HK Stock MarketDetailed Quotes

ANTON OILFIELD (03337)

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  • 0.770
  • -0.005-0.65%
15min DelayNot Open Aug 24 16:01 CST
2.31BMarket Cap5.58P/E (TTM)

ANTON OILFIELD (03337) Cash Flow

Cumulative·All
YOY yoy
Hide blank lines yoy
Currency: CNY
2025/FY
2025/H1
2024/FY
2024/H1
2023/FY
2023/H1
2022/FY
2022/H1
2021/FY
2021/H1
2020/FY
2020/H1
2019/FY
2019/H1
2018/FY
2018/H1
2017/FY
2017/H1
2016/FY
2016/H1
Operating Cash Flow
+3.37%1.37B
+7.04%370.01M
+44.53%1.33B
+1.32%345.67M
-6.45%916.78M
+6.38%341.17M
+29.41%979.96M
+243.93%320.71M
-5.98%757.25M
-2.24%93.25M
+31.97%805.37M
-64.41%95.39M
+45.29%610.25M
+488.97%267.98M
+114.72%420.01M
+122.03%45.50M
+69.19%195.61M
-174.15%-206.57M
-26.55%115.62M
-132.20%-75.35M
Operating Income before the Change of Operating Capital
+6.26%1.13B
+11.40%562.77M
+4.21%1.07B
+4.18%505.17M
+21.40%1.02B
+6.24%484.91M
-3.37%842.40M
+1.54%456.42M
+20.27%871.77M
+15.21%449.51M
-40.29%724.83M
-32.89%390.16M
+15.87%1.21B
+25.70%581.41M
+43.87%1.05B
+59.20%462.52M
+82.73%728.15M
+127.29%290.53M
+9.65%398.48M
-22.23%127.83M
Profit before Tax
+48.81%383.18M
+30.23%297.23M
+16.75%257.50M
+18.43%228.23M
-25.88%220.56M
+18.13%192.72M
+294.94%297.59M
+44.74%163.15M
+189.96%75.35M
+437.93%112.72M
-129.66%-83.76M
-115.68%-33.36M
+12.64%282.42M
+39.91%212.68M
+46.39%250.72M
+106.69%152.01M
+275.36%171.27M
+291.91%73.55M
+49.98%-97.67M
+39.82%-38.32M
Attributable Subsidiary (Profit) Loss
+87.45%-524.00K
+93.66%-251.00K
-92.40%-4.18M
-15.77%-3.96M
+67.34%-2.17M
-771.32%-3.42M
-642.37%-6.64M
+13.87%509.00K
+968.79%1.23M
+469.42%447.00K
+81.50%-141.00K
+66.01%-121.00K
-114.65%-762.00K
-423.64%-356.00K
-139.40%-355.00K
-84.46%110.00K
+120.83%901.00K
--708.00K
-60.84%408.00K
----
Interest (Income) - Adjustment
+11.52%-45.06M
-8.48%-22.33M
-89.69%-50.93M
-86.19%-20.59M
-49.52%-26.85M
+14.30%-11.06M
-189.40%-17.96M
-107.44%-12.90M
+66.92%-6.21M
+13.81%-6.22M
-457.17%-18.76M
-1482.68%-7.22M
-31.27%-3.37M
+76.36%-456.00K
+31.76%-2.57M
-3.93%-1.93M
-49.88%-3.76M
-151.83%-1.86M
+43.12%-2.51M
+79.03%-737.00K
Interest Expense - Adjustment
-36.05%116.46M
-37.71%55.94M
+3.45%182.10M
+3.29%89.80M
-21.45%176.02M
-25.60%86.94M
-5.14%224.10M
+8.44%116.86M
-35.08%236.24M
-45.88%107.77M
+19.44%363.91M
+38.23%199.14M
+7.01%304.68M
+2.41%144.07M
+35.93%284.73M
+47.56%140.69M
+2.22%209.48M
+5.30%95.34M
+7.76%204.93M
-9.52%90.54M
Depreciation and Amortization:
-5.79%320.56M
-5.84%157.29M
-7.12%340.28M
-10.37%167.05M
+4.35%366.35M
+14.63%186.37M
-0.53%351.09M
-3.18%162.59M
+2.60%352.97M
-3.86%167.93M
-2.43%344.03M
+0.42%174.67M
+18.31%352.59M
+38.56%173.94M
+32.79%298.02M
+24.60%125.53M
+11.99%224.43M
-9.39%100.75M
-9.75%200.39M
+15.64%111.19M
