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LAOPU GOLD (06181)

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  • 569.000
  • +17.000+3.08%
Not Open May 4 16:07 CST
100.57BMarket Cap18.66P/E (TTM)

LAOPU GOLD (06181) Balance Sheet

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YOY yoy
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(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
(FY)Dec 31, 2021
(FY)Dec 31, 2020
Assets
Current assets
Inventory
292.49%16.04B
311.90%8.68B
222.40%4.09B
118.61%2.11B
57.15%1.27B
--964.45M
4.74%806.84M
13.12%770.34M
--681.01M
Accounts receivable
59.79%1.28B
128.29%844.46M
112.91%801.22M
124.25%369.91M
275.33%376.33M
--164.95M
-3.99%100.27M
35.24%104.43M
--77.22M
Advance deposits and other receivables
446.73%1.16B
578.54%704.8M
242.67%211.57M
166.89%103.87M
64.21%61.74M
--38.92M
64.08%37.6M
-33.50%22.92M
--34.46M
Cash and equivalents
182.28%2.07B
205.36%2.52B
949.07%732.65M
723.52%823.9M
15.85%69.84M
--100.05M
139.31%60.28M
159.18%25.19M
--9.72M
Secured deposit
----
----
----
----
----
--8K
----
----
----
Total current assets
252.28%20.55B
274.32%12.75B
228.48%5.83B
168.54%3.41B
76.70%1.78B
--1.27B
8.90%1B
15.01%922.88M
--802.41M
Non-current assets
Property, plant and equipment
55.70%175.41M
30.46%135.77M
95.76%112.66M
82.10%104.07M
9.26%57.55M
--57.15M
10.94%52.67M
31.96%47.48M
--35.98M
Advance payment
15.04%73.68M
85.26%93.39M
11.33%64.05M
--50.41M
125.33%57.53M
----
72.53%25.53M
--14.8M
----
Intangible assets
312.26%12.88M
38.79%3.85M
8.55%3.12M
-7.16%2.77M
-6.13%2.88M
--2.99M
14.58%3.07M
-0.93%2.68M
--2.7M
Deferred tax assets
156.36%54.94M
298.23%46.1M
70.94%21.43M
-8.22%11.58M
35.78%12.54M
--12.61M
17.27%9.23M
21.05%7.87M
--6.51M
Special items of non-current assets
----
----
----
----
----
--21.88M
----
----
--14.47M
Total non-current assets
39.64%703.05M
64.13%713.31M
31.56%503.48M
65.18%434.61M
33.71%382.71M
--263.12M
16.31%286.23M
94.75%246.09M
--126.36M
Total assets
235.38%21.25B
250.54%13.46B
193.57%6.34B
150.78%3.84B
67.17%2.16B
--1.53B
10.46%1.29B
25.86%1.17B
--928.77M
Liabilities
Current liabilities
Accounts payable
178.67%635.91M
122.72%503.84M
295.75%228.2M
351.02%226.22M
1,029.52%57.66M
--50.16M
-27.99%5.11M
-49.10%7.09M
--13.93M
Tax payable
175.83%315.26M
465.70%202.67M
486.78%114.29M
122.69%35.83M
229.24%19.48M
--16.09M
38.84%5.92M
-58.49%4.26M
--10.27M
Other payables and accrued expenses
581.25%2.52B
550.54%1.45B
164.07%369.94M
178.81%222.9M
119.58%140.09M
--79.95M
-5.99%63.8M
56.75%67.86M
--43.29M
Bank loans and overdrafts
348.81%6.16B
2,408.97%3.18B
975.08%1.37B
2.78%126.87M
-6.22%127.75M
--123.44M
-0.27%136.23M
8.03%136.6M
--126.44M
Financial lease liabilities-current liabilities
49.26%228.05M
86.82%226.94M
50.69%152.79M
69.67%121.48M
41.79%101.39M
--71.6M
56.06%71.51M
18.18%45.82M
--38.78M
Total current liabilities
339.40%9.88B
617.02%5.58B
374.24%2.25B
121.26%778.53M
62.72%474.14M
--351.87M
9.02%291.38M
13.39%267.27M
--235.71M
Net current assets
197.63%10.67B
172.78%7.17B
175.39%3.58B
186.69%2.63B
82.41%1.3B
--916.51M
8.84%713.6M
15.69%655.61M
--566.7M
Total assets less current liabilities
178.18%11.37B
157.36%7.88B
142.71%4.09B
159.59%3.06B
