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CANBRIDGE-B (01228)

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  • 1.990
  • +0.040+2.05%
15min DelayMarket Closed Jun 18 16:01 CST
1.18BMarket Cap71.07P/E (TTM)

CANBRIDGE-B (01228) Cash Flow

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YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2025
(Q6)Jun 30, 2025
(FY)Dec 31, 2024
(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
Cash flow from operating activities
Earning before tax
103.35%14.82M
123.96%59.24M
-16.84%-442.62M
-13.34%-247.27M
21.64%-378.84M
12.39%-218.16M
55.11%-483.48M
27.66%-249.01M
-27.30%-1.08B
-119.62%-344.2M
Profit adjustment
Interest (income) - adjustment
26.77%-372K
99.09%-4K
95.37%-508K
93.76%-441K
-181.97%-10.98M
-481.96%-7.07M
-49.33%-3.89M
-8.01%-1.21M
-170.44%-2.61M
-147.58%-1.12M
Impairment and provisions:
-45.77%770K
-97.10%764K
-64.56%1.42M
--26.33M
--4.01M
----
----
----
----
----
-Impairment of property, plant and equipment (reversal)
----
----
-64.56%1.42M
----
--4.01M
----
----
----
----
----
-Impairmen of inventory (reversal)
--770K
7.02%61K
----
--57K
----
----
----
----
----
----
-Other impairments and provisions
----
-97.32%703K
----
--26.27M
----
----
----
----
----
----
Revaluation surplus:
----
----
----
----
----
----
----
----
-29.89%427.98M
-116.99%-12.61M
-Derivative financial instruments fair value (increase)
----
----
----
----
----
----
----
----
-266.08%-34.45M
-985.17%-34.45M
-Other fair value changes
----
----
----
----
----
----
----
----
-21.58%462.44M
-71.76%21.85M
Asset sale loss (gain):
50.41%-1.09M
84.29%-936K
-197.91%-2.2M
-428.03%-5.96M
33.83%2.25M
47.04%1.82M
117.29%1.68M
112.70%1.24M
---9.73M
---9.73M
-Loss (gain) on sale of property, machinery and equipment
-126.87%-1.09M
-308.00%-936K
80.68%4.07M
-78.09%450K
33.83%2.25M
27.42%2.05M
--1.68M
--1.61M
----
----
-Loss (gain) from selling other assets
----
----
---6.27M
-2,592.02%-6.41M
----
36.87%-238K
----
96.12%-377K
---9.73M
---9.73M
Depreciation and amortization:
-55.43%12.15M
-53.24%6.41M
-4.24%27.25M
0.23%13.72M
29.49%28.46M
50.27%13.68M
39.93%21.98M
24.72%9.11M
-11.96%15.71M
64.62%7.3M
-Amortization of intangible assets
-4.54%10.29M
1.56%5.33M
22.34%10.78M
48.60%5.24M
42.86%8.81M
5.82%3.53M
-11.76%6.17M
-11.66%3.34M
-46.02%6.99M
59.42%3.78M
Financial expense
-74.02%2.23M
-61.30%1.77M
-4.07%8.58M
2.47%4.57M
30.38%8.95M
79.65%4.46M
122.90%6.86M
59.31%2.48M
-20.50%3.08M
-26.47%1.56M
Exchange Loss (gain)
-216.93%-8.23M
-150.22%-1.8M
-23.30%7.04M
-78.61%3.59M
-67.70%9.18M
-0.85%16.77M
4,590.52%28.43M
2,682.07%16.92M
-234.68%-633K
41.07%608K
Special items
-199.57%-95.24M
-2,127.44%-96.79M
386.05%95.65M
-65.21%4.77M
-20.00%19.68M
-31.66%13.72M
-19.37%24.6M
200.93%20.08M
108.19%30.51M
-19.42%6.67M
Adjustment items
----
--3.56M
----
----
----
----
----
----
----
----
Operating profit before the change of operating capital
75.45%-74.97M
