HK Stock MarketDetailed Quotes

09959 LINKLOGIS-W

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  • 1.670
  • -0.060-3.47%
Market Closed Dec 20 16:08 CST
3.82BMarket Cap-6.82P/E (TTM)

LINKLOGIS-W Key Stats

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(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
(Q9)Sep 30, 2020
(FY)Dec 31, 2019
Assets
Current assets
Accounts receivable
-2.39%240.21M
-14.99%290.85M
-13.53%246.11M
34.65%342.11M
17.03%284.6M
12.83%254.08M
--243.19M
47.40%225.18M
--248.86M
172.54%152.76M
Advance deposits and other receivables
4.10%2.34B
32.41%2.27B
33.63%2.24B
123.33%1.71B
40.14%1.68B
-72.04%767.3M
--1.2B
479.00%2.74B
--395.62M
-33.16%473.95M
Cash and equivalents
-15.60%4.92B
-17.66%4.72B
10.36%5.83B
16.31%5.73B
19.23%5.29B
739.02%4.93B
--4.43B
50.59%587.34M
--256.65M
-24.86%390.03M
Secured deposit
22.27%163M
-18.29%130.63M
-81.29%133.31M
-76.05%159.87M
-45.27%712.36M
69.24%667.47M
--1.3B
41.41%394.38M
--391.74M
415.36%278.89M
Financial assets at fair value-current assets
-49.56%549.52M
-60.21%987.74M
-69.14%1.09B
11.88%2.48B
73.82%3.53B
94.05%2.22B
--2.03B
-14.49%1.14B
--1.44B
44.44%1.34B
Special items of current assets
-33.10%418.8M
-33.53%437.88M
-69.21%626.01M
-72.37%658.74M
-13.81%2.03B
262.06%2.38B
--2.36B
-23.14%658.49M
--1.06B
25.86%856.69M
Total current assets
-15.08%8.65B
-20.29%8.85B
-24.71%10.18B
-1.08%11.1B
16.94%13.53B
95.02%11.22B
--11.57B
64.86%5.75B
--3.79B
18.50%3.49B
Non-current assets
Property, plant and equipment
91.65%32.23M
16.76%27.61M
-32.73%16.82M
-15.98%23.65M
-0.67%25M
51.92%28.14M
--25.17M
50.18%18.53M
--13.23M
143.15%12.34M
Advance payment
4.96%5.97M
-39.48%3.1M
-5.53%5.69M
-20.90%5.13M
-85.27%6.02M
-82.65%6.48M
--40.88M
15.48%37.37M
--38.1M
3,182.25%32.36M
Associated company interest
----
----
----
----
----
----
--113.1M
----
--109.96M
-5.36%94.65M
Financial assets at fair value-non-current assets
47.35%98.52M
34.85%83.71M
21.56%66.86M
3,003.80%62.08M
2,650.00%55M
0.00%2M
--2M
-90.41%2M
----
--20.85M
Intangible assets
3.31%306.07M
8.30%312.04M
20.55%296.27M
45.45%288.13M
76.95%245.77M
86.46%198.09M
--138.89M
63.23%106.23M
--88.28M
143.37%65.08M
Deferred tax assets
-22.03%88.3M
50.33%101.76M
77.07%113.25M
13.78%67.69M
12.57%63.96M
-2.20%59.5M
--56.82M
26.98%60.83M
--73.34M
46.48%47.91M
Special items of non-current assets
-26.66%254.63M
-19.17%269.03M
22.33%347.19M
44.62%332.83M
--283.82M
110.56%230.15M
----
--109.3M
----
----
Total non-current assets
-1.71%870.03M
7.07%884.15M
20.54%885.12M
40.29%825.78M
62.13%734.27M
53.37%588.63M
--452.9M
36.07%383.79M
--375.05M
53.54%282.05M
Total assets
-14.01%9.52B
-18.40%9.73B
-22.38%11.07B
0.98%11.92B
18.64%14.26B
92.42%11.81B
--12.02B
62.71%6.14B
--4.17B
20.56%3.77B
Liabilities
Current liabilities
Accounts payable
18.80%64.65M
157.53%102.76M
-23.27%54.42M
-48.92%39.9M
-31.78%70.92M
-42.86%78.11M
--103.96M
147.97%136.71M
--168.97M
91.22%55.13M
Tax payable
