62B
7.88%32.61B
-4.94%29.88B
-7.96%32.1B
-2.73%31.87B
2.33%30.23B
-2.56%31.43B
Accounts receivable
12.35%1.11B
86.77%1.21B
50.73%674.14M
-4.39%956.37M
-23.09%983.87M
-42.77%647.88M
-51.88%447.26M
46.42%1B
31.47%1.28B
41.46%1.13B
Advance deposits and other receivables
32.89%2.84B
65.04%1.84B
10.69%1.57B
13.28%2.12B
18.11%2.14B
-5.70%1.11B
-46.51%1.42B
24.98%1.87B
-19.35%1.81B
-44.51%1.18B
Cash and equivalents
40.37%44.99B
10.31%33.56B
0.82%32.47B
-9.01%31.77B
2.92%32.05B
-0.94%30.43B
-11.46%32.2B
-1.03%34.91B
2.30%31.14B
-5.92%30.72B
Financial assets at fair value-current assets
72.31%16.46B
109.57%13.64B
-41.61%7.79B
-41.59%8.41B
-20.17%9.55B
-21.42%6.51B
83.97%13.34B
95.62%14.39B
45.28%11.96B
95.54%8.28B
Other current assets
118.46%9.6B
249.40%10.23B
26.28%6.88B
-2.26%4.73B
39.14%4.4B
-5.02%2.93B
233.09%5.45B
121.50%4.84B
-12.77%3.16B
-31.54%3.08B
Special items of current assets
-2.17%3.32B
58.45%3.27B
70.38%3.78B
100.06%3.5B
-5.76%3.4B
-37.62%2.06B
-41.77%2.22B
-53.48%1.75B
23.39%3.6B
-10.71%3.31B
Total current assets
36.06%125.6B
39.37%110.35B
-0.19%92.81B
-10.12%86B
4.93%92.31B
-5.35%79.17B
1.00%92.98B
8.18%95.68B
6.78%87.97B
-2.37%83.65B
Non-current assets
Fixed assets
3.64%45.54B
-5.36%42.04B
1.37%42.33B
2.61%42.71B
15.06%43.94B
24.77%44.42B
27.40%41.76B
41.22%41.62B
38.15%38.19B
26.90%35.6B
Construction in progress
60.37%5.19B
-0.02%4.05B
-13.98%3.8B
-32.28%3.72B
-60.38%3.24B
-61.83%4.05B
-70.72%4.41B
-67.98%5.49B
-45.67%8.17B
-22.24%10.62B
long-term investment
25.49%4.33B
18.74%3.9B
38.06%3.71B
38.90%3.54B
49.16%3.45B
47.30%3.28B
26.36%2.69B
17.57%2.55B
10.85%2.31B
15.25%2.23B
Intangible assets
20.98%25.65B
11.05%24.04B
15.17%24.78B
13.85%25.38B
-6.21%21.2B
-5.70%21.65B
-13.66%21.51B
-12.79%22.3B
17.74%22.6B
18.06%22.96B
Goodwill
-3.61%420.22M
-2.22%426.87M
1.40%431.53M
0.45%434.75M
1.17%435.94M
1.49%436.56M
-2.40%425.57M
-1.37%432.82M
3.25%430.89M
1.70%430.14M
Deferred tax assets
31.17%2.7B
48.27%2.36B
1.15%2.09B
3.05%2.14B
0.07%2.06B
-4.35%1.59B
14.98%2.07B
40.24%2.08B
54.92%2.06B
49.84%1.67B
Other illiquid assets
-21.47%3.36B
-38.18%3.12B
-36.14%3.47B
-11.64%4.29B
-15.37%4.28B
2.99%5.05B
26.06%5.43B
7.86%4.85B
25.20%5.05B
34.12%4.9B
Special items of non-current assets
-3.09%7.22B
-2.84%7.29B
0.91%7.34B
0.17%7.41B
1.02%7.45B
1.91%7.5B
-4.17%7.27B
-2.91%7.4B
3.26%7.37B
2.01%7.36B
Total non-current assets
10.05%98.09B
-0.52%90.58B
2.97%91.39B
2.69%92.63B
-0.55%89.14B
1.94%91.06B
-4.19%88.75B
-2.04%90.2B
11.17%89.62B
12.59%89.33B
Total assets
23.28%223.69B
18.03%200.93B
1.36%184.19B
-3.90%178.63B
2.17%181.44B
-1.58%170.24B
