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00386 SINOPEC CORP

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  • 4.680
  • +0.060+1.30%
Market Closed May 3 16:09 CST
569.74BMarket Cap9.18P/E (TTM)

SINOPEC CORP Key Stats

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YOY yoy
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(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q3)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q9)Dec 31, 2022
(Q6)Dec 31, 2022
(Q3)Dec 31, 2022
(FY)Dec 31, 2021
Assets
Current assets
Inventory
9.46%274.64B
2.73%250.9B
2.73%250.9B
9.83%268.25B
15.34%281.7B
17.74%244.24B
17.74%244.24B
17.74%244.24B
17.74%244.24B
36.30%207.43B
Accounts receivable
73.93%84.62B
4.93%48.65B
4.93%48.65B
93.48%89.71B
58.31%73.4B
33.00%46.36B
33.00%46.36B
33.00%46.36B
33.00%46.36B
-1.63%34.86B
Advance deposits and other receivables
16.34%69.11B
-8.10%59.4B
-8.10%59.4B
1.65%65.71B
-15.30%54.75B
-6.90%64.64B
-6.90%64.64B
-6.90%64.64B
-6.90%64.64B
18.26%69.43B
Cash and equivalents
-8.87%110.96B
30.31%121.76B
30.31%121.76B
37.49%128.47B
1.54%94.87B
-13.95%93.44B
-13.95%93.44B
-13.95%93.44B
-13.95%93.44B
24.02%108.59B
Fixed time deposit-current assets
35.02%56.41B
-19.06%41.78B
-19.06%41.78B
3.29%53.31B
9.42%56.47B
-54.48%51.61B
-54.48%51.61B
-54.48%51.61B
-54.48%51.61B
12.84%113.4B
Financial assets at fair value-current assets
196.36%6.59B
50.00%3M
-36.62%2.22B
137.79%8.34B
50.00%3M
--2M
-40.92%3.51B
--2M
-40.92%3.51B
----
Derivative financial instruments-current assets
-40.81%5.75B
-49.72%9.72B
-49.72%9.72B
-47.27%10.2B
-56.04%8.5B
5.25%19.34B
5.25%19.34B
5.25%19.34B
5.25%19.34B
46.64%18.37B
Special items of current assets
----
-36.67%2.22B
----
----
22.44%4.29B
-40.95%3.51B
----
-40.95%3.51B
----
-32.01%5.94B
Total current assets
13.78%608.09B
2.16%534.44B
2.16%534.44B
19.28%623.99B
9.72%573.99B
-6.25%523.14B
-6.25%523.14B
-6.25%523.14B
-6.25%523.14B
22.46%558.02B
Non-current assets
Property, plant and equipment
-0.50%687.43B
9.54%690.9B
9.54%690.9B
0.76%635.49B
0.60%634.47B
5.31%630.7B
5.31%630.7B
5.31%630.7B
5.31%630.7B
0.89%598.93B
Construction in progress
-0.53%179.29B
-8.06%180.25B
-8.06%180.25B
14.47%224.41B
9.92%215.48B
25.72%196.05B
25.72%196.05B
25.72%196.05B
25.72%196.05B
24.23%155.94B
Advance payment
-3.04%92.5B
31.02%95.4B
31.02%95.4B
9.98%80.08B
10.43%80.41B
3.97%72.81B
3.97%72.81B
3.97%72.81B
3.97%72.81B
-6.05%70.03B
Associated company interest
1.65%165.76B
2.46%163.07B
2.46%163.07B
2.08%162.46B
3.14%164.15B
7.01%159.15B
7.01%159.15B
7.01%159.15B
7.01%159.15B
9.23%148.73B
Interests in Joint Venture
-0.31%69.35B
-6.99%69.56B
-6.99%69.56B
-9.64%67.58B
-9.87%67.41B
23.72%74.79B
23.72%74.79B
23.72%74.79B
23.72%74.79B
15.85%60.45B