-10.03%56.01M
12.28%56.92M
32.28%62.25M
-15.60%50.69M
16.18%47.06M
77.34%60.06M
--40.5M
344.44%33.87M
--45.34M
-46.38%7.62M
Other payables and accrued expenses
-41.96%534.69M
-82.16%322.81M
-61.57%921.16M
165.61%1.81B
500.73%2.4B
-23.24%681.39M
--398.97M
-16.13%887.69M
--1.34B
98.46%1.06B
Bank loans and overdrafts
-53.51%270.47M
239.78%34.02M
-66.83%581.77M
-99.15%10.01M
14.58%1.75B
-56.35%1.18B
--1.53B
526.61%2.7B
--255.19M
-9.68%430.39M
Provision-current liabilities
----
----
----
----
----
----
----
----
--486K
----
Financial lease liabilities-current liabilities
-2.53%18.68M
-50.43%9.64M
4.38%19.17M
5.28%19.45M
-5.15%18.36M
69.27%18.48M
--19.36M
34.59%10.92M
--11.51M
-35.60%8.11M
Special items of current liabilities
-68.64%391K
-62.77%258K
-61.95%1.25M
-68.97%693K
-0.82%3.28M
97.96%2.23M
--3.3M
--1.13M
----
----
Total current liabilities
-41.75%959.58M
-72.29%536.97M
-61.64%1.65B
-4.28%1.94B
104.47%4.29B
-78.48%2.02B
--2.1B
48.44%9.41B
--7.13B
45.58%6.34B
Net current assets
-9.93%7.69B
-9.29%8.31B
-7.52%8.54B
-0.37%9.16B
-2.48%9.23B
351.53%9.2B
--9.47B
-28.32%-3.66B
---3.34B
-102.17%-2.85B
Total assets less current liabilities
-9.16%8.56B
-7.94%9.19B
-5.46%9.42B
2.07%9.99B
0.47%9.97B
399.03%9.78B
--9.92B
-27.47%-3.27B
---2.96B
-109.46%-2.57B
Non-current liabilities
Long-term bank loan
----
----
----
----
1.43%13.22M
0.43%13.21M
--13.04M
-42.01%13.16M
--13.24M
-92.68%22.69M
Financial lease liabilities-non-current liabilities
215.50%74.98M
169.35%80.76M
-39.46%23.76M
-37.62%29.98M
-32.76%39.25M
26.25%48.06M
--58.38M
7,468.79%38.07M
--39.64M
-91.01%503K
Special items of non-current liabilities
--555K
----
----
----
-24.71%256K
-36.67%285K
--340K
6.89%450K
--506K
--421K
Total non-current liabilities
217.83%75.53M
169.35%80.76M
-54.93%23.76M
-51.30%29.98M
-26.51%52.73M
19.12%61.56M
--71.75M
118.83%51.68M
--53.39M
-92.52%23.62M
Total liabilities
-38.06%1.04B
-68.61%617.73M
-61.56%1.67B
-5.67%1.97B
100.15%4.35B
-77.95%2.09B
--2.17B
48.70%9.46B
--7.19B
36.25%6.36B
Total assets less total liabilities
-9.73%8.48B
-8.47%9.11B
-5.19%9.4B
2.41%9.96B
0.66%9.91B
392.53%9.72B
--9.85B
-28.30%-3.32B
---3.02B
-68.10%-2.59B
Total equity and non-current liabilities
-9.16%8.56B
-7.94%9.19B
-5.46%9.42B
2.07%9.99B
0.47%9.97B
399.03%9.78B
--9.92B
-27.47%-3.27B
---2.96B
-109.46%-2.57B
Equity
Share capital
0.00%125K
0.00%125K
-0.79%125K
-0.79%125K
-1.56%126K
320.00%126K
--128K
0.00%30K
--30K
0.00%30K
Reserve
-9.71%8.49B
-8.45%9.12B
-5.18%9.4B
2.50%9.96B
0.74%9.91B
391.73%9.71B
--9.84B
-28.31%-3.33B
---3.02B
-68.41%-2.6B
Shareholders' Equity
-9.71%8.49B
-8.45%9.12B
-5.18%9.4B
2.50%9.96B
0.74%9.91B
391.74%9.71B
--9.84B
-28.31%-3.33B
---3.02B
-68.41%-2.6B
Non-controlling interest
-79.25%-3.43M
-260.57%-2.78M
-273.63%-1.91M
-110.24%-771K
-107.55%-512K
17.42%7.53M
--6.78M
32.53%6.41M
--5.94M
--4.84M
Total equity
-9.73%8.48B
-8.47%9.11B
-5.19%9.4B
2.41%9.96B
0.66%9.91B
392.53%9.72B
--9.85B