-1.60%181.73B
2.97%185.88B
8.95%177.59B
4.82%172.97B
Liabilities
Current liabilities
Accounts payable
51.97%6.63B
6.96%5.14B
-1.85%5.25B
-13.18%5.17B
25.00%4.36B
35.18%4.81B
126.03%5.35B
160.11%5.96B
22.26%3.49B
129.83%3.56B
Notes payable
-6.06%506.36M
-22.13%472.13M
-45.81%366.64M
-65.96%146.89M
-37.66%539.03M
-46.91%606.31M
-45.86%676.64M
-74.05%431.46M
-35.96%864.61M
-52.60%1.14B
Tax payable
50.76%10.88B
48.92%8.23B
35.24%7.21B
83.86%7.6B
126.26%7.22B
161.06%5.53B
171.31%5.33B
261.65%4.13B
382.53%3.19B
163.21%2.12B
Other payables and accrued expenses
17.75%4.6B
-32.21%3.5B
2.36%3.41B
-21.09%5.05B
-22.97%3.9B
8.11%5.16B
-49.76%3.33B
-35.70%6.4B
-25.36%5.07B
-30.42%4.77B
Short-term borrowing
67.71%32.6B
94.33%27.13B
-28.71%21.73B
-32.45%20.36B
-18.62%19.44B
-44.06%13.96B
-5.82%30.48B
25.57%30.14B
20.69%23.88B
24.10%24.95B
Other current liabilities
786.95%9.08B
16.73%969.25M
-3.62%1.13B
50.85%1.34B
47.71%1.02B
33.79%830.36M
49.62%1.17B
-73.99%889.63M
-81.15%692.91M
-77.14%620.65M
Special items of current liabilities
31.60%12.54B
81.51%13.91B
-9.35%10.26B
13.33%8.94B
20.19%9.53B
57.12%7.67B
93.74%11.31B
24.23%7.89B
17.51%7.93B
-47.29%4.88B
Total current liabilities
60.67%87.31B
56.39%71.1B
-6.77%59.26B
-8.74%57.6B
1.48%54.35B
-7.19%45.46B
7.46%63.56B
15.49%63.11B
12.61%53.56B
-2.16%48.98B
Net current assets
0.84%38.28B
16.43%39.25B
14.03%33.54B
-12.78%28.4B
10.31%37.96B
-2.75%33.71B
-10.61%29.42B
-3.63%32.57B
-1.18%34.41B
-2.68%34.67B
Total assets less current liabilities
7.30%136.38B
4.06%129.84B
5.73%124.93B
-1.41%121.03B
2.47%127.1B
0.63%124.78B
-5.87%118.16B
-2.47%122.77B
7.44%124.04B
7.86%123.99B
Non-current liabilities
Long-term bank loan
-92.36%598M
-87.51%1.17B
-77.39%2.55B
-77.11%3.91B
-56.56%7.83B
-50.27%9.33B
-44.64%11.27B
-27.23%17.09B
-10.15%18.02B
-1.09%18.77B
Long-term remuneration payable to staff and workers
8.97%600.54M
11.72%592.85M
15.76%572.74M
13.92%564.48M
14.68%551.09M
12.51%530.66M
23.82%494.75M
26.41%495.52M
32.10%480.55M
32.29%471.66M
Financial lease liabilities-non-current liabilities
-25.48%119.62M
-33.19%91.44M
-33.47%111.67M
-35.94%123.06M
-27.87%160.51M
-40.73%136.87M
-34.65%167.85M
-25.93%192.11M
-13.73%222.53M
10.31%230.94M
Deferred tax liability
-5.73%5.95B
-2.59%6.4B
-1.74%6.01B
-0.56%6.28B
6.09%6.31B
9.71%6.57B
4.32%6.12B
5.31%6.32B
1.71%5.95B
-1.66%5.99B
Deferred income-non-current liabilities
141.98%126.36M
138.46%128.75M
295.13%131.14M
42.82%50.04M
41.57%52.22M
40.12%53.99M
-17.81%33.19M
-17.03%35.04M
-16.31%36.89M
-15.71%38.53M
Issued debt instrument
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-54.42%1B