-Amortization of Intangible Assets
+11.56%54.70M
+9.00%24.96M
+6.67%49.03M
-1.37%22.90M
+7.48%45.96M
+20.38%23.22M
-3.49%42.76M
+6.79%19.29M
+43.23%44.31M
+7.24%18.06M
-5.21%30.93M
-3.89%16.84M
-5.43%32.64M
+5.20%17.52M
--34.51M
+227.57%16.66M
----
-23.45%5.09M
----
-33.06%6.64M
-Other Depreciation and Amortization
----
----
----
----
----
----
----
----
----
----
----
----
----
+272.46%3.60M
-91.52%1.93M
-78.53%966.00K
+34.02%22.77M
-62.96%4.50M
-20.23%16.99M
--12.15M
Impairment and Provisions:
+40.25%94.96M
+22.20%51.48M
-30.27%67.70M
-1.53%42.13M
+419.84%97.10M
+64.63%42.78M
-143.26%-30.36M
-49.49%25.99M
-32.13%70.18M
+3.56%51.45M
-17.06%103.41M
+57.43%49.68M
+36.18%124.68M
+19.43%31.56M
+206.95%91.55M
+760.09%26.42M
-73.02%29.83M
-91.83%3.07M
+131.98%110.55M
--37.59M
-Impairment of Property, Plant and Equipment (Reversal)
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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----
--3.96M
-Impairment of Inventory (Reversal)
+15.18%7.37M
+15.09%7.38M
-12.05%6.40M
-11.97%6.41M
-44.61%7.28M
-22.75%7.28M
-45.89%13.14M
-13.38%9.42M
+21.61%24.29M
-5.29%10.88M
-46.01%19.97M
+120.86%11.49M
+126.19%36.99M
+18.64%5.20M
+133.98%16.35M
--4.38M
-92.83%6.99M
----
+739.85%97.48M
--32.37M
-Impairment of Trade Receivables (Reversal)
+42.87%87.58M
+35.64%44.10M
-31.75%61.30M
-8.42%32.52M
+306.48%89.82M
+114.34%35.50M
-194.79%-43.50M
-59.17%16.56M
-45.00%45.89M
+6.22%40.57M
-4.85%83.44M
+44.92%38.19M
+16.61%87.69M
+19.59%26.36M
+229.28%75.20M
+617.38%22.04M
+74.82%22.84M
+144.20%3.07M
+34.39%13.06M
--1.26M
-Other Impairments and Provisions
----
----
----
--3.20M
----
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----
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Revaluation Surplus:
-456.63%-17.70M
+61.92%-1.99M
--4.96M
-376.07%-5.21M
----
---1.10M
----
----
----
----
----
----
----
----
----
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----
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-Other Fair Value Changes
-456.63%-17.70M
+61.92%-1.99M
--4.96M
-376.07%-5.21M
----
---1.10M
----
----
----
----
----
----
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----
----
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----
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Asset Sale Loss (Gain):
+94.37%2.24M
+536.96%1.32M
+181.38%1.15M
+87.67%-303.00K
-662.70%-1.42M
-7129.41%-2.46M
+215.07%252.00K
-102.42%-34.00K
-107.47%-219.00K
-15.98%1.40M
+201.23%2.93M
+20.39%1.67M
+41.42%973.00K
+17250.00%1.39M
+160.30%688.00K
+101.00%8.00K
+98.27%-1.14M
+98.73%-801.00K
-13186.69%-65.90M
-18098.57%-63.00M
-Loss (Gain) from Sale of Subsidiary Company
----
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----
----