-28.30%-3.32B
---3.02B
-68.10%-2.59B
Total equity and total liabilities
-14.01%9.52B
-18.40%9.73B
-22.38%11.07B
0.98%11.92B
18.64%14.26B
92.42%11.81B
--12.02B
62.71%6.14B
--4.17B
20.56%3.77B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
(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(Q9)Sep 30, 2020(FY)Dec 31, 2019
Assets
Current assets
Accounts receivable -2.39%240.21M-14.99%290.85M-13.53%246.11M34.65%342.11M17.03%284.6M12.83%254.08M--243.19M47.40%225.18M--248.86M172.54%152.76M
Advance deposits and other receivables 4.10%2.34B32.41%2.27B33.63%2.24B123.33%1.71B40.14%1.68B-72.04%767.3M--1.2B479.00%2.74B--395.62M-33.16%473.95M
Cash and equivalents -15.60%4.92B-17.66%4.72B10.36%5.83B16.31%5.73B19.23%5.29B739.02%4.93B--4.43B50.59%587.34M--256.65M-24.86%390.03M
Secured deposit 22.27%163M-18.29%130.63M-81.29%133.31M-76.05%159.87M-45.27%712.36M69.24%667.47M--1.3B41.41%394.38M--391.74M415.36%278.89M
Financial assets at fair value-current assets -49.56%549.52M-60.21%987.74M-69.14%1.09B11.88%2.48B73.82%3.53B94.05%2.22B--2.03B-14.49%1.14B--1.44B44.44%1.34B
Special items of current assets -33.10%418.8M-33.53%437.88M-69.21%626.01M-72.37%658.74M-13.81%2.03B262.06%2.38B--2.36B-23.14%658.49M--1.06B25.86%856.69M
Total current assets -15.08%8.65B-20.29%8.85B-24.71%10.18B-1.08%11.1B16.94%13.53B95.02%11.22B--11.57B64.86%5.75B--3.79B18.50%3.49B
Non-current assets
Property, plant and equipment 91.65%32.23M16.76%27.61M-32.73%16.82M-15.98%23.65M-0.67%25M51.92%28.14M--25.17M50.18%18.53M--13.23M143.15%12.34M
Advance payment 4.96%5.97M-39.48%3.1M-5.53%5.69M-20.90%5.13M-85.27%6.02M-82.65%6.48M--40.88M15.48%37.37M--38.1M3,182.25%32.36M
Associated company interest --------------------------113.1M------109.96M-5.36%94.65M
Financial assets at fair value-non-current assets 47.35%98.52M34.85%83.71M21.56%66.86M3,003.80%62.08M2,650.00%55M0.00%2M--2M-90.41%2M------20.85M
Intangible assets 3.31%306.07M8.30%312.04M20.55%296.27M45.45%288.13M76.95%245.77M86.46%198.09M--138.89M63.23%106.23M--88.28M143.37%65.08M
Deferred tax assets -22.03%88.3M50.33%101.76M77.07%113.25M13.78%67.69M12.57%63.96M-2.20%59.5M--56.82M26.98%60.83M--73.34M46.48%47.91M
Special items of non-current assets -26.66%254.63M-19.17%269.03M22.33%347.19M44.62%332.83M--283.82M110.56%230.15M------109.3M--------
Total non-current assets -1.71%870.03M7.07%884.15M20.54%885.12M40.29%825.78M62.13%734.27M53.37%588.63M--452.9M36.07%383.79M--375.05M53.54%282.05M
Total assets -14.01%9.52B-18.40%9.73B-22.38%11.07B0.98%11.92B18.64%14.26B92.42%11.81B--12.02B62.71%6.14B--4.17B20.56%3.77B
Liabilities
Current liabilities
Accounts payable 18.80%64.65M157.53%102.76M-23.27%54.42M-48.92%39.9M-31.78%70.92M-42.86%78.11M--103.96M147.97%136.71M--168.97M91.22%55.13M
Tax payable -10.03%56.01M12.28%56.92M32.28%62.25M-15.60%50.69M16.18%47.06M77.34%60.06M--40.5M344.44%33.87M--45.34M-46.38%7.62M