-6.98%2B
Other non-current liabilities
-3.69%18.62B
-2.39%18.91B
-4.69%18.15B
-7.63%18.44B
-8.28%19.33B
-10.69%19.37B
-28.61%19.04B
-25.48%19.96B
-6.21%21.08B
0.01%21.69B
Total non-current liabilities
-21.55%29.07B
-22.62%30.05B
-24.75%30.2B
-31.73%31.99B
-24.92%37.06B
-25.37%38.83B
-31.40%40.13B
-25.00%46.85B
-9.44%49.36B
-1.68%52.03B
Total liabilities
27.33%116.39B
19.99%101.15B
-13.73%89.46B
-18.54%89.58B
-11.18%91.4B
-16.55%84.29B
-11.86%103.7B
-6.11%109.96B
0.83%102.91B
-1.91%101.01B
Total assets less total liabilities
19.17%107.3B
16.11%99.79B
21.40%94.73B
17.30%89.05B
20.57%90.04B
19.43%85.94B
16.40%78.03B
19.73%75.91B
22.54%74.68B
16.00%71.96B
Total equity and non-current liabilities
7.30%136.38B
4.06%129.84B
5.73%124.93B
-1.41%121.03B
2.47%127.1B
0.63%124.78B
-5.87%118.16B
-2.47%122.77B
7.44%124.04B
7.86%123.99B
Equity
Share capital
-0.49%4.28B
-0.95%4.28B
-0.95%4.28B
-0.46%4.3B
-0.46%4.3B
0.00%4.32B
0.00%4.32B
0.00%4.32B
0.00%4.32B
0.00%4.32B
Other equity instruments
-70.79%292.09M
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0.00%1B
0.00%1B
0.00%1B
0.00%1B
0.00%1B
0.00%1B
0.00%1B
0.00%1B
Capital reserve
-1.67%26.59B
-4.03%26.59B
-4.12%26.57B
-2.38%27.05B
-2.37%27.05B
0.05%27.71B
0.07%27.71B
0.10%27.71B
0.01%27.7B
0.05%27.69B
Undistributed profit
49.00%56.68B
43.49%48.92B
48.24%42.92B
42.97%37.31B
46.03%38.04B
42.19%34.09B
55.29%28.95B
54.38%26.09B
42.06%26.05B
33.06%23.98B
Special items of shareholders' rights and interests
36.23%411.61M
41.05%377.3M
50.70%365.72M
57.94%335.64M
69.65%302.14M
90.65%267.5M
96.34%242.68M
142.67%212.51M
266.03%178.1M
519.32%140.31M
Shareholders' Equity
19.39%89.16B
16.07%82.44B
22.71%78.69B
19.04%73.8B
20.49%74.68B
19.29%71.02B
17.86%64.12B
17.47%62B
22.05%61.98B
15.17%59.54B
Non-controlling interest
18.10%18.15B
16.30%17.35B
15.36%16.04B
9.55%15.24B
20.94%15.36B
20.10%14.92B
10.14%13.91B
30.98%13.92B
25.00%12.7B
20.15%12.42B
Total equity
19.17%107.3B
16.11%99.79B
21.40%94.73B
17.30%89.05B
20.57%90.04B
19.43%85.94B
16.40%78.03B
19.73%75.91B
22.54%74.68B
16.00%71.96B
Total equity and total liabilities
23.28%223.69B
18.03%200.93B
1.36%184.19B
-3.90%178.63B
2.17%181.44B
-1.58%170.24B
-1.60%181.73B
2.97%185.88B
8.95%177.59B
4.82%172.97B
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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Unqualified Opinion
Auditor
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Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)
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Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)