Financial assets at fair value-non-current assets
0.00%450M
----
-38.36%450M
-6.03%686M
----
----
-4.82%730M
----
-4.82%730M
----
Goodwill
0.00%6.47B
0.12%6.47B
0.12%6.47B
0.40%6.49B
0.48%6.5B
-24.78%6.46B
-24.78%6.46B
-24.78%6.46B
-24.78%6.46B
-0.30%8.59B
Deferred tax assets
-1.16%19.88B
-10.36%20.11B
-10.36%20.11B
-7.70%20.71B
-11.44%19.87B
15.70%22.43B
15.70%22.43B
15.70%22.43B
15.70%22.43B
-22.61%19.39B
Special items of non-current assets
-0.51%262.72B
-0.41%264.5B
-0.30%264.05B
-0.87%262.55B
-0.36%264.63B
-1.33%265.59B
-1.32%264.86B
-1.33%265.59B
-1.32%264.86B
0.61%269.18B
Total non-current assets
-0.43%1.48T
4.36%1.49T
4.36%1.49T
2.27%1.46T
1.75%1.45T
7.27%1.43T
7.27%1.43T
7.27%1.43T
7.27%1.43T
3.74%1.33T
Total assets
3.32%2.09T
3.77%2.02T
3.77%2.02T
6.83%2.08T
3.88%2.03T
3.27%1.95T
3.27%1.95T
3.27%1.95T
3.27%1.95T
8.65%1.89T
Liabilities
Current liabilities
Accounts payable
0.43%260.12B
-3.87%259B
-3.87%259B
-1.97%264.1B
-4.14%258.26B
24.94%269.42B
24.94%269.42B
24.94%269.42B
24.94%269.42B
33.19%215.64B
Tax payable
72.70%2.51B
-69.23%1.45B
-69.23%1.45B
2.92%4.86B
-19.53%3.8B
-1.75%4.73B
-1.75%4.73B
-1.75%4.73B
-1.75%4.73B
-26.98%4.81B
Amounts payable to associated parties-current liabilities
-26.75%9.11B
----
70.56%12.44B
111.57%15.43B
----
----
153.81%7.29B
----
153.81%7.29B
----
Other payables and accrued expenses
-8.18%154.37B
-5.63%168.12B
-5.63%168.12B
-8.32%163.32B
-14.54%152.24B
-25.68%178.15B
-25.68%178.15B
-25.68%178.15B
-25.68%178.15B
33.82%239.69B
Other loans-current liabilities
----
70.56%12.44B
----
----
80.69%13.18B
153.81%7.29B
----
153.81%7.29B
----
-45.42%2.87B
Derivative financial instrument-current liabilities
72.20%4.74B
-62.37%2.75B
-62.37%2.75B
57.86%11.54B
-11.69%6.46B
126.90%7.31B
126.90%7.31B
126.90%7.31B
126.90%7.31B
-33.22%3.22B
Financial lease liabilities-current liabilities
5.79%18.55B
9.57%17.54B
9.57%17.54B
8.03%17.29B
8.21%17.32B
5.48%16B
5.48%16B
5.48%16B
5.48%16B
-0.78%15.17B
Special items of current liabilities
33.27%247.58B
0.70%185.77B
0.70%185.77B
18.04%217.77B
17.79%217.31B
15.39%184.48B
15.39%184.48B
15.39%184.48B
15.39%184.48B
6.58%159.87B
Total current liabilities
7.71%696.98B
-3.04%647.08B
-3.04%647.08B
4.04%694.32B
0.18%668.56B
4.07%667.39B
4.07%667.39B
4.07%667.39B
4.07%667.39B
22.62%641.28B
Net current assets
21.08%-88.89B
21.91%-112.64B
21.91%-112.64B
51.24%-70.33B
34.44%-94.57B
-73.25%-144.25B
-73.25%-144.25B
-73.25%-144.25B
-273.25%-144.25B
-223.64%-83.26B
Total assets less current liabilities
1.26%1.39T
7.31%1.38T
7.31%1.38T
8.29%1.39T
5.81%1.36T
2.87%1.28T
2.87%1.28T
2.87%1.28T
2.87%1.28T
2.64%1.25T
Non-current liabilities
Other loans-non-current liabilities
----
11.49%24.81B
----
----
6.26%23.65B
62.56%22.26B
----
