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01357 MEITU

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  • 2.500
  • -0.280-10.07%
Trading Jun 13 15:29 CST
11.34BMarket Cap27.17P/E (TTM)

MEITU Key Stats

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YOY yoy
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(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Dec 31, 2022
(FY)Dec 31, 2021
(Q6)Dec 31, 2021
(FY)Dec 31, 2020
(Q6)Dec 31, 2020
(FY)Dec 31, 2019
(Q6)Dec 31, 2019
Assets
Current assets
Inventory
110.38%53.84M
104.91%52.44M
423.44%25.59M
423.44%25.59M
231.23%4.89M
231.23%4.89M
-89.68%1.48M
-89.68%1.48M
-96.02%14.31M
-96.02%14.31M
Accounts receivable
10.58%387.75M
-12.69%306.14M
-1.72%350.63M
-1.72%350.63M
1.64%356.78M
1.64%356.78M
-2.49%351.02M
-2.49%351.02M
-31.02%359.97M
-31.02%359.97M
Advance deposits and other receivables
34.27%919.64M
18.03%808.42M
-24.92%684.91M
-24.92%684.91M
80.21%912.28M
80.21%912.28M
11.37%506.24M
11.37%506.24M
-20.22%454.56M
-20.22%454.56M
Cash and equivalents
-32.32%640.63M
-29.79%664.57M
28.14%946.6M
28.14%946.6M
-36.21%738.73M
-36.21%738.73M
33.95%1.16B
33.95%1.16B
62.64%864.61M
62.64%864.61M
Short-term deposit
----
----
----
----
----
----
----
----
-23.82%1.65B
-23.82%1.65B
Fixed time deposit-current assets
51.02%532.96M
47.39%520.14M
-26.70%352.91M
-26.70%352.91M
-43.59%481.46M
-43.59%481.46M
--853.45M
--853.45M
----
----
Secured deposit
0.00%300K
0.00%300K
-40.00%300K
-40.00%300K
0.00%500K
0.00%500K
0.00%500K
0.00%500K
-50.00%500K
-50.00%500K
Short-term investment
247.60%140.85M
38.12%55.97M
406.51%40.52M
406.51%40.52M
-60.88%8M
-60.88%8M
--20.45M
--20.45M
----
----
Special items of current assets
70.75%92.84M
-15.59%45.9M
81.96%54.37M
81.96%54.37M
62.95%29.88M
62.95%29.88M
--18.34M
--18.34M
----
----
Total current assets
12.74%2.77B
-0.08%2.45B
-3.03%2.46B
-3.03%2.46B
-12.96%2.53B
-12.96%2.53B
-12.91%2.91B
-12.91%2.91B
-19.41%3.34B
-19.41%3.34B
Non-current assets
Property, plant and equipment
5.19%464.13M
4.07%459.19M
15.15%441.24M
15.15%441.24M
6.20%383.18M
6.20%383.18M
380.73%360.83M
380.73%360.83M
-50.96%75.06M
-50.96%75.06M
Advance payment
258.73%20.24M
68.51%9.51M
-71.07%5.64M
-71.07%5.64M
147.20%19.5M
147.20%19.5M
-16.66%7.89M
-16.66%7.89M
-36.13%9.47M
-36.13%9.47M
Fixed time deposit-non-current assets
80.00%90M
260.00%180M
66.67%50M
66.67%50M
-80.00%30M
-80.00%30M
36.36%150M
36.36%150M
--110M
--110M
long-term investment
-1.15%122.31M
1.46%162.24M
-20.32%123.73M
2.98%159.91M
67.36%155.29M
67.36%155.29M
268.25%92.79M
268.25%92.79M
5.71%25.2M
5.71%25.2M
Financial assets at fair value-non-current assets
17.52%1.4B
-6.86%1.11B
49.20%1.2B
49.20%1.2B
43.17%801.01M
43.17%801.01M
11.28%559.49M
11.28%559.49M
-8.12%502.77M
-8.12%502.77M
Intangible assets
