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NANJING PANDA (00553)

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  • 4.870
  • +0.230+4.96%
Noon Break May 6 11:57 CST
4.45BMarket Cap118.78P/E (TTM)

NANJING PANDA (00553) 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
-8.13%503.7M
-6.94%453.95M
-0.66%606.27M
4.49%580.65M
-8.89%548.29M
-14.54%487.81M
-4.70%610.32M
2.11%555.68M
-9.92%601.82M
-5.10%570.78M
Accounts receivable
20.03%1.45B
0.58%1.42B
3.37%1.24B
15.21%1.33B
16.66%1.2B
20.26%1.41B
3.01%1.2B
-5.60%1.15B
-7.83%1.03B
-1.26%1.17B
Notes receivable
-18.04%58.29M
-49.38%49.85M
-34.97%40.84M
-55.22%24.15M
-29.68%71.12M
-25.20%98.48M
171.11%62.8M
3.85%53.93M
190.96%101.14M
77.76%131.65M
Advance deposits and other receivables
230.24%102.86M
105.22%56.25M
-27.85%41.95M
-7.87%38.09M
-17.32%31.15M
-22.72%27.41M
-10.74%58.15M
-18.13%41.34M
-38.70%37.67M
-21.00%35.47M
Cash and equivalents
2.09%769.37M
48.51%1.13B
20.32%922.29M
-6.27%833.32M
-30.34%753.61M
-13.62%757.64M
-30.00%766.52M
-18.27%889.1M
-1.72%1.08B
-17.20%877.14M
Financial assets at fair value-current assets
-8.57%413.72M
1.33%498.12M
-11.11%436.19M
-11.71%407M
49.77%452.5M
1.33%491.59M
68.31%490.71M
58.29%460.98M
14.82%302.12M
-3.70%485.16M
Other current assets
96.18%523.03M
-11.78%218.86M
-5.59%231.51M
-19.67%223.45M
-1.62%266.61M
-22.01%248.09M
1.14%245.21M
22.63%278.16M
82.91%271.01M
161.26%318.09M
Special items of current assets
----
----
----
----
----
-97.28%730.58K
1,045.33%13.87M
979.90%13.44M
669.85%13.45M
1,437.29%26.86M
Total current assets
13.47%3.97B
8.09%4.03B
-1.30%3.66B
-2.53%3.63B
-4.49%3.5B
-4.46%3.73B
-0.30%3.71B
-0.06%3.73B
1.66%3.66B
0.56%3.9B
Non-current assets
Fixed assets
-11.79%666.34M
-4.99%726.56M
-2.88%745.05M
-4.10%748.66M
-5.42%755.41M
-5.56%764.72M
-6.35%767.19M
-4.78%780.63M
-4.67%798.71M
-5.21%809.76M
Investment property
20.76%218.21M
-3.92%175.81M
-3.81%177.67M
-3.93%179.69M
-4.28%180.69M
-3.38%182.99M
-4.12%184.71M
-10.69%187.04M
-10.54%188.77M
-12.15%189.38M
Construction in progress
-34.61%1.56M
-48.30%778.72K
-58.96%2.32M
-57.05%2.38M
-18.91%2.39M
51.86%1.51M
666.61%5.66M
1,677.67%5.54M
120.96%2.95M
-18.60%991.94K
long-term investment
-19.99%424.71M
-16.68%410.75M
-11.57%408.12M
-13.50%389.99M
5.24%530.81M
4.92%492.99M
-36.23%461.54M
-35.34%450.85M
-32.11%504.39M
-34.50%469.85M
Intangible assets
-13.32%82.33M
-14.77%83.92M
-12.63%87.73M
-12.83%91.28M
-12.28%94.98M
-12.28%98.47M
-13.78%100.41M
-13.53%104.71M