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Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q9)Sep 30, 2025(Q6)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023
Assets
Current assets
Inventory 26.39%41.21B35.89%40.6B4.45%33.53B-10.21%28.62B7.88%32.61B-4.94%29.88B-7.96%32.1B-2.73%31.87B2.33%30.23B-2.56%31.43B
Accounts receivable 12.35%1.11B86.77%1.21B50.73%674.14M-4.39%956.37M-23.09%983.87M-42.77%647.88M-51.88%447.26M46.42%1B31.47%1.28B41.46%1.13B
Advance deposits and other receivables 32.89%2.84B65.04%1.84B10.69%1.57B13.28%2.12B18.11%2.14B-5.70%1.11B-46.51%1.42B24.98%1.87B-19.35%1.81B-44.51%1.18B
Cash and equivalents 40.37%44.99B10.31%33.56B0.82%32.47B-9.01%31.77B2.92%32.05B-0.94%30.43B-11.46%32.2B-1.03%34.91B2.30%31.14B-5.92%30.72B
Financial assets at fair value-current assets 72.31%16.46B109.57%13.64B-41.61%7.79B-41.59%8.41B-20.17%9.55B-21.42%6.51B83.97%13.34B95.62%14.39B45.28%11.96B95.54%8.28B
Other current assets 118.46%9.6B249.40%10.23B26.28%6.88B-2.26%4.73B39.14%4.4B-5.02%2.93B233.09%5.45B121.50%4.84B-12.77%3.16B-31.54%3.08B
Special items of current assets -2.17%3.32B58.45%3.27B70.38%3.78B100.06%3.5B-5.76%3.4B-37.62%2.06B-41.77%2.22B-53.48%1.75B23.39%3.6B-10.71%3.31B
Total current assets 36.06%125.6B39.37%110.35B-0.19%92.81B-10.12%86B4.93%92.31B-5.35%79.17B1.00%92.98B8.18%95.68B6.78%87.97B-2.37%83.65B
Non-current assets
Fixed assets 3.64%45.54B-5.36%42.04B1.37%42.33B2.61%42.71B15.06%43.94B24.77%44.42B27.40%41.76B41.22%41.62B38.15%38.19B26.90%35.6B
Construction in progress 60.37%5.19B-0.02%4.05B-13.98%3.8B-32.28%3.72B-60.38%3.24B-61.83%4.05B-70.72%4.41B-67.98%5.49B-45.67%8.17B-22.24%10.62B
long-term investment 25.49%4.33B18.74%3.9B38.06%3.71B38.90%3.54B49.16%3.45B47.30%3.28B26.36%2.69B17.57%2.55B10.85%2.31B15.25%2.23B
Intangible assets 20.98%25.65B11.05%24.04B15.17%24.78B13.85%25.38B-6.21%21.2B-5.70%21.65B-13.66%21.51B-12.79%22.3B17.74%22.6B18.06%22.96B
Goodwill -3.61%420.22M-2.22%426.87M1.40%431.53M0.45%434.75M1.17%435.94M1.49%436.56M-2.40%425.57M-1.37%432.82M3.25%430.89M1.70%430.14M
Deferred tax assets 31.17%2.7B48.27%2.36B1.15%2.09B3.05%2.14B0.07%2.06B-4.35%1.59B14.98%2.07B40.24%2.08B54.92%2.06B49.84%1.67B
Other illiquid assets -21.47%3.36B-38.18%3.12B-36.14%3.47B-11.64%4.29B-15.37%4.28B2.99%5.05B26.06%5.43B7.86%4.85B25.20%5.05B34.12%4.9B
Special items of non-current assets -3.09%7.22B-2.84%7.29B0.91%7.34B0.17%7.41B1.02%7.45B1.91%7.5B-4.17%7.27B-2.91%7.4B3.26%7.37B2.01%7.36B
Total non-current assets 10.05%98.09B-0.52%90.58B2.97%91.39B2.69%92.63B-0.55%89.14B1.94%91.06B-4.19%88.75B-2.04%90.2B11.17%89.62B12.59%89.33B