17.57%775.75M
30.31%859.84M
-15.12%659.84M
-15.12%659.84M
97.84%777.4M
97.84%777.4M
-21.06%392.95M
-21.06%392.95M
144.85%497.8M
144.85%497.8M
Deferred tax assets
3.96%9.29M
20.10%10.73M
27.34%8.94M
27.34%8.94M
85.71%7.02M
85.71%7.02M
24.43%3.78M
24.43%3.78M
152.45%3.04M
152.45%3.04M
Special items of non-current assets
75.24%112.24M
-8.63%25.47M
54.75%64.05M
-32.66%27.87M
38.69%41.39M
38.69%41.39M
-42.00%29.84M
-42.00%29.84M
--51.46M
--51.46M
Total non-current assets
17.65%3B
10.65%2.82B
15.07%2.55B
15.07%2.55B
38.63%2.21B
38.63%2.21B
25.32%1.6B
25.32%1.6B
35.13%1.27B
35.13%1.27B
Total assets
15.24%5.77B
5.39%5.27B
5.41%5B
5.41%5B
5.33%4.75B
5.33%4.75B
-2.35%4.51B
-2.35%4.51B
-9.30%4.62B
-9.30%4.62B
Liabilities
Current liabilities
Accounts payable
0.15%735.21M
8.27%794.81M
-8.68%734.1M
-8.68%734.1M
21.74%803.92M
21.74%803.92M
10.52%660.36M
10.52%660.36M
-32.52%597.49M
-32.52%597.49M
Tax payable
-3.27%60.69M
27.73%80.14M
12.11%62.74M
12.11%62.74M
10.46%55.96M
10.46%55.96M
14.98%50.66M
14.98%50.66M
-13.76%44.06M
-13.76%44.06M
Bank loans and overdrafts
49.80%14.98M
99.80%19.98M
0.00%10M
0.00%10M
100.00%10M
100.00%10M
--5M
--5M
----
----
Financial lease liabilities-current liabilities
78.47%29.96M
-3.79%16.15M
-18.65%16.78M
-18.65%16.78M
-20.59%20.63M
-20.59%20.63M
-15.53%25.98M
-15.53%25.98M
--30.76M
--30.76M
Special items of current liabilities
72.72%423.59M
-4.97%233.05M
54.84%245.24M
54.84%245.24M
121.24%158.38M
121.24%158.38M
21.45%71.59M
21.45%71.59M
82.04%58.95M
82.04%58.95M
Total current liabilities
18.30%1.26B
7.04%1.14B
1.90%1.07B
1.90%1.07B
28.92%1.05B
28.92%1.05B
11.26%813.6M
11.26%813.6M
-25.30%731.25M
-25.30%731.25M
Net current assets
8.46%1.5B
-5.57%1.31B
-6.51%1.39B
-6.51%1.39B
-29.22%1.48B
-29.22%1.48B
-19.68%2.1B
-19.68%2.1B
-17.59%2.61B
-17.59%2.61B
Total assets less current liabilities
14.41%4.5B
4.94%4.13B
6.41%3.94B
6.41%3.94B
0.13%3.7B
0.13%3.7B
-4.91%3.69B
-4.91%3.69B
-5.49%3.88B
-5.49%3.88B
Non-current liabilities
Long-term accounts payable
----
----
----
----
4.27%84.43M
4.27%84.43M
-4.84%80.97M
-4.84%80.97M
-38.33%85.09M
-38.33%85.09M
Financial lease liabilities-non-current liabilities
298.82%45.35M
-14.62%9.71M
-36.52%11.37M
-36.52%11.37M
538.54%17.91M
538.54%17.91M
-84.96%2.81M
-84.96%2.81M
--18.65M
--18.65M
Deferred tax liability
-2.54%209.15M
-4.19%205.62M
167.31%214.6M
167.31%214.6M
91.36%80.28M
91.36%80.28M
-7.83%41.95M
-7.83%41.95M
273.99%45.52M
273.99%45.52M
Convertible notes and bonds
--134.57M
----
----
----
----
----
----
----
----
----
Total non-current liabilities
72.18%389.07M
-4.71%215.33M
23.74%225.97M
23.74%225.97M
45.25%182.62M
45.25%182.62M
-15.76%125.73M
-15.76%125.73M
-0.59%149.26M
-0.59%149.26M
Total liabilities
27.70%1.65B
4.99%1.36B
5.14%1.29B
5.14%1.29B
31.11%1.23B
31.11%1.23B