86.15%-27.79M
3.75%-305.38M
-14.83%-200.69M
21.43%-317.29M
12.79%-174.77M
34.09%-403.82M
42.99%-200.41M
-208.49%-612.7M
-418.93%-351.52M
Change of operating capital
Inventory (increase) decrease
82.27%1.6M
-326.96%-16.85M
-15.47%880K
60.76%-3.95M
-71.27%1.04M
-361.54%-10.06M
128.10%3.62M
637.15%3.85M
-19,637.88%-12.9M
-908.45%-716K
Accounts receivable (increase)decrease
-191.22%-13.35M
237.16%9.32M
220.26%14.64M
137.69%2.76M
-22.81%-12.17M
-35.50%-7.33M
-371.82%-9.91M
-6,050.00%-5.41M
68.18%-2.1M
75.89%-88K
Accounts payable increase (decrease)
-100.37%-619K
-68.71%29.44M
350.00%166.26M
555.61%94.07M
-61.15%36.95M
-62.30%14.35M
62.09%95.11M
1,857.82%38.06M
15.66%58.67M
163.91%1.94M
prepayments (increase)decrease
239.40%2.37M
165.49%613K
-69.21%698K
-224.80%-936K
-92.48%2.27M
-95.31%750K
245.85%30.13M
234.40%16M
-1,243.91%-20.66M
-2,166.32%-11.9M
Special items for working capital changes
--46.39M
----
----
----
----
----
----
----
----
----
Adjustment items for working capital changes
----
---3.56M
----
----
----
----
----
----
----
----
Cash  from business operations
68.61%-38.58M
91.88%-8.83M
57.50%-122.9M
38.59%-108.74M
-1.52%-289.21M
-19.70%-177.07M
51.69%-284.87M
59.17%-147.92M
-286.39%-589.68M
-412.84%-362.28M
Interest received - operating
-26.77%372K
-99.09%4K
-95.37%508K
-93.76%441K
181.97%10.98M
899.29%7.07M
49.33%3.89M
-37.10%707K
170.44%2.61M
147.58%1.12M
Net cash from operations
68.78%-38.21M
91.85%-8.83M
56.01%-122.4M
36.30%-108.3M
0.98%-278.23M
-15.48%-170M
52.14%-280.98M
59.24%-147.21M
-287.13%-587.07M
-414.56%-361.16M
Cash flow from investment activities
Loan receivable (increase) decrease
----
----
----
--14.01M
----
----
----
----
----
----
Sale of fixed assets
4,459.26%1.23M
8,341.67%1.01M
--27K
--12K
----
----
----
----
----
----
Purchase of fixed assets
94.29%-6K
57.14%-6K
97.96%-105K
99.57%-14K
66.15%-5.14M
60.22%-3.29M
-198.74%-15.2M
-198.23%-8.27M
-97.86%-5.09M
-950.38%-2.77M
Selling intangible assets
----
----
0.00%14.01M
----
--14.01M
----
----
----
--131.43M
--131.43M
Purchase of intangible assets
----
----
----
----
-82.33%-35.72M
99.47%-101K
-7,895.51%-19.59M
-26,122.22%-18.88M
99.84%-245K
99.95%-72K
Net cash from investment operations
-91.20%1.23M
-92.81%1.01M
151.86%13.93M
512.95%14M
22.80%-26.86M
87.51%-3.39M
-127.59%-34.79M
-121.12%-27.15M
182.16%126.09M
188.01%128.58M
Net cash before financing
65.90%-36.99M
91.71%-7.82M
64.45%-108.47M
45.62%-94.3M
3.38%-305.09M
0.56%-173.39M
31.50%-315.77M
25.03%-174.36M
-51.07%-460.98M
-7.53%-232.58M
Cash flow from financing activities
New borrowing
-28.31%20.03M
-28.31%20.03M
41.07%27.93M
185.02%27.93M
-48.75%19.8M
-70.61%9.8M
86.07%38.63M
--33.35M
-3.57%20.76M
----
Refund
-26.34%-35.37M
-47.99%-18.44M
-1.62%-28M
6.78%-12.46M
18.98%-27.55M
13.41%-13.37M
-38.77%-34.01M
2.50%-15.44M
-72.02%-24.51M
-133.49%-15.83M
Issuing shares
286,179.49%111.65M
----
-48.68%39K
-22.00%39K
--76K
--50K
----
----
34.39%894.65M
-11.95%335.78M