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----
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---62.62M
---61.90M
-Loss (Gain) On Sale of Property, Machinery and Equipment
+94.37%2.24M
+536.96%1.32M
+181.38%1.15M
+87.67%-303.00K
-662.70%-1.42M
-7129.41%-2.46M
+215.07%252.00K
-102.42%-34.00K
---219.00K
-15.98%1.40M
----
+20.39%1.67M
+41.42%973.00K
+17250.00%1.39M
+160.30%688.00K
+101.00%8.00K
+58.31%-1.14M
-46.44%-801.00K
-451.81%-2.74M
-256.29%-547.00K
-Loss (Gain) from Selling Other Assets
----
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----
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--2.93M
----
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---549.00K
---549.00K
Exchange Loss (Gain)
+310.03%23.28M
+170.78%2.86M
-99.86%-11.09M
+69.37%-4.05M
-183.30%-5.55M
-252.00%-13.21M
+286.37%6.66M
+206.41%8.69M
+95.81%-3.57M
-212.51%-8.17M
-341.04%-85.27M
+293.76%7.26M
-1280.01%-19.33M
-69.41%1.84M
-103.32%-1.40M
-50.34%6.03M
+220.80%42.21M
+172.68%12.13M
-162.17%-34.94M
-290.64%-16.69M
Special Items
-8.33%255.05M
+75.80%21.21M
+40.09%278.22M
+64.79%12.07M
+1023.31%198.60M
+186.95%7.32M
-87.87%17.68M
-137.96%-8.42M
+48.04%145.81M
+1515.63%22.18M
-42.72%98.49M
-109.36%-1.57M
+42.66%171.96M
+47.03%16.74M
+141.00%120.54M
+49.03%11.39M
-39.91%50.02M
+5.45%7.64M
+79.06%83.23M
-81.05%7.25M
Change of Operating Capital
+6.53%1.81B
+31.97%330.20M
+85.17%1.70B
-1.08%250.21M
-22.87%917.98M
+17.53%252.94M
+70.70%1.19B
+193.50%215.22M
-25.84%697.23M
-35.84%-230.17M
+1061.71%940.17M
-161271.43%-169.44M
+155.22%80.93M
+99.97%-105.00K
+49.86%-146.55M
+49.97%-345.54M
-117.83%-292.30M
-151.16%-690.67M
-166.50%-134.19M
-148.83%-274.99M
Accounts Receivable (Increase) Decrease
-766.80%-542.88M
-205.00%-163.65M
+114.84%81.42M
+244.41%155.85M
-250.76%-548.77M
-43.38%-107.92M
+995.30%364.00M
-10.41%-75.27M
+81.32%-40.66M
+65.79%-68.17M
+24.85%-217.65M
-110.93%-199.29M
+16.17%-289.60M
+57.26%-94.48M
+29.00%-345.47M
-33.95%-221.04M
-265.92%-486.56M
-69.87%-165.02M
-145.21%-132.97M
-139.61%-97.15M
Inventory (Increase) Decrease
-12.84%116.38M
+847.07%69.60M
+716.77%133.53M
+79.25%-9.32M
+2606.62%16.35M
-510.73%-44.90M
+101.50%604.00K
+243.77%10.93M
+78.10%-40.20M
+95.60%-7.60M
-701.06%-183.55M
-617.07%-172.89M
+86.77%-22.91M
+203.93%33.44M
-244.05%-173.25M
-146.93%-32.17M
+1020.06%120.27M
+113.43%68.56M
+87.86%-13.07M
+119.13%32.12M
Accounts Payable Increase (Decrease)
+390.60%1.48B
+187.29%306.47M
-75.14%300.94M
-163.38%-351.09M
+4612.18%1.21B
+619.63%553.91M
-117.46%-26.83M
+138.50%76.97M
-70.27%153.72M
-220.98%-199.90M
+525.98%517.03M
+127.53%165.24M
+197.10%82.60M
+747.46%72.63M
-820.47%-85.06M
+87.09%-11.22M
-86.10%11.81M
-38.45%-86.88M
+1704.48%84.91M
-360.56%-62.75M
Prepayments (Increase) Decrease