-13.94%108.28M
-14.03%112.25M
Deferred tax assets
13.40%20.5M
10.30%21.55M
-5.38%20.3M
-9.84%19.43M
-12.18%18.08M
-8.12%19.54M
6.73%21.46M
0.04%21.55M
6.39%20.58M
-2.16%21.27M
Other illiquid assets
--176.4K
-95.40%245.09K
-95.28%34.92K
-99.71%23.4K
----
262.77%5.33M
-96.91%739.6K
-72.24%7.96M
-88.78%1.32M
-91.20%1.47M
Special items of non-current assets
-33.79%9.87M
-31.75%11.19M
-26.99%12.45M
-25.97%13.66M
-15.67%14.91M
-12.09%16.4M
18.09%17.05M
12.50%18.45M
74.07%17.68M
69.85%18.65M
Total non-current assets
-10.69%1.43B
-9.71%1.44B
-6.93%1.46B
-8.54%1.45B
-3.01%1.6B
-2.82%1.59B
-18.37%1.57B
-17.57%1.59B
-16.14%1.65B
-17.46%1.64B
Total assets
5.87%5.4B
2.77%5.47B
-2.97%5.12B
-4.33%5.09B
-4.03%5.1B
-3.97%5.32B
-6.45%5.28B
-6.02%5.32B
-4.64%5.32B
-5.53%5.54B
Liabilities
Current liabilities
Accounts payable
20.72%1.49B
10.51%1.47B
3.80%1.4B
1.54%1.36B
-4.10%1.23B
-7.70%1.33B
-2.62%1.35B
-3.42%1.34B
-5.18%1.29B
-6.17%1.44B
Notes payable
26.19%95.46M
-3.81%106.09M
20.69%60.45M
-45.74%33.48M
-3.63%75.65M
39.54%110.29M
-47.20%50.08M
-35.66%61.71M
-22.63%78.49M
-43.67%79.04M
Tax payable
11.63%21.31M
9.54%43.63M
-22.83%17.56M
-28.46%23.96M
-13.42%19.09M
21.71%39.83M
-31.86%22.75M
-2.25%33.49M
-48.01%22.05M
-37.15%32.73M
Other payables and accrued expenses
-14.45%74.51M
3.24%107.02M
-14.64%78.31M
-13.89%86.99M
-11.26%87.1M
6.73%103.66M
-12.66%91.74M
-10.75%101.03M
27.59%98.15M
-8.29%97.12M
Advance payment
-5.70%462.2K
-89.63%48.63K
174.47%516.63K
-57.18%399.02K
276.14%490.12K
132.58%468.97K
-35.63%188.23K
3.38%931.86K
-56.85%130.3K
59.77%201.64K
Short-term borrowing
----
----
----
----
-40.22%15.76M
-39.63%42.33M
152.38%45.71M
108.21%37.71M
45.51%26.36M
--70.11M
Other current liabilities
7.98%77.55M
-16.84%70.15M
34.15%48.61M
33.59%41.81M
78.24%71.82M
128.72%84.36M
17.97%36.23M
0.96%31.29M
65.57%40.29M
34.02%36.88M
Special items of current liabilities
-32.04%4.42M
-13.84%5.04M
-6.70%5.59M
10.19%5.43M
6.12%6.5M
43.04%5.85M
4.38%5.99M
-26.62%4.92M
-9.72%6.12M
-33.16%4.09M
Total current liabilities
15.66%1.95B
7.48%2.02B
-0.51%1.75B
-3.53%1.67B
-1.82%1.69B
-0.98%1.88B
-3.18%1.75B
-3.85%1.74B
-0.03%1.72B
-4.33%1.9B
Net current assets
11.41%2.01B
8.71%2.01B
-2.01%1.92B
-1.66%1.96B
-6.86%1.81B
-7.76%1.85B
2.44%1.96B
3.49%1.99B
3.21%1.94B
5.69%2B
Total assets less current liabilities
1.01%3.45B
0.19%3.44B
-4.20%3.38B
-4.71%3.41B
-5.09%3.41B
-5.54%3.44B
-8.00%3.52B
-7.04%3.58B
-6.70%3.59B
-6.14%3.64B
Non-current liabilities
Long-term bank loan
--766.65K