Total assets 23.28%223.69B18.03%200.93B1.36%184.19B-3.90%178.63B2.17%181.44B-1.58%170.24B-1.60%181.73B2.97%185.88B8.95%177.59B4.82%172.97B
Liabilities
Current liabilities
Accounts payable 51.97%6.63B6.96%5.14B-1.85%5.25B-13.18%5.17B25.00%4.36B35.18%4.81B126.03%5.35B160.11%5.96B22.26%3.49B129.83%3.56B
Notes payable -6.06%506.36M-22.13%472.13M-45.81%366.64M-65.96%146.89M-37.66%539.03M-46.91%606.31M-45.86%676.64M-74.05%431.46M-35.96%864.61M-52.60%1.14B
Tax payable 50.76%10.88B48.92%8.23B35.24%7.21B83.86%7.6B126.26%7.22B161.06%5.53B171.31%5.33B261.65%4.13B382.53%3.19B163.21%2.12B
Other payables and accrued expenses 17.75%4.6B-32.21%3.5B2.36%3.41B-21.09%5.05B-22.97%3.9B8.11%5.16B-49.76%3.33B-35.70%6.4B-25.36%5.07B-30.42%4.77B
Short-term borrowing 67.71%32.6B94.33%27.13B-28.71%21.73B-32.45%20.36B-18.62%19.44B-44.06%13.96B-5.82%30.48B25.57%30.14B20.69%23.88B24.10%24.95B
Other current liabilities 786.95%9.08B16.73%969.25M-3.62%1.13B50.85%1.34B47.71%1.02B33.79%830.36M49.62%1.17B-73.99%889.63M-81.15%692.91M-77.14%620.65M
Special items of current liabilities 31.60%12.54B81.51%13.91B-9.35%10.26B13.33%8.94B20.19%9.53B57.12%7.67B93.74%11.31B24.23%7.89B17.51%7.93B-47.29%4.88B
Total current liabilities 60.67%87.31B56.39%71.1B-6.77%59.26B-8.74%57.6B1.48%54.35B-7.19%45.46B7.46%63.56B15.49%63.11B12.61%53.56B-2.16%48.98B
Net current assets 0.84%38.28B16.43%39.25B14.03%33.54B-12.78%28.4B10.31%37.96B-2.75%33.71B-10.61%29.42B-3.63%32.57B-1.18%34.41B-2.68%34.67B
Total assets less current liabilities 7.30%136.38B4.06%129.84B5.73%124.93B-1.41%121.03B2.47%127.1B0.63%124.78B-5.87%118.16B-2.47%122.77B7.44%124.04B7.86%123.99B
Non-current liabilities
Long-term bank loan -92.36%598M-87.51%1.17B-77.39%2.55B-77.11%3.91B-56.56%7.83B-50.27%9.33B-44.64%11.27B-27.23%17.09B-10.15%18.02B-1.09%18.77B
Long-term remuneration payable to staff and workers 8.97%600.54M11.72%592.85M15.76%572.74M13.92%564.48M14.68%551.09M12.51%530.66M23.82%494.75M26.41%495.52M32.10%480.55M32.29%471.66M
Financial lease liabilities-non-current liabilities -25.48%119.62M-33.19%91.44M-33.47%111.67M-35.94%123.06M-27.87%160.51M-40.73%136.87M-34.65%167.85M-25.93%192.11M-13.73%222.53M10.31%230.94M
Deferred tax liability -5.73%5.95B-2.59%6.4B-1.74%6.01B-0.56%6.28B6.09%6.31B9.71%6.57B4.32%6.12B5.31%6.32B1.71%5.95B-1.66%5.99B
Deferred income-non-current liabilities 141.98%126.36M138.46%128.75M295.13%131.14M42.82%50.04M41.57%52.22M40.12%53.99M-17.81%33.19M-17.03%35.04M-16.31%36.89M-15.71%38.53M
Issued debt instrument ---------------------------------54.42%1B-6.98%2B