Interest paid - financing
32.94%-975K
67.10%-328K
2.09%-1.45M
-36.02%-997K
31.57%-1.49M
34.84%-733K
-57.36%-2.17M
-39.41%-1.13M
72.37%-1.38M
77.96%-807K
Issuance expenses and redemption of securities expenses
----
----
----
----
----
----
93.87%-1.94M
-203.35%-2.17M
-2,433.33%-31.69M
-908.45%-716K
Pledged bank deposit (increase) decrease
----
----
----
--6.41M
94.64%-640K
----
---11.95M
---11.52M
----
----
Other items of the financing business
----
----
----
----
----
----
-99.16%34K
----
-75.20%4.05M
----
Net cash from financing operations
598.04%92.47M
-105.69%-678K
33.73%-18.57M
179.79%11.91M
-35.32%-28.02M
-892.03%-14.93M
-102.42%-20.7M
-100.48%-1.51M
25.77%854.31M
-20.67%315.38M
Effect of rate
1,328.89%643K
-111.36%-45K
-99.34%45K
-95.24%396K
-83.62%6.85M
-64.04%8.33M
602.35%41.81M
1,634.39%23.15M
69.40%-8.32M
-221.06%-1.51M
Net Cash
143.67%55.48M
89.69%-8.5M
61.86%-127.03M
56.25%-82.38M
1.00%-333.1M
-7.08%-188.32M
-185.54%-336.47M
-312.39%-175.87M
5.13%393.33M
-54.31%82.81M
Begining period cash
-92.36%10.5M
-91.59%10.5M
-69.52%137.49M
-72.32%124.9M
-39.51%451.16M
-39.51%451.16M
106.71%745.82M
106.71%745.82M
2,500.76%360.8M
2,500.76%360.8M
Cash at the end
534.40%66.63M
-95.43%1.96M
-91.59%10.5M
-84.17%42.91M
-72.32%124.9M
-54.28%271.16M
-39.51%451.16M
34.16%593.1M
106.71%745.82M
127.13%442.1M
Cash balance analysis
Cash and bank balance
----
-96.01%1.96M
----
-82.69%49.1M
----
--283.56M
----
----
----
--442.1M
Bank deposits
----
---491K
---469K
----
----
----
----
----
----
----
Cash and cash equivalent balance
----
-96.58%1.47M
----
--42.91M
----
----
----
----
----
----
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
--
Auditor
National Health Accounting Firm Co., Ltd.
--
National Health Accounting Firm Co., Ltd.
--
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
(FY)Dec 31, 2025(Q6)Jun 30, 2025(FY)Dec 31, 2024(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
Cash flow from operating activities
Earning before tax 103.35%14.82M123.96%59.24M-16.84%-442.62M-13.34%-247.27M21.64%-378.84M12.39%-218.16M55.11%-483.48M27.66%-249.01M-27.30%-1.08B-119.62%-344.2M
Profit adjustment
Interest (income) - adjustment 26.77%-372K99.09%-4K95.37%-508K93.76%-441K-181.97%-10.98M-481.96%-7.07M-49.33%-3.89M-8.01%-1.21M-170.44%-2.61M-147.58%-1.12M
Impairment and provisions: -45.77%770K-97.10%764K-64.56%1.42M--26.33M--4.01M--------------------
-Impairment of property, plant and equipment (reversal) ---------64.56%1.42M------4.01M--------------------
-Impairmen of inventory (reversal) --770K7.02%61K------57K------------------------
-Other impairments and provisions -----97.32%703K------26.27M------------------------
Revaluation surplus: ---------------------------------29.89%427.98M-116.99%-12.61M
-Derivative financial instruments fair value (increase) ---------------------------------266.08%-34.45M-985.17%-34.45M
-Other fair value changes ---------------------------------21.58%462.44M-71.76%21.85M