----
----
----
----
----
----
----
----
----
Long-term remuneration payable to staff and workers
-25.06%2.8M
-45.42%2.29M
-41.85%2.62M
-28.18%3.27M
-29.86%3.74M
-29.22%4.2M
-34.55%4.51M
-38.05%4.55M
-35.03%5.33M
-32.02%5.93M
Financial lease liabilities-non-current liabilities
62.93%5.66M
-43.09%2.63M
-49.97%2.52M
-44.63%3.68M
-47.11%3.47M
-49.15%4.63M
134.19%5.04M
116.66%6.65M
94.08%6.56M
75.16%9.1M
Deferred tax liability
35.95%6.62M
11.75%5.62M
-3.45%5.47M
12.66%5.88M
-23.48%4.87M
-20.79%5.03M
-2.42%5.66M
-7.37%5.22M
33.72%6.37M
-5.78%6.35M
Deferred income-non-current liabilities
-21.29%24.07M
-19.00%26.26M
-13.29%30.09M
-21.04%29.06M
-20.91%30.58M
-19.64%32.42M
-16.49%34.7M
-15.54%36.81M
-14.01%38.66M
-13.31%40.34M
Total non-current liabilities
-9.06%39.91M
-23.44%36.81M
-18.46%40.7M
-21.29%41.9M
-23.38%43.89M
-22.76%48.08M
-13.41%49.91M
-10.74%53.24M
-6.56%57.28M
-7.38%62.25M
Total liabilities
15.04%1.99B
6.71%2.06B
-1.01%1.79B
-4.06%1.72B
-2.52%1.73B
-1.67%1.93B
-3.50%1.8B
-4.07%1.79B
-0.25%1.78B
-4.43%1.96B
Total assets less total liabilities
1.14%3.41B
0.52%3.41B
-3.99%3.34B
-4.46%3.37B
-4.79%3.37B
-5.24%3.39B
-7.92%3.47B
-6.98%3.53B
-6.70%3.54B
-6.12%3.58B
Total equity and non-current liabilities
1.01%3.45B
0.19%3.44B
-4.20%3.38B
-4.71%3.41B
-5.09%3.41B
-5.54%3.44B
-8.00%3.52B
-7.04%3.58B
-6.70%3.59B
-6.14%3.64B
Equity
Share capital
0.00%913.84M
0.00%913.84M
0.00%913.84M
0.00%913.84M
0.00%913.84M
0.00%913.84M
0.00%913.84M
0.00%913.84M
0.00%913.84M
0.00%913.84M
Capital reserve
-0.03%1.47B
-0.03%1.47B
-0.03%1.47B
-0.03%1.47B
0.00%1.47B
0.00%1.47B
0.00%1.47B
0.00%1.47B
0.00%1.47B
0.00%1.47B
Undistributed profit
3.02%396.32M
-2.46%409.66M
-35.23%330.27M
-30.75%374.4M
-31.66%384.71M
-31.02%419.99M
-39.25%509.92M
-35.92%540.64M
-34.04%562.92M
-31.11%608.84M
Special items of shareholders' rights and interests
----
----
----
-18.44%274.91K
-23.87%275.36K
-23.95%275.61K
-63.75%287.64K
-61.03%337.07K
-59.75%361.7K
--362.4K
Shareholders' Equity
1.04%3.11B
0.32%3.12B
-5.63%3.02B
-5.15%3.07B
-5.47%3.08B
-5.72%3.11B
-8.72%3.2B
-7.96%3.24B
-7.58%3.26B
-7.05%3.3B
Non-controlling interest
2.28%294.53M
2.79%283M
15.43%311.31M
3.23%301.91M
3.20%287.97M
0.56%275.32M
2.82%269.7M
5.33%292.48M
4.92%279.04M
6.83%273.8M
Total equity
1.14%3.41B
0.52%3.41B
-3.99%3.34B
-4.46%3.37B
-4.79%3.37B
-5.24%3.39B
-7.92%3.47B
-6.98%3.53B
-6.70%3.54B
-6.12%3.58B
Total equity and total liabilities
5.87%5.4B
2.77%5.47B
-2.97%5.12B
-4.33%5.09B
-4.03%5.1B
-3.97%5.32B