Other non-current liabilities -3.69%18.62B-2.39%18.91B-4.69%18.15B-7.63%18.44B-8.28%19.33B-10.69%19.37B-28.61%19.04B-25.48%19.96B-6.21%21.08B0.01%21.69B
Total non-current liabilities -21.55%29.07B-22.62%30.05B-24.75%30.2B-31.73%31.99B-24.92%37.06B-25.37%38.83B-31.40%40.13B-25.00%46.85B-9.44%49.36B-1.68%52.03B
Total liabilities 27.33%116.39B19.99%101.15B-13.73%89.46B-18.54%89.58B-11.18%91.4B-16.55%84.29B-11.86%103.7B-6.11%109.96B0.83%102.91B-1.91%101.01B
Total assets less total liabilities 19.17%107.3B16.11%99.79B21.40%94.73B17.30%89.05B20.57%90.04B19.43%85.94B16.40%78.03B19.73%75.91B22.54%74.68B16.00%71.96B
Total equity and non-current liabilities 7.30%136.38B4.06%129.84B5.73%124.93B-1.41%121.03B2.47%127.1B0.63%124.78B-5.87%118.16B-2.47%122.77B7.44%124.04B7.86%123.99B
Equity
Share capital -0.49%4.28B-0.95%4.28B-0.95%4.28B-0.46%4.3B-0.46%4.3B0.00%4.32B0.00%4.32B0.00%4.32B0.00%4.32B0.00%4.32B
Other equity instruments -70.79%292.09M----0.00%1B0.00%1B0.00%1B0.00%1B0.00%1B0.00%1B0.00%1B0.00%1B
Capital reserve -1.67%26.59B-4.03%26.59B-4.12%26.57B-2.38%27.05B-2.37%27.05B0.05%27.71B0.07%27.71B0.10%27.71B0.01%27.7B0.05%27.69B
Undistributed profit 49.00%56.68B43.49%48.92B48.24%42.92B42.97%37.31B46.03%38.04B42.19%34.09B55.29%28.95B54.38%26.09B42.06%26.05B33.06%23.98B
Special items of shareholders' rights and interests 36.23%411.61M41.05%377.3M50.70%365.72M57.94%335.64M69.65%302.14M90.65%267.5M96.34%242.68M142.67%212.51M266.03%178.1M519.32%140.31M
Shareholders' Equity 19.39%89.16B16.07%82.44B22.71%78.69B19.04%73.8B20.49%74.68B19.29%71.02B17.86%64.12B17.47%62B22.05%61.98B15.17%59.54B
Non-controlling interest 18.10%18.15B16.30%17.35B15.36%16.04B9.55%15.24B20.94%15.36B20.10%14.92B10.14%13.91B30.98%13.92B25.00%12.7B20.15%12.42B
Total equity 19.17%107.3B16.11%99.79B21.40%94.73B17.30%89.05B20.57%90.04B19.43%85.94B16.40%78.03B19.73%75.91B22.54%74.68B16.00%71.96B
Total equity and total liabilities 23.28%223.69B18.03%200.93B1.36%184.19B-3.90%178.63B2.17%181.44B-1.58%170.24B-1.60%181.73B2.97%185.88B8.95%177.59B4.82%172.97B
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------Unqualified Opinion
Auditor --Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)------Deloitte Touche Tohmatsu Certified Public Accountants (Special General Partnership)------Deloitte Touche Tohmatsu 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.

Market Insights
China and the US begin implementing the Kuala Lumpur economic and trade consultation consensus.
China and the United States have successively adjusted multiple tariff and non-tariff measures, beginning to implement the consensus outcome Show More