Asset sale loss (gain): 50.41%-1.09M84.29%-936K-197.91%-2.2M-428.03%-5.96M33.83%2.25M47.04%1.82M117.29%1.68M112.70%1.24M---9.73M---9.73M
-Loss (gain) on sale of property, machinery and equipment -126.87%-1.09M-308.00%-936K80.68%4.07M-78.09%450K33.83%2.25M27.42%2.05M--1.68M--1.61M--------
-Loss (gain) from selling other assets -----------6.27M-2,592.02%-6.41M----36.87%-238K----96.12%-377K---9.73M---9.73M
Depreciation and amortization: -55.43%12.15M-53.24%6.41M-4.24%27.25M0.23%13.72M29.49%28.46M50.27%13.68M39.93%21.98M24.72%9.11M-11.96%15.71M64.62%7.3M
-Amortization of intangible assets -4.54%10.29M1.56%5.33M22.34%10.78M48.60%5.24M42.86%8.81M5.82%3.53M-11.76%6.17M-11.66%3.34M-46.02%6.99M59.42%3.78M
Financial expense -74.02%2.23M-61.30%1.77M-4.07%8.58M2.47%4.57M30.38%8.95M79.65%4.46M122.90%6.86M59.31%2.48M-20.50%3.08M-26.47%1.56M
Exchange Loss (gain) -216.93%-8.23M-150.22%-1.8M-23.30%7.04M-78.61%3.59M-67.70%9.18M-0.85%16.77M4,590.52%28.43M2,682.07%16.92M-234.68%-633K41.07%608K
Special items -199.57%-95.24M-2,127.44%-96.79M386.05%95.65M-65.21%4.77M-20.00%19.68M-31.66%13.72M-19.37%24.6M200.93%20.08M108.19%30.51M-19.42%6.67M
Adjustment items ------3.56M--------------------------------
Operating profit before the change of operating capital 75.45%-74.97M86.15%-27.79M3.75%-305.38M-14.83%-200.69M21.43%-317.29M12.79%-174.77M34.09%-403.82M42.99%-200.41M-208.49%-612.7M-418.93%-351.52M
Change of operating capital
Inventory (increase) decrease 82.27%1.6M-326.96%-16.85M-15.47%880K60.76%-3.95M-71.27%1.04M-361.54%-10.06M128.10%3.62M637.15%3.85M-19,637.88%-12.9M-908.45%-716K
Accounts receivable (increase)decrease -191.22%-13.35M237.16%9.32M220.26%14.64M137.69%2.76M-22.81%-12.17M-35.50%-7.33M-371.82%-9.91M-6,050.00%-5.41M68.18%-2.1M75.89%-88K
Accounts payable increase (decrease) -100.37%-619K-68.71%29.44M350.00%166.26M555.61%94.07M-61.15%36.95M-62.30%14.35M62.09%95.11M1,857.82%38.06M15.66%58.67M163.91%1.94M
prepayments (increase)decrease 239.40%2.37M165.49%613K-69.21%698K-224.80%-936K-92.48%2.27M-95.31%750K245.85%30.13M234.40%16M-1,243.91%-20.66M-2,166.32%-11.9M
Special items for working capital changes --46.39M------------------------------------
Adjustment items for working capital changes -------3.56M--------------------------------
Cash  from business operations 68.61%-38.58M91.88%-8.83M57.50%-122.9M38.59%-108.74M-1.52%-289.21M-19.70%-177.07M51.69%-284.87M59.17%-147.92M-286.39%-589.68M-412.84%-362.28M
Interest received - operating -26.77%372K-99.09%4K-95.37%508K-93.76%441K181.97%10.98M899.29%7.07M49.33%3.89M-37.10%707K170.44%2.61M147.58%1.12M
Net cash from operations 68.78%-38.21M91.85%-8.83M56.01%-122.4M36.30%-108.3M0.98%-278.23M-15.48%-170M52.14%-280.98M59.24%-147.21M-287.13%-587.07M-414.56%-361.16M
Cash flow from investment activities
Loan receivable (increase) decrease --------------14.01M------------------------
Sale of fixed assets 4,459.26%1.23M8,341.67%1.01M--27K--12K------------------------