-6.45%5.28B
-6.02%5.32B
-4.64%5.32B
-5.53%5.54B
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
--
Unqualified Opinion
--
--
--
Unqualified Opinion
--
--
--
Unqualified Opinion
Auditor
--
Daxin Certified Public Accountants (Special General Partnership)
--
--
--
Daxin Certified Public Accountants (Special General Partnership)
--
--
--
Daxin 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 -8.13%503.7M-6.94%453.95M-0.66%606.27M4.49%580.65M-8.89%548.29M-14.54%487.81M-4.70%610.32M2.11%555.68M-9.92%601.82M-5.10%570.78M
Accounts receivable 20.03%1.45B0.58%1.42B3.37%1.24B15.21%1.33B16.66%1.2B20.26%1.41B3.01%1.2B-5.60%1.15B-7.83%1.03B-1.26%1.17B
Notes receivable -18.04%58.29M-49.38%49.85M-34.97%40.84M-55.22%24.15M-29.68%71.12M-25.20%98.48M171.11%62.8M3.85%53.93M190.96%101.14M77.76%131.65M
Advance deposits and other receivables 230.24%102.86M105.22%56.25M-27.85%41.95M-7.87%38.09M-17.32%31.15M-22.72%27.41M-10.74%58.15M-18.13%41.34M-38.70%37.67M-21.00%35.47M
Cash and equivalents 2.09%769.37M48.51%1.13B20.32%922.29M-6.27%833.32M-30.34%753.61M-13.62%757.64M-30.00%766.52M-18.27%889.1M-1.72%1.08B-17.20%877.14M
Financial assets at fair value-current assets -8.57%413.72M1.33%498.12M-11.11%436.19M-11.71%407M49.77%452.5M1.33%491.59M68.31%490.71M58.29%460.98M14.82%302.12M-3.70%485.16M
Other current assets 96.18%523.03M-11.78%218.86M-5.59%231.51M-19.67%223.45M-1.62%266.61M-22.01%248.09M1.14%245.21M22.63%278.16M82.91%271.01M161.26%318.09M
Special items of current assets ---------------------97.28%730.58K1,045.33%13.87M979.90%13.44M669.85%13.45M1,437.29%26.86M
Total current assets 13.47%3.97B8.09%4.03B-1.30%3.66B-2.53%3.63B-4.49%3.5B-4.46%3.73B-0.30%3.71B-0.06%3.73B1.66%3.66B0.56%3.9B
Non-current assets
Fixed assets -11.79%666.34M-4.99%726.56M-2.88%745.05M-4.10%748.66M-5.42%755.41M-5.56%764.72M-6.35%767.19M-4.78%780.63M-4.67%798.71M-5.21%809.76M
Investment property 20.76%218.21M-3.92%175.81M-3.81%177.67M-3.93%179.69M-4.28%180.69M-3.38%182.99M-4.12%184.71M-10.69%187.04M-10.54%188.77M-12.15%189.38M
Construction in progress -34.61%1.56M-48.30%778.72K-58.96%2.32M-57.05%2.38M-18.91%2.39M51.86%1.51M666.61%5.66M1,677.67%5.54M120.96%2.95M-18.60%991.94K
long-term investment -19.99%424.71M-16.68%410.75M-11.57%408.12M-13.50%389.99M5.24%530.81M4.92%492.99M-36.23%461.54M-35.34%450.85M-32.11%504.39M-34.50%469.85M
Intangible assets -13.32%82.33M-14.77%83.92M-12.63%87.73M-12.83%91.28M-12.28%94.98M-12.28%98.47M-13.78%100.41M-13.53%104.71M-13.94%108.28M-14.03%112.25M