62.56%22.26B
----
16.23%13.69B
Long-term accounts payable
-7.83%150.28B
----
90.24%163.05B
104.37%175.16B
----
----
9.46%85.71B
----
9.46%85.71B
----
Payments payable to related parties-non-current liabilities
-15.56%20.95B
----
11.49%24.81B
6.19%23.63B
----
----
62.56%22.26B
----
62.56%22.26B
----
Financial lease liabilities-non-current liabilities
-0.10%163.7B
-1.53%163.86B
-1.53%163.86B
-0.57%165.46B
-0.62%165.37B
-2.25%166.41B
-2.25%166.41B
-2.25%166.41B
-2.25%166.41B
-0.88%170.23B
Deferred tax liability
4.95%8.2B
7.73%7.82B
7.73%7.82B
20.40%8.74B
7.30%7.79B
-8.27%7.26B
-8.27%7.26B
-8.27%7.26B
-8.27%7.26B
-2.63%7.91B
Other non-current liabilities
2.96%14.42B
-6.55%14B
-6.55%14B
-0.39%14.93B
-1.18%14.81B
-22.14%14.98B
-22.14%14.98B
-22.14%14.98B
-22.14%14.98B
1.45%19.24B
Special items of non-current liabilities
1.09%48.8B
58.54%211.32B
1.43%48.27B
3.81%49.4B
48.65%198.14B
9.41%133.29B
9.33%47.59B
9.41%133.29B
9.33%47.59B
3.60%121.83B
Total non-current liabilities
-3.67%406.35B
22.55%421.81B
22.55%421.81B
27.05%437.31B
19.05%409.75B
3.39%344.19B
3.39%344.19B
3.39%344.19B
3.39%344.19B
1.43%332.9B
Total liabilities
3.22%1.1T
5.67%1.07T
5.67%1.07T
11.87%1.13T
6.60%1.08T
3.84%1.01T
3.84%1.01T
3.84%1.01T
3.84%1.01T
14.45%974.18B
Total assets less total liabilities
3.43%988.61B
1.73%955.81B
1.73%955.81B
1.41%952.81B
0.96%948.6B
2.67%939.54B
2.67%939.54B
2.67%939.54B
2.67%939.54B
3.08%915.07B
Total equity and non-current liabilities
1.26%1.39T
7.31%1.38T
7.31%1.38T
8.29%1.39T
5.81%1.36T
2.87%1.28T
2.87%1.28T
2.87%1.28T
2.87%1.28T
2.64%1.25T
Equity
Share capital
2.00%121.74B
-0.46%119.35B
-0.46%119.35B
-0.03%119.86B
0.00%119.9B
-0.97%119.9B
-0.97%119.9B
-0.97%119.9B
-0.97%119.9B
0.00%121.07B
Reserve
3.78%709.45B
2.39%683.64B
2.39%683.64B
1.59%678.29B
1.22%675.82B
2.23%667.7B
2.23%667.7B
2.23%667.7B
2.23%667.7B
4.46%653.11B
Legal reserve
3.78%709.45B
2.39%683.64B
2.39%683.64B
1.59%678.29B
1.22%675.82B
2.23%667.7B
2.23%667.7B
2.23%667.7B
2.23%667.7B
4.46%653.11B
Shareholders' Equity
3.51%831.19B
1.95%802.99B
1.95%802.99B
1.34%798.15B
1.03%795.72B
1.73%787.6B
1.73%787.6B
1.73%787.6B
1.73%787.6B
3.73%774.18B
Non-controlling interest
3.01%157.42B
0.58%152.82B
0.58%152.82B
1.79%154.66B
0.62%152.88B
7.84%151.94B
7.84%151.94B
7.84%151.94B
7.84%151.94B
-0.34%140.89B
Total equity
3.43%988.61B
1.73%955.81B
1.73%955.81B
1.41%952.81B
0.96%948.6B
2.67%939.54B
2.67%939.54B
2.67%939.54B
2.67%939.54B
3.08%915.07B
Total equity and total liabilities
3.32%2.09T
3.77%2.02T
3.77%2.02T
6.83%2.08T
3.88%2.03T
3.27%1.95T
3.27%1.95T
3.27%1.95T
3.27%1.95T
8.65%1.89T
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
--
--
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Unqualified Opinion
Auditor