-37.19%-380.42M
-203.72%-93.67M
+60.11%-277.31M
+121.12%90.31M
-606.91%-695.15M
-456.22%-427.59M
+44.60%-98.34M
+3.06%-76.88M
-487.81%-177.49M
-1020.04%-79.30M
+119.89%45.77M
+103.93%8.62M
-8326.64%-230.10M
-189.02%-219.49M
+102.16%2.80M
+61.81%-75.95M
-476.74%-129.62M
-617.06%-198.89M
+167.68%34.41M
+69.65%-27.74M
Special Items for Working Capital Changes
-267.68%-228.34M
-944.15%-158.55M
+653.62%136.18M
+130.43%18.78M
+161.83%18.07M
-49.65%-61.73M
-165.51%-29.23M
-230.71%-41.25M
+266.52%44.61M
+147.45%31.56M
+61.34%-26.79M
-10.52%-66.51M
-301.32%-69.30M
-18.77%-60.18M
+1003.46%34.42M
+50.27%-50.66M
+98.29%-3.81M
-130.86%-101.88M
-159.59%-223.08M
+49.88%-44.13M
Cash from Business Operations
+9.24%1.57B
+27.64%522.97M
+40.69%1.44B
+3.28%409.71M
-2.73%1.02B
+13.04%396.68M
+29.67%1.05B
+178.30%350.93M
-5.57%811.75M
+0.61%126.10M
+25.58%859.64M
-60.00%125.33M
+42.29%684.51M
+338.35%313.32M
+100.24%481.07M
+136.93%71.48M
+61.59%240.24M
-169.53%-193.57M
-63.54%148.67M
-183.21%-71.82M
Other Taxes
-44.88%-268.58M
-97.55%-183.30M
-41.53%-185.39M
-49.76%-92.79M
-67.15%-130.98M
-43.66%-61.96M
-29.07%-78.36M
-10.39%-43.13M
+16.87%-60.71M
-5.13%-39.07M
+5.92%-73.04M
+18.85%-37.16M
-22.01%-77.63M
-64.10%-45.80M
-31.48%-63.63M
-87.92%-27.91M
-36.06%-48.39M
-248.02%-14.85M
+40.72%-35.57M
+75.37%-4.27M
Interest Received - Operating
-7.57%64.66M
+5.53%30.34M
+192.68%69.96M
+345.75%28.75M
+318.98%23.90M
-50.01%6.45M
-8.06%5.71M
+107.44%12.90M
-66.92%6.21M
-13.81%6.22M
+457.17%18.76M
+1482.68%7.22M
+31.27%3.37M
-76.36%456.00K
-31.76%2.57M
+3.93%1.93M
+49.88%3.76M
+151.83%1.86M
-43.12%2.51M
-79.03%737.00K
Net cash flow from investing
-11.54%-207.75M
-115.16%-144.44M
+32.76%-186.25M
+33.20%-67.13M
+19.27%-276.98M
-58.91%-100.49M
-55.08%-343.10M
-3.36%-63.24M
-30.20%-221.24M
+50.21%-61.18M
-66.78%-169.92M
-75.67%-122.87M
-3.76%-101.88M
-50.39%-69.94M
+75.42%-98.20M
+61.40%-46.51M
+5.35%-399.51M
-246.65%-120.49M
-216.57%-422.08M
+79.40%-34.76M
Sale of Fixed Assets
+78.62%12.95M
-54.94%3.57M
+9.44%7.25M
+54.58%7.93M
+292.42%6.62M
+2439.60%5.13M
-77.25%1.69M
--202.00K
-1.83%7.42M
----
-64.78%7.56M
----
+2117.05%21.46M
----
-86.85%968.00K
----
-55.52%7.36M
----
-79.18%16.55M
----
Purchase of Fixed Assets
-4.42%-165.58M
-48.81%-120.23M
+7.00%-158.57M
-47.24%-80.79M
-3.66%-170.51M
+16.17%-54.87M
+7.75%-164.49M
---65.46M
-28.76%-178.31M
----
-60.83%-138.49M
----
-139.15%-86.11M
----
+88.52%-36.01M
----
+33.75%-313.58M
----
-171.34%-473.35M
----
Purchase of Intangible Assets
+6.70%-30.54M
-554.51%-36.43M
+38.73%-32.73M
-18.63%-5.57M
+18.42%-53.42M
---4.69M
-35.43%-65.48M
----
-24.00%-48.35M
----
-10.65%-38.99M
----
+44.20%-35.24M
----
+4.70%-63.16M
----
-73.19%-66.27M
----
-8.14%-38.27M
----