Deferred tax assets 13.40%20.5M10.30%21.55M-5.38%20.3M-9.84%19.43M-12.18%18.08M-8.12%19.54M6.73%21.46M0.04%21.55M6.39%20.58M-2.16%21.27M
Other illiquid assets --176.4K-95.40%245.09K-95.28%34.92K-99.71%23.4K----262.77%5.33M-96.91%739.6K-72.24%7.96M-88.78%1.32M-91.20%1.47M
Special items of non-current assets -33.79%9.87M-31.75%11.19M-26.99%12.45M-25.97%13.66M-15.67%14.91M-12.09%16.4M18.09%17.05M12.50%18.45M74.07%17.68M69.85%18.65M
Total non-current assets -10.69%1.43B-9.71%1.44B-6.93%1.46B-8.54%1.45B-3.01%1.6B-2.82%1.59B-18.37%1.57B-17.57%1.59B-16.14%1.65B-17.46%1.64B
Total assets 5.87%5.4B2.77%5.47B-2.97%5.12B-4.33%5.09B-4.03%5.1B-3.97%5.32B-6.45%5.28B-6.02%5.32B-4.64%5.32B-5.53%5.54B
Liabilities
Current liabilities
Accounts payable 20.72%1.49B10.51%1.47B3.80%1.4B1.54%1.36B-4.10%1.23B-7.70%1.33B-2.62%1.35B-3.42%1.34B-5.18%1.29B-6.17%1.44B
Notes payable 26.19%95.46M-3.81%106.09M20.69%60.45M-45.74%33.48M-3.63%75.65M39.54%110.29M-47.20%50.08M-35.66%61.71M-22.63%78.49M-43.67%79.04M
Tax payable 11.63%21.31M9.54%43.63M-22.83%17.56M-28.46%23.96M-13.42%19.09M21.71%39.83M-31.86%22.75M-2.25%33.49M-48.01%22.05M-37.15%32.73M
Other payables and accrued expenses -14.45%74.51M3.24%107.02M-14.64%78.31M-13.89%86.99M-11.26%87.1M6.73%103.66M-12.66%91.74M-10.75%101.03M27.59%98.15M-8.29%97.12M
Advance payment -5.70%462.2K-89.63%48.63K174.47%516.63K-57.18%399.02K276.14%490.12K132.58%468.97K-35.63%188.23K3.38%931.86K-56.85%130.3K59.77%201.64K
Short-term borrowing -----------------40.22%15.76M-39.63%42.33M152.38%45.71M108.21%37.71M45.51%26.36M--70.11M
Other current liabilities 7.98%77.55M-16.84%70.15M34.15%48.61M33.59%41.81M78.24%71.82M128.72%84.36M17.97%36.23M0.96%31.29M65.57%40.29M34.02%36.88M
Special items of current liabilities -32.04%4.42M-13.84%5.04M-6.70%5.59M10.19%5.43M6.12%6.5M43.04%5.85M4.38%5.99M-26.62%4.92M-9.72%6.12M-33.16%4.09M
Total current liabilities 15.66%1.95B7.48%2.02B-0.51%1.75B-3.53%1.67B-1.82%1.69B-0.98%1.88B-3.18%1.75B-3.85%1.74B-0.03%1.72B-4.33%1.9B
Net current assets 11.41%2.01B8.71%2.01B-2.01%1.92B-1.66%1.96B-6.86%1.81B-7.76%1.85B2.44%1.96B3.49%1.99B3.21%1.94B5.69%2B
Total assets less current liabilities 1.01%3.45B0.19%3.44B-4.20%3.38B-4.71%3.41B-5.09%3.41B-5.54%3.44B-8.00%3.52B-7.04%3.58B-6.70%3.59B-6.14%3.64B
Non-current liabilities
Long-term bank loan --766.65K------------------------------------
Long-term remuneration payable to staff and workers -25.06%2.8M-45.42%2.29M-41.85%2.62M-28.18%3.27M-29.86%3.74M-29.22%4.2M-34.55%4.51M-38.05%4.55M-35.03%5.33M-32.02%5.93M