6.68%939.33M
6.68%939.33M
-22.01%880.51M
-22.01%880.51M
Total assets less total liabilities
10.90%4.11B
5.52%3.91B
5.51%3.71B
5.51%3.71B
-1.46%3.52B
-1.46%3.52B
-4.48%3.57B
-4.48%3.57B
-5.68%3.74B
-5.68%3.74B
Total equity and non-current liabilities
14.41%4.5B
4.94%4.13B
6.41%3.94B
6.41%3.94B
0.13%3.7B
0.13%3.7B
-4.91%3.69B
-4.91%3.69B
-5.49%3.88B
-5.49%3.88B
Equity
Share capital
0.00%283K
0.00%283K
0.71%283K
0.71%283K
0.36%281K
0.36%281K
0.00%280K
0.00%280K
2.19%280K
2.19%280K
Reserve
129.09%83.91M
312.79%151.2M
139.97%36.63M
139.97%36.63M
15.08%-91.64M
15.08%-91.64M
-62.38%-107.91M
-62.38%-107.91M
60.62%-66.46M
60.62%-66.46M
Share premium
-1.12%7.09B
-1.12%7.09B
0.53%7.17B
0.53%7.17B
0.02%7.14B
0.02%7.14B
0.02%7.14B
0.02%7.14B
1.32%7.13B
1.32%7.13B
Legal reserve
129.09%83.91M
312.79%151.2M
139.97%36.63M
139.97%36.63M
15.08%-91.64M
15.08%-91.64M
-62.38%-107.91M
-62.38%-107.91M
60.62%-66.46M
60.62%-66.46M
Retained profit
10.82%-3.07B
6.61%-3.21B
2.48%-3.44B
2.48%-3.44B
-1.59%-3.53B
-1.59%-3.53B
-1.27%-3.47B
-1.27%-3.47B
-13.13%-3.43B
-13.13%-3.43B
Shareholders' Equity
9.00%4.11B
6.94%4.03B
7.20%3.77B
7.20%3.77B
-1.06%3.52B
-1.06%3.52B
-2.31%3.55B
-2.31%3.55B
-5.28%3.64B
-5.28%3.64B
Non-controlling interest
108.06%4.84M
-94.28%-116.78M
-10,691.56%-60.11M
-10,691.56%-60.11M
-104.01%-557K
-104.01%-557K
-85.72%13.91M
-85.72%13.91M
-18.36%97.34M
-18.36%97.34M
Total equity
10.90%4.11B
5.52%3.91B
5.51%3.71B
5.51%3.71B
-1.46%3.52B
-1.46%3.52B
-4.48%3.57B
-4.48%3.57B
-5.68%3.74B
-5.68%3.74B
Total equity and total liabilities
15.24%5.77B
5.39%5.27B
5.41%5B
5.41%5B
5.33%4.75B
5.33%4.75B
-2.35%4.51B
-2.35%4.51B
-9.30%4.62B
-9.30%4.62B
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
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Dec 31, 2022(FY)Dec 31, 2021(Q6)Dec 31, 2021(FY)Dec 31, 2020(Q6)Dec 31, 2020(FY)Dec 31, 2019(Q6)Dec 31, 2019
Assets
Current assets
Inventory 110.38%53.84M104.91%52.44M423.44%25.59M423.44%25.59M231.23%4.89M231.23%4.89M-89.68%1.48M-89.68%1.48M-96.02%14.31M-96.02%14.31M
Accounts receivable 10.58%387.75M-12.69%306.14M-1.72%350.63M-1.72%350.63M1.64%356.78M1.64%356.78M-2.49%351.02M-2.49%351.02M-31.02%359.97M-31.02%359.97M
Advance deposits and other receivables 34.27%919.64M18.03%808.42M-24.92%684.91M-24.92%684.91M80.21%912.28M80.21%912.28M11.37%506.24M11.37%506.24M-20.22%454.56M-20.22%454.56M
Cash and equivalents -32.32%640.63M-29.79%664.57M28.14%946.6M28.14%946.6M-36.21%738.73M-36.21%738.73M33.95%1.16B33.95%1.16B62.64%864.61M62.64%864.61M
Short-term deposit ---------------------------------23.82%1.65B-23.82%1.65B
Fixed time deposit-current assets 51.02%532.96M47.39%520.14M-26.70%352.91M-26.70%352.91M-43.59%481.46M-43.59%481.46M--853.45M--853.45M--------