--
KPMG Huazhen Certified Public Accountants (Special General Partnership), KPMG Certified Public Accountants
--
--
--
KPMG Huazhen Certified Public Accountants (Special General Partnership), KPMG Certified Public Accountants
--
--
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KPMG Huazhen Certified Public Accountants (Special General Partnership), KPMG Certified Public Accountants
(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q3)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q9)Dec 31, 2022(Q6)Dec 31, 2022(Q3)Dec 31, 2022(FY)Dec 31, 2021
Assets
Current assets
Inventory 9.46%274.64B2.73%250.9B2.73%250.9B9.83%268.25B15.34%281.7B17.74%244.24B17.74%244.24B17.74%244.24B17.74%244.24B36.30%207.43B
Accounts receivable 73.93%84.62B4.93%48.65B4.93%48.65B93.48%89.71B58.31%73.4B33.00%46.36B33.00%46.36B33.00%46.36B33.00%46.36B-1.63%34.86B
Advance deposits and other receivables 16.34%69.11B-8.10%59.4B-8.10%59.4B1.65%65.71B-15.30%54.75B-6.90%64.64B-6.90%64.64B-6.90%64.64B-6.90%64.64B18.26%69.43B
Cash and equivalents -8.87%110.96B30.31%121.76B30.31%121.76B37.49%128.47B1.54%94.87B-13.95%93.44B-13.95%93.44B-13.95%93.44B-13.95%93.44B24.02%108.59B
Fixed time deposit-current assets 35.02%56.41B-19.06%41.78B-19.06%41.78B3.29%53.31B9.42%56.47B-54.48%51.61B-54.48%51.61B-54.48%51.61B-54.48%51.61B12.84%113.4B
Financial assets at fair value-current assets 196.36%6.59B50.00%3M-36.62%2.22B137.79%8.34B50.00%3M--2M-40.92%3.51B--2M-40.92%3.51B----
Derivative financial instruments-current assets -40.81%5.75B-49.72%9.72B-49.72%9.72B-47.27%10.2B-56.04%8.5B5.25%19.34B5.25%19.34B5.25%19.34B5.25%19.34B46.64%18.37B
Special items of current assets -----36.67%2.22B--------22.44%4.29B-40.95%3.51B-----40.95%3.51B-----32.01%5.94B
Total current assets 13.78%608.09B2.16%534.44B2.16%534.44B19.28%623.99B9.72%573.99B-6.25%523.14B-6.25%523.14B-6.25%523.14B-6.25%523.14B22.46%558.02B
Non-current assets
Property, plant and equipment -0.50%687.43B9.54%690.9B9.54%690.9B0.76%635.49B0.60%634.47B5.31%630.7B5.31%630.7B5.31%630.7B5.31%630.7B0.89%598.93B
Construction in progress -0.53%179.29B-8.06%180.25B-8.06%180.25B14.47%224.41B9.92%215.48B25.72%196.05B25.72%196.05B25.72%196.05B25.72%196.05B24.23%155.94B
Advance payment -3.04%92.5B31.02%95.4B31.02%95.4B9.98%80.08B10.43%80.41B3.97%72.81B3.97%72.81B3.97%72.81B3.97%72.81B-6.05%70.03B
Associated company interest 1.65%165.76B2.46%163.07B2.46%163.07B2.08%162.46B3.14%164.15B7.01%159.15B7.01%159.15B7.01%159.15B7.01%159.15B9.23%148.73B
Interests in Joint Venture -0.31%69.35B-6.99%69.56B-6.99%69.56B-9.64%67.58B-9.87%67.41B23.72%74.79B23.72%74.79B23.72%74.79B23.72%74.79B15.85%60.45B
Financial assets at fair value-non-current assets 0.00%450M-----38.36%450M-6.03%686M---------4.82%730M-----4.82%730M----