Other payables and accrued expenses -41.96%534.69M-82.16%322.81M-61.57%921.16M165.61%1.81B500.73%2.4B-23.24%681.39M--398.97M-16.13%887.69M--1.34B98.46%1.06B
Bank loans and overdrafts -53.51%270.47M239.78%34.02M-66.83%581.77M-99.15%10.01M14.58%1.75B-56.35%1.18B--1.53B526.61%2.7B--255.19M-9.68%430.39M
Provision-current liabilities ----------------------------------486K----
Financial lease liabilities-current liabilities -2.53%18.68M-50.43%9.64M4.38%19.17M5.28%19.45M-5.15%18.36M69.27%18.48M--19.36M34.59%10.92M--11.51M-35.60%8.11M
Special items of current liabilities -68.64%391K-62.77%258K-61.95%1.25M-68.97%693K-0.82%3.28M97.96%2.23M--3.3M--1.13M--------
Total current liabilities -41.75%959.58M-72.29%536.97M-61.64%1.65B-4.28%1.94B104.47%4.29B-78.48%2.02B--2.1B48.44%9.41B--7.13B45.58%6.34B
Net current assets -9.93%7.69B-9.29%8.31B-7.52%8.54B-0.37%9.16B-2.48%9.23B351.53%9.2B--9.47B-28.32%-3.66B---3.34B-102.17%-2.85B
Total assets less current liabilities -9.16%8.56B-7.94%9.19B-5.46%9.42B2.07%9.99B0.47%9.97B399.03%9.78B--9.92B-27.47%-3.27B---2.96B-109.46%-2.57B
Non-current liabilities
Long-term bank loan ----------------1.43%13.22M0.43%13.21M--13.04M-42.01%13.16M--13.24M-92.68%22.69M
Financial lease liabilities-non-current liabilities 215.50%74.98M169.35%80.76M-39.46%23.76M-37.62%29.98M-32.76%39.25M26.25%48.06M--58.38M7,468.79%38.07M--39.64M-91.01%503K
Special items of non-current liabilities --555K-------------24.71%256K-36.67%285K--340K6.89%450K--506K--421K
Total non-current liabilities 217.83%75.53M169.35%80.76M-54.93%23.76M-51.30%29.98M-26.51%52.73M19.12%61.56M--71.75M118.83%51.68M--53.39M-92.52%23.62M
Total liabilities -38.06%1.04B-68.61%617.73M-61.56%1.67B-5.67%1.97B100.15%4.35B-77.95%2.09B--2.17B48.70%9.46B--7.19B36.25%6.36B
Total assets less total liabilities -9.73%8.48B-8.47%9.11B-5.19%9.4B2.41%9.96B0.66%9.91B392.53%9.72B--9.85B-28.30%-3.32B---3.02B-68.10%-2.59B
Total equity and non-current liabilities -9.16%8.56B-7.94%9.19B-5.46%9.42B2.07%9.99B0.47%9.97B399.03%9.78B--9.92B-27.47%-3.27B---2.96B-109.46%-2.57B
Equity
Share capital 0.00%125K0.00%125K-0.79%125K-0.79%125K-1.56%126K320.00%126K--128K0.00%30K--30K0.00%30K
Reserve -9.71%8.49B-8.45%9.12B-5.18%9.4B2.50%9.96B0.74%9.91B391.73%9.71B--9.84B-28.31%-3.33B---3.02B-68.41%-2.6B
Shareholders' Equity -9.71%8.49B-8.45%9.12B-5.18%9.4B2.50%9.96B0.74%9.91B391.74%9.71B--9.84B-28.31%-3.33B---3.02B-68.41%-2.6B
Non-controlling interest -79.25%-3.43M-260.57%-2.78M-273.63%-1.91M-110.24%-771K-107.55%-512K17.42%7.53M--6.78M32.53%6.41M--5.94M--4.84M
Total equity -9.73%8.48B-8.47%9.11B-5.19%9.4B2.41%9.96B0.66%9.91B392.53%9.72B--9.85B-28.30%-3.32B---3.02B-68.10%-2.59B
Total equity and total liabilities -14.01%9.52B-18.40%9.73B-22.38%11.07B0.98%11.92B18.64%14.26B92.42%11.81B--12.02B62.71%6.14B--4.17B20.56%3.77B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --KPMG--KPMG--KPMG--KPMG--KPMG

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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