Secured deposit 0.00%300K0.00%300K-40.00%300K-40.00%300K0.00%500K0.00%500K0.00%500K0.00%500K-50.00%500K-50.00%500K
Short-term investment 247.60%140.85M38.12%55.97M406.51%40.52M406.51%40.52M-60.88%8M-60.88%8M--20.45M--20.45M--------
Special items of current assets 70.75%92.84M-15.59%45.9M81.96%54.37M81.96%54.37M62.95%29.88M62.95%29.88M--18.34M--18.34M--------
Total current assets 12.74%2.77B-0.08%2.45B-3.03%2.46B-3.03%2.46B-12.96%2.53B-12.96%2.53B-12.91%2.91B-12.91%2.91B-19.41%3.34B-19.41%3.34B
Non-current assets
Property, plant and equipment 5.19%464.13M4.07%459.19M15.15%441.24M15.15%441.24M6.20%383.18M6.20%383.18M380.73%360.83M380.73%360.83M-50.96%75.06M-50.96%75.06M
Advance payment 258.73%20.24M68.51%9.51M-71.07%5.64M-71.07%5.64M147.20%19.5M147.20%19.5M-16.66%7.89M-16.66%7.89M-36.13%9.47M-36.13%9.47M
Fixed time deposit-non-current assets 80.00%90M260.00%180M66.67%50M66.67%50M-80.00%30M-80.00%30M36.36%150M36.36%150M--110M--110M
long-term investment -1.15%122.31M1.46%162.24M-20.32%123.73M2.98%159.91M67.36%155.29M67.36%155.29M268.25%92.79M268.25%92.79M5.71%25.2M5.71%25.2M
Financial assets at fair value-non-current assets 17.52%1.4B-6.86%1.11B49.20%1.2B49.20%1.2B43.17%801.01M43.17%801.01M11.28%559.49M11.28%559.49M-8.12%502.77M-8.12%502.77M
Intangible assets 17.57%775.75M30.31%859.84M-15.12%659.84M-15.12%659.84M97.84%777.4M97.84%777.4M-21.06%392.95M-21.06%392.95M144.85%497.8M144.85%497.8M
Deferred tax assets 3.96%9.29M20.10%10.73M27.34%8.94M27.34%8.94M85.71%7.02M85.71%7.02M24.43%3.78M24.43%3.78M152.45%3.04M152.45%3.04M
Special items of non-current assets 75.24%112.24M-8.63%25.47M54.75%64.05M-32.66%27.87M38.69%41.39M38.69%41.39M-42.00%29.84M-42.00%29.84M--51.46M--51.46M
Total non-current assets 17.65%3B10.65%2.82B15.07%2.55B15.07%2.55B38.63%2.21B38.63%2.21B25.32%1.6B25.32%1.6B35.13%1.27B35.13%1.27B
Total assets 15.24%5.77B5.39%5.27B5.41%5B5.41%5B5.33%4.75B5.33%4.75B-2.35%4.51B-2.35%4.51B-9.30%4.62B-9.30%4.62B
Liabilities
Current liabilities
Accounts payable 0.15%735.21M8.27%794.81M-8.68%734.1M-8.68%734.1M21.74%803.92M21.74%803.92M10.52%660.36M10.52%660.36M-32.52%597.49M-32.52%597.49M
Tax payable -3.27%60.69M27.73%80.14M12.11%62.74M12.11%62.74M10.46%55.96M10.46%55.96M14.98%50.66M14.98%50.66M-13.76%44.06M-13.76%44.06M
Bank loans and overdrafts 49.80%14.98M99.80%19.98M0.00%10M0.00%10M100.00%10M100.00%10M--5M--5M--------
Financial lease liabilities-current liabilities 78.47%29.96M-3.79%16.15M-18.65%16.78M-18.65%16.78M-20.59%20.63M-20.59%20.63M-15.53%25.98M-15.53%25.98M--30.76M--30.76M
Special items of current liabilities 72.72%423.59M-4.97%233.05M54.84%245.24M54.84%245.24M121.24%158.38M121.24%158.38M21.45%71.59M21.45%71.59M82.04%58.95M82.04%58.95M
Total current liabilities 18.30%1.26B7.04%1.14B1.90%1.07B1.90%1.07B28.92%1.05B28.92%1.05B11.26%813.6M11.26%813.6M-25.30%731.25M-25.30%731.25M