Goodwill 0.00%6.47B0.12%6.47B0.12%6.47B0.40%6.49B0.48%6.5B-24.78%6.46B-24.78%6.46B-24.78%6.46B-24.78%6.46B-0.30%8.59B
Deferred tax assets -1.16%19.88B-10.36%20.11B-10.36%20.11B-7.70%20.71B-11.44%19.87B15.70%22.43B15.70%22.43B15.70%22.43B15.70%22.43B-22.61%19.39B
Special items of non-current assets -0.51%262.72B-0.41%264.5B-0.30%264.05B-0.87%262.55B-0.36%264.63B-1.33%265.59B-1.32%264.86B-1.33%265.59B-1.32%264.86B0.61%269.18B
Total non-current assets -0.43%1.48T4.36%1.49T4.36%1.49T2.27%1.46T1.75%1.45T7.27%1.43T7.27%1.43T7.27%1.43T7.27%1.43T3.74%1.33T
Total assets 3.32%2.09T3.77%2.02T3.77%2.02T6.83%2.08T3.88%2.03T3.27%1.95T3.27%1.95T3.27%1.95T3.27%1.95T8.65%1.89T
Liabilities
Current liabilities
Accounts payable 0.43%260.12B-3.87%259B-3.87%259B-1.97%264.1B-4.14%258.26B24.94%269.42B24.94%269.42B24.94%269.42B24.94%269.42B33.19%215.64B
Tax payable 72.70%2.51B-69.23%1.45B-69.23%1.45B2.92%4.86B-19.53%3.8B-1.75%4.73B-1.75%4.73B-1.75%4.73B-1.75%4.73B-26.98%4.81B
Amounts payable to associated parties-current liabilities -26.75%9.11B----70.56%12.44B111.57%15.43B--------153.81%7.29B----153.81%7.29B----
Other payables and accrued expenses -8.18%154.37B-5.63%168.12B-5.63%168.12B-8.32%163.32B-14.54%152.24B-25.68%178.15B-25.68%178.15B-25.68%178.15B-25.68%178.15B33.82%239.69B
Other loans-current liabilities ----70.56%12.44B--------80.69%13.18B153.81%7.29B----153.81%7.29B-----45.42%2.87B
Derivative financial instrument-current liabilities 72.20%4.74B-62.37%2.75B-62.37%2.75B57.86%11.54B-11.69%6.46B126.90%7.31B126.90%7.31B126.90%7.31B126.90%7.31B-33.22%3.22B
Financial lease liabilities-current liabilities 5.79%18.55B9.57%17.54B9.57%17.54B8.03%17.29B8.21%17.32B5.48%16B5.48%16B5.48%16B5.48%16B-0.78%15.17B
Special items of current liabilities 33.27%247.58B0.70%185.77B0.70%185.77B18.04%217.77B17.79%217.31B15.39%184.48B15.39%184.48B15.39%184.48B15.39%184.48B6.58%159.87B
Total current liabilities 7.71%696.98B-3.04%647.08B-3.04%647.08B4.04%694.32B0.18%668.56B4.07%667.39B4.07%667.39B4.07%667.39B4.07%667.39B22.62%641.28B
Net current assets 21.08%-88.89B21.91%-112.64B21.91%-112.64B51.24%-70.33B34.44%-94.57B-73.25%-144.25B-73.25%-144.25B-73.25%-144.25B-273.25%-144.25B-223.64%-83.26B
Total assets less current liabilities 1.26%1.39T7.31%1.38T7.31%1.38T8.29%1.39T5.81%1.36T2.87%1.28T2.87%1.28T2.87%1.28T2.87%1.28T2.64%1.25T
Non-current liabilities
Other loans-non-current liabilities ----11.49%24.81B--------6.26%23.65B62.56%22.26B----62.56%22.26B----16.23%13.69B
Long-term accounts payable -7.83%150.28B----90.24%163.05B104.37%175.16B--------9.46%85.71B----9.46%85.71B----
Payments payable to related parties-non-current liabilities -15.56%20.95B----11.49%24.81B6.19%23.63B--------62.56%22.26B----62.56%22.26B----