Sale of Subsidiaries
----
----
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--2.02M
----
----
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--77.00M
----
Acquisition of Subsidiaries
----
----
+84.87%-4.64M
----
-50.15%-30.69M
----
---20.44M
----
----
----
----
----
----
----
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---38.03M
----
----
----
Cash Received from Disposal of Investments
----
+138.53%8.65M
----
--3.63M
----
----
----
--2.02M
----
----
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Cash Paid to Acquire Investments
-703.97%-28.14M
----
---3.50M
+82.32%-8.14M
----
---46.06M
-2334.50%-48.69M
----
---2.00M
----
----
----
---2.00M
----
----
----
----
----
---4.00M
----
Dividend Received - Investment
-99.00%157.00K
----
--15.64M
--15.81M
----
----
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Decrease in Deposits (Increase)
----
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+100200.00%11.01M
----
+99.63%-11.00K
----
Other Items of Investing Activities
+135.00%3.39M
----
+66.56%-9.69M
----
+39.24%-28.99M
----
---47.71M
----
----
+50.21%-61.18M
----
-75.67%-122.87M
----
-50.39%-69.94M
----
+61.40%-46.51M
----
-246.65%-120.49M
----
+79.40%-34.76M
Financing Cash Flow
-28.20%-705.00M
-586.86%-662.07M
-359.61%-549.93M
-155.40%-96.39M
+118.81%211.83M
+157.19%173.99M
-385.19%-1.13B
-18.81%-304.21M
+89.25%-232.11M
+74.18%-256.04M
-279.34%-2.16B
-294.55%-991.49M
+251.35%1.20B
+63.66%-251.29M
-192.20%-795.55M
-557.85%-691.51M
+155.36%862.87M
+203.83%151.03M
+202.56%337.91M
+50.97%-145.47M
New Borrowing
+3.63%1.73B
-3.17%865.69M
-12.26%1.67B
-0.77%894.05M
+42.17%1.90B
+84.81%901.00M
+32.80%1.34B
--487.53M
-11.87%1.01B
----
+18.18%1.14B
----
-48.20%965.15M
----
+68.07%1.86B
----
-8.19%1.11B
----
+43.53%1.21B
----
Refund
-34.55%-1.75B
-40.77%-889.65M
+13.75%-1.30B
+13.31%-632.00M
-58.91%-1.51B
-87.77%-729.00M
+21.47%-950.55M
---388.24M
-38.32%-1.21B
----
+36.69%-875.11M
----
+19.01%-1.38B
----
-65.15%-1.71B
----
-4.23%-1.03B
----
-15.27%-991.51M
----
Issuing Shares
----
----
----
----
----
----
----
----
--6.00K
----
----
----
-61.04%2.00M
----
-97.41%5.14M
----
+1.60%198.32M
----
+1983.24%195.20M
----
Issuance of Bonds
--197.90M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Issuance Expenses and Redemption of Securities Expenses
-40.73%-624.43M
-73.77%-505.15M
-531.76%-443.71M
---290.70M
+94.82%-70.23M
----
-277.92%-1.36B
---279.58M
+83.19%-358.97M
----
---2.14B
----
----
----
-1881.40%-490.89M
----
+88.16%-24.78M
----
+32.16%-209.31M
----
Pledged Bank Deposit (Increase) Decrease
----
-75.90%20.00M
----
+60.15%83.00M
----
--51.83M
----
----
----
----
----
----
-134.20%-10.26M
----
+200.00%30.00M
----
---30.00M
----
----
----
Interest Paid - Financing