Net current assets 8.46%1.5B-5.57%1.31B-6.51%1.39B-6.51%1.39B-29.22%1.48B-29.22%1.48B-19.68%2.1B-19.68%2.1B-17.59%2.61B-17.59%2.61B
Total assets less current liabilities 14.41%4.5B4.94%4.13B6.41%3.94B6.41%3.94B0.13%3.7B0.13%3.7B-4.91%3.69B-4.91%3.69B-5.49%3.88B-5.49%3.88B
Non-current liabilities
Long-term accounts payable ----------------4.27%84.43M4.27%84.43M-4.84%80.97M-4.84%80.97M-38.33%85.09M-38.33%85.09M
Financial lease liabilities-non-current liabilities 298.82%45.35M-14.62%9.71M-36.52%11.37M-36.52%11.37M538.54%17.91M538.54%17.91M-84.96%2.81M-84.96%2.81M--18.65M--18.65M
Deferred tax liability -2.54%209.15M-4.19%205.62M167.31%214.6M167.31%214.6M91.36%80.28M91.36%80.28M-7.83%41.95M-7.83%41.95M273.99%45.52M273.99%45.52M
Convertible notes and bonds --134.57M------------------------------------
Total non-current liabilities 72.18%389.07M-4.71%215.33M23.74%225.97M23.74%225.97M45.25%182.62M45.25%182.62M-15.76%125.73M-15.76%125.73M-0.59%149.26M-0.59%149.26M
Total liabilities 27.70%1.65B4.99%1.36B5.14%1.29B5.14%1.29B31.11%1.23B31.11%1.23B6.68%939.33M6.68%939.33M-22.01%880.51M-22.01%880.51M
Total assets less total liabilities 10.90%4.11B5.52%3.91B5.51%3.71B5.51%3.71B-1.46%3.52B-1.46%3.52B-4.48%3.57B-4.48%3.57B-5.68%3.74B-5.68%3.74B
Total equity and non-current liabilities 14.41%4.5B4.94%4.13B6.41%3.94B6.41%3.94B0.13%3.7B0.13%3.7B-4.91%3.69B-4.91%3.69B-5.49%3.88B-5.49%3.88B
Equity
Share capital 0.00%283K0.00%283K0.71%283K0.71%283K0.36%281K0.36%281K0.00%280K0.00%280K2.19%280K2.19%280K
Reserve 129.09%83.91M312.79%151.2M139.97%36.63M139.97%36.63M15.08%-91.64M15.08%-91.64M-62.38%-107.91M-62.38%-107.91M60.62%-66.46M60.62%-66.46M
Share premium -1.12%7.09B-1.12%7.09B0.53%7.17B0.53%7.17B0.02%7.14B0.02%7.14B0.02%7.14B0.02%7.14B1.32%7.13B1.32%7.13B
Legal reserve 129.09%83.91M312.79%151.2M139.97%36.63M139.97%36.63M15.08%-91.64M15.08%-91.64M-62.38%-107.91M-62.38%-107.91M60.62%-66.46M60.62%-66.46M
Retained profit 10.82%-3.07B6.61%-3.21B2.48%-3.44B2.48%-3.44B-1.59%-3.53B-1.59%-3.53B-1.27%-3.47B-1.27%-3.47B-13.13%-3.43B-13.13%-3.43B
Shareholders' Equity 9.00%4.11B6.94%4.03B7.20%3.77B7.20%3.77B-1.06%3.52B-1.06%3.52B-2.31%3.55B-2.31%3.55B-5.28%3.64B-5.28%3.64B
Non-controlling interest 108.06%4.84M-94.28%-116.78M-10,691.56%-60.11M-10,691.56%-60.11M-104.01%-557K-104.01%-557K-85.72%13.91M-85.72%13.91M-18.36%97.34M-18.36%97.34M
Total equity 10.90%4.11B5.52%3.91B5.51%3.71B5.51%3.71B-1.46%3.52B-1.46%3.52B-4.48%3.57B-4.48%3.57B-5.68%3.74B-5.68%3.74B
Total equity and total liabilities 15.24%5.77B5.39%5.27B5.41%5B5.41%5B5.33%4.75B5.33%4.75B-2.35%4.51B-2.35%4.51B-9.30%4.62B-9.30%4.62B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--

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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