Financial lease liabilities-non-current liabilities -0.10%163.7B-1.53%163.86B-1.53%163.86B-0.57%165.46B-0.62%165.37B-2.25%166.41B-2.25%166.41B-2.25%166.41B-2.25%166.41B-0.88%170.23B
Deferred tax liability 4.95%8.2B7.73%7.82B7.73%7.82B20.40%8.74B7.30%7.79B-8.27%7.26B-8.27%7.26B-8.27%7.26B-8.27%7.26B-2.63%7.91B
Other non-current liabilities 2.96%14.42B-6.55%14B-6.55%14B-0.39%14.93B-1.18%14.81B-22.14%14.98B-22.14%14.98B-22.14%14.98B-22.14%14.98B1.45%19.24B
Special items of non-current liabilities 1.09%48.8B58.54%211.32B1.43%48.27B3.81%49.4B48.65%198.14B9.41%133.29B9.33%47.59B9.41%133.29B9.33%47.59B3.60%121.83B
Total non-current liabilities -3.67%406.35B22.55%421.81B22.55%421.81B27.05%437.31B19.05%409.75B3.39%344.19B3.39%344.19B3.39%344.19B3.39%344.19B1.43%332.9B
Total liabilities 3.22%1.1T5.67%1.07T5.67%1.07T11.87%1.13T6.60%1.08T3.84%1.01T3.84%1.01T3.84%1.01T3.84%1.01T14.45%974.18B
Total assets less total liabilities 3.43%988.61B1.73%955.81B1.73%955.81B1.41%952.81B0.96%948.6B2.67%939.54B2.67%939.54B2.67%939.54B2.67%939.54B3.08%915.07B
Total equity and non-current liabilities 1.26%1.39T7.31%1.38T7.31%1.38T8.29%1.39T5.81%1.36T2.87%1.28T2.87%1.28T2.87%1.28T2.87%1.28T2.64%1.25T
Equity
Share capital 2.00%121.74B-0.46%119.35B-0.46%119.35B-0.03%119.86B0.00%119.9B-0.97%119.9B-0.97%119.9B-0.97%119.9B-0.97%119.9B0.00%121.07B
Reserve 3.78%709.45B2.39%683.64B2.39%683.64B1.59%678.29B1.22%675.82B2.23%667.7B2.23%667.7B2.23%667.7B2.23%667.7B4.46%653.11B
Legal reserve 3.78%709.45B2.39%683.64B2.39%683.64B1.59%678.29B1.22%675.82B2.23%667.7B2.23%667.7B2.23%667.7B2.23%667.7B4.46%653.11B
Shareholders' Equity 3.51%831.19B1.95%802.99B1.95%802.99B1.34%798.15B1.03%795.72B1.73%787.6B1.73%787.6B1.73%787.6B1.73%787.6B3.73%774.18B
Non-controlling interest 3.01%157.42B0.58%152.82B0.58%152.82B1.79%154.66B0.62%152.88B7.84%151.94B7.84%151.94B7.84%151.94B7.84%151.94B-0.34%140.89B
Total equity 3.43%988.61B1.73%955.81B1.73%955.81B1.41%952.81B0.96%948.6B2.67%939.54B2.67%939.54B2.67%939.54B2.67%939.54B3.08%915.07B
Total equity and total liabilities 3.32%2.09T3.77%2.02T3.77%2.02T6.83%2.08T3.88%2.03T3.27%1.95T3.27%1.95T3.27%1.95T3.27%1.95T8.65%1.89T
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions --Unqualified Opinion------Unqualified Opinion------Unqualified Opinion
Auditor --KPMG Huazhen Certified Public Accountants (Special General Partnership), KPMG Certified Public Accountants------KPMG Huazhen Certified Public Accountants (Special General Partnership), KPMG Certified Public Accountants------KPMG Huazhen Certified Public Accountants (Special General Partnership), KPMG 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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