Financial lease liabilities-non-current liabilities 62.93%5.66M-43.09%2.63M-49.97%2.52M-44.63%3.68M-47.11%3.47M-49.15%4.63M134.19%5.04M116.66%6.65M94.08%6.56M75.16%9.1M
Deferred tax liability 35.95%6.62M11.75%5.62M-3.45%5.47M12.66%5.88M-23.48%4.87M-20.79%5.03M-2.42%5.66M-7.37%5.22M33.72%6.37M-5.78%6.35M
Deferred income-non-current liabilities -21.29%24.07M-19.00%26.26M-13.29%30.09M-21.04%29.06M-20.91%30.58M-19.64%32.42M-16.49%34.7M-15.54%36.81M-14.01%38.66M-13.31%40.34M
Total non-current liabilities -9.06%39.91M-23.44%36.81M-18.46%40.7M-21.29%41.9M-23.38%43.89M-22.76%48.08M-13.41%49.91M-10.74%53.24M-6.56%57.28M-7.38%62.25M
Total liabilities 15.04%1.99B6.71%2.06B-1.01%1.79B-4.06%1.72B-2.52%1.73B-1.67%1.93B-3.50%1.8B-4.07%1.79B-0.25%1.78B-4.43%1.96B
Total assets less total liabilities 1.14%3.41B0.52%3.41B-3.99%3.34B-4.46%3.37B-4.79%3.37B-5.24%3.39B-7.92%3.47B-6.98%3.53B-6.70%3.54B-6.12%3.58B
Total equity and non-current liabilities 1.01%3.45B0.19%3.44B-4.20%3.38B-4.71%3.41B-5.09%3.41B-5.54%3.44B-8.00%3.52B-7.04%3.58B-6.70%3.59B-6.14%3.64B
Equity
Share capital 0.00%913.84M0.00%913.84M0.00%913.84M0.00%913.84M0.00%913.84M0.00%913.84M0.00%913.84M0.00%913.84M0.00%913.84M0.00%913.84M
Capital reserve -0.03%1.47B-0.03%1.47B-0.03%1.47B-0.03%1.47B0.00%1.47B0.00%1.47B0.00%1.47B0.00%1.47B0.00%1.47B0.00%1.47B
Undistributed profit 3.02%396.32M-2.46%409.66M-35.23%330.27M-30.75%374.4M-31.66%384.71M-31.02%419.99M-39.25%509.92M-35.92%540.64M-34.04%562.92M-31.11%608.84M
Special items of shareholders' rights and interests -------------18.44%274.91K-23.87%275.36K-23.95%275.61K-63.75%287.64K-61.03%337.07K-59.75%361.7K--362.4K
Shareholders' Equity 1.04%3.11B0.32%3.12B-5.63%3.02B-5.15%3.07B-5.47%3.08B-5.72%3.11B-8.72%3.2B-7.96%3.24B-7.58%3.26B-7.05%3.3B
Non-controlling interest 2.28%294.53M2.79%283M15.43%311.31M3.23%301.91M3.20%287.97M0.56%275.32M2.82%269.7M5.33%292.48M4.92%279.04M6.83%273.8M
Total equity 1.14%3.41B0.52%3.41B-3.99%3.34B-4.46%3.37B-4.79%3.37B-5.24%3.39B-7.92%3.47B-6.98%3.53B-6.70%3.54B-6.12%3.58B
Total equity and total liabilities 5.87%5.4B2.77%5.47B-2.97%5.12B-4.33%5.09B-4.03%5.1B-3.97%5.32B-6.45%5.28B-6.02%5.32B-4.64%5.32B-5.53%5.54B
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 --Daxin Certified Public Accountants (Special General Partnership)------Daxin Certified Public Accountants (Special General Partnership)------Daxin 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