+25.50%-118.52M
+35.40%-52.54M
-13.35%-159.08M
-17.36%-81.33M
+33.46%-140.34M
+35.42%-69.30M
-18.83%-210.89M
---107.31M
+45.49%-177.47M
----
-20.77%-325.57M
----
+3.18%-269.58M
----
-56.48%-278.45M
----
+2.04%-177.95M
----
---181.66M
----
Dividends Paid - Financing
-64.62%-73.49M
-88.35%-73.49M
---44.64M
---39.02M
----
----
----
----
----
----
----
----
---92.82M
----
----
----
----
----
-52.41%-17.37M
----
Absorb Investment Income
----
----
----
----
----
----
----
----
----
----
--70.00M
----
----
----
----
----
----
----
----
----
Other Items of the Financing Business
+83.00%-42.43M
+13.04%-20.00M
-510.98%-249.61M
-179.56%-23.00M
-34.14%60.73M
--28.91M
-83.22%92.21M
----
+5257.38%549.67M
+74.18%-256.04M
-99.50%10.26M
-294.55%-991.49M
+1035.69%2.04B
+63.66%-251.29M
-126.47%-217.69M
-557.85%-691.51M
+145.32%822.25M
+203.83%151.03M
--335.18M
+50.97%-145.47M
Effects of Exchange Rate Changes
-335.54%-37.67M
-186.71%-4.89M
+151.48%15.99M
-77.53%5.64M
-85.56%6.36M
+2.61%25.12M
+549.62%44.04M
+792.76%24.48M
+50.76%-9.80M
-142.30%-3.53M
-183.51%-19.89M
+597.32%8.36M
-12.65%23.82M
-115.58%-1.68M
+182.30%27.27M
+107.13%10.79M
-287.59%-33.14M
+18.75%5.21M
+366.00%17.67M
+38.37%4.39M
Ending Cash Balance
+19.14%2.61B
-1.37%1.75B
+38.14%2.19B
+51.90%1.77B
+117.87%1.59B
+1.46%1.17B
-37.95%727.90M
+76.64%1.15B
+33.46%1.17B
-53.86%651.58M
-63.72%879.09M
+123.56%1.41B
+252.86%2.42B
+39.95%631.70M
-39.40%686.64M
+34.16%451.37M
+123.37%1.13B
+62.56%336.45M
+10.72%507.26M
-21.92%206.97M
Net Change in Cash
-22.41%456.90M
-339.64%-436.50M
-30.85%588.88M
-56.07%182.15M
+274.04%851.62M
+987.19%414.66M
-261.02%-489.32M
+79.13%-46.74M
+119.94%303.90M
+78.02%-223.98M
-188.99%-1.52B
-1813.35%-1.02B
+461.47%1.71B
+92.31%-53.26M
-171.89%-473.73M
-293.42%-692.52M
+1996.04%658.97M
+31.13%-176.02M
+110.29%31.44M
+48.66%-255.57M
Beginning Cash Balance
+38.14%2.19B
+38.14%2.19B
+117.87%1.59B
+117.87%1.59B
-37.95%727.90M
-37.95%727.90M
+33.46%1.17B
+33.46%1.17B
-63.72%879.09M
-63.72%879.09M
+252.86%2.42B
+252.86%2.42B
-39.40%686.64M
-39.40%686.64M
+123.37%1.13B
+123.37%1.13B
+10.72%507.26M
+10.72%507.26M
-39.70%458.16M
-39.70%458.16M
Deadline
Dec 31, 2025
Jun 30, 2025
Dec 31, 2024
Jun 30, 2024
Dec 31, 2023
Jun 30, 2023
Dec 31, 2022
Jun 30, 2022
Dec 31, 2021
Jun 30, 2021
Dec 31, 2020
Jun 30, 2020
Dec 31, 2019
Jun 30, 2019
Dec 31, 2018
Jun 30, 2018
Dec 31, 2017
Jun 30, 2017
Dec 31, 2016
Jun 30, 2016
Accounting Standard
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
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2025/FY2025/H12024/FY2024/H12023/FY2023/H12022/FY2022/H12021/FY2021/H12020/FY2020/H12019/FY2019/H12018/FY2018/H12017/FY2017/H12016/FY2016/H1

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.