Purchase of fixed assets 94.29%-6K57.14%-6K97.96%-105K99.57%-14K66.15%-5.14M60.22%-3.29M-198.74%-15.2M-198.23%-8.27M-97.86%-5.09M-950.38%-2.77M
Selling intangible assets --------0.00%14.01M------14.01M--------------131.43M--131.43M
Purchase of intangible assets -----------------82.33%-35.72M99.47%-101K-7,895.51%-19.59M-26,122.22%-18.88M99.84%-245K99.95%-72K
Net cash from investment operations -91.20%1.23M-92.81%1.01M151.86%13.93M512.95%14M22.80%-26.86M87.51%-3.39M-127.59%-34.79M-121.12%-27.15M182.16%126.09M188.01%128.58M
Net cash before financing 65.90%-36.99M91.71%-7.82M64.45%-108.47M45.62%-94.3M3.38%-305.09M0.56%-173.39M31.50%-315.77M25.03%-174.36M-51.07%-460.98M-7.53%-232.58M
Cash flow from financing activities
New borrowing -28.31%20.03M-28.31%20.03M41.07%27.93M185.02%27.93M-48.75%19.8M-70.61%9.8M86.07%38.63M--33.35M-3.57%20.76M----
Refund -26.34%-35.37M-47.99%-18.44M-1.62%-28M6.78%-12.46M18.98%-27.55M13.41%-13.37M-38.77%-34.01M2.50%-15.44M-72.02%-24.51M-133.49%-15.83M
Issuing shares 286,179.49%111.65M-----48.68%39K-22.00%39K--76K--50K--------34.39%894.65M-11.95%335.78M
Interest paid - financing 32.94%-975K67.10%-328K2.09%-1.45M-36.02%-997K31.57%-1.49M34.84%-733K-57.36%-2.17M-39.41%-1.13M72.37%-1.38M77.96%-807K
Issuance expenses and redemption of securities expenses ------------------------93.87%-1.94M-203.35%-2.17M-2,433.33%-31.69M-908.45%-716K
Pledged bank deposit (increase) decrease --------------6.41M94.64%-640K-------11.95M---11.52M--------
Other items of the financing business -------------------------99.16%34K-----75.20%4.05M----
Net cash from financing operations 598.04%92.47M-105.69%-678K33.73%-18.57M179.79%11.91M-35.32%-28.02M-892.03%-14.93M-102.42%-20.7M-100.48%-1.51M25.77%854.31M-20.67%315.38M
Effect of rate 1,328.89%643K-111.36%-45K-99.34%45K-95.24%396K-83.62%6.85M-64.04%8.33M602.35%41.81M1,634.39%23.15M69.40%-8.32M-221.06%-1.51M
Net Cash 143.67%55.48M89.69%-8.5M61.86%-127.03M56.25%-82.38M1.00%-333.1M-7.08%-188.32M-185.54%-336.47M-312.39%-175.87M5.13%393.33M-54.31%82.81M
Begining period cash -92.36%10.5M-91.59%10.5M-69.52%137.49M-72.32%124.9M-39.51%451.16M-39.51%451.16M106.71%745.82M106.71%745.82M2,500.76%360.8M2,500.76%360.8M
Cash at the end 534.40%66.63M-95.43%1.96M-91.59%10.5M-84.17%42.91M-72.32%124.9M-54.28%271.16M-39.51%451.16M34.16%593.1M106.71%745.82M127.13%442.1M
Cash balance analysis
Cash and bank balance -----96.01%1.96M-----82.69%49.1M------283.56M--------------442.1M
Bank deposits -------491K---469K----------------------------
Cash and cash equivalent balance -----96.58%1.47M------42.91M------------------------
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions ------------Unqualified Opinion--Unqualified Opinion--
Auditor National Health Accounting Firm Co., Ltd.--National Health Accounting Firm Co., Ltd.--Ernst & Young--Ernst & Young--Ernst & Young--

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