68.47%1.68B
--1.18B
10.88%999.83M
30.10%901.7M
--693.06M
Non-current liabilities
Long-term bank loan
--100.09M
----
----
----
----
----
----
----
--7.91M
Financial lease liabilities-non-current liabilities
5.23%172.4M
33.82%215.5M
-0.96%163.83M
53.68%161.03M
30.06%165.42M
--104.79M
-1.43%127.19M
329.45%129.03M
--30.05M
Deferred income-non-current liabilities
-25.00%690K
-22.22%805K
-20.00%920K
-17.27%1.04M
28.78%1.15M
--1.25M
57.22%893K
-12.62%568K
--650K
Special items of non-current liabilities
28.50%4.01M
29.55%3.74M
29.16%3.12M
23.38%2.89M
10.71%2.42M
--2.34M
21.74%2.18M
15.00%1.79M
--1.56M
Total non-current liabilities
65.12%277.19M
33.40%220.05M
-0.66%167.87M
52.20%164.95M
29.73%168.99M
--108.38M
-0.86%130.26M
227.10%131.39M
--40.17M
Total liabilities
320.35%10.16B
514.98%5.8B
275.73%2.42B
105.00%943.49M
52.53%643.13M
--460.25M
5.77%421.64M
44.50%398.66M
--275.88M
Total assets less total liabilities
183.02%11.1B
164.42%7.66B
158.70%3.92B
170.45%2.9B
74.27%1.52B
--1.07B
12.89%869.57M
17.98%770.31M
--652.89M
Total equity and non-current liabilities
178.18%11.37B
157.36%7.88B
142.71%4.09B
159.59%3.06B
68.47%1.68B
--1.18B
10.88%999.83M
30.10%901.7M
--693.06M
Equity
Share capital
4.76%176.39M
4.65%172.68M
18.03%168.37M
20.89%165.01M
4.50%142.64M
--136.5M
0.00%136.5M
0.00%136.5M
--136.5M
Reserve
191.02%10.92B
174.07%7.49B
173.31%3.75B
192.29%2.73B
87.26%1.37B
--934.75M
15.66%733.07M
22.74%633.81M
--516.39M
Shareholders' Equity
183.02%11.1B
164.42%7.66B
158.70%3.92B
170.45%2.9B
74.27%1.52B
--1.07B
12.89%869.57M
17.98%770.31M
--652.89M
Total equity
183.02%11.1B
164.42%7.66B
158.70%3.92B
170.45%2.9B
74.27%1.52B
--1.07B
12.89%869.57M
17.98%770.31M
--652.89M
Total equity and total liabilities
235.38%21.25B
250.54%13.46B
193.57%6.34B
150.78%3.84B
67.17%2.16B
--1.53B
10.46%1.29B
25.86%1.17B
--928.77M
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Auditor
Ernst & Young
--
Ernst & Young
--
Ernst & Young
--
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(FY)Dec 31, 2021(FY)Dec 31, 2020
Assets
Current assets
Inventory 292.49%16.04B311.90%8.68B222.40%4.09B118.61%2.11B57.15%1.27B--964.45M4.74%806.84M13.12%770.34M--681.01M
Accounts receivable 59.79%1.28B128.29%844.46M112.91%801.22M124.25%369.91M275.33%376.33M--164.95M-3.99%100.27M35.24%104.43M--77.22M
Advance deposits and other receivables 446.73%1.16B578.54%704.8M242.67%211.57M166.89%103.87M64.21%61.74M--38.92M64.08%37.6M-33.50%22.92M--34.46M
Cash and equivalents 182.28%2.07B205.36%2.52B949.07%732.65M723.52%823.9M15.85%69.84M--100.05M139.31%60.28M159.18%25.19M--9.72M
Secured deposit ----------------------8K------------
Total current assets 252.28%20.55B274.32%12.75B228.48%5.83B168.54%3.41B76.70%1.78B--1.27B8.90%1B15.01%922.88M--802.41M
Non-current assets
Property, plant and equipment 55.70%175.41M30.46%135.77M95.76%112.66M82.10%104.07M9.26%57.55M--57.15M10.94%52.67M31.96%47.48M--35.98M
Advance payment 15.04%73.68M85.26%93.39M11.33%64.05M--50.41M125.33%57.53M----72.53%25.53M--14.8M----
Intangible assets 312.26%12.88M38.79%3.85M8.55%3.12M-7.16%2.77M-6.13%2.88M--2.99M14.58%3.07M-0.93%2.68M--2.7M
Deferred tax assets 156.36%54.94M298.23%46.1M70.94%21.43M-8.22%11.58M35.78%12.54M--12.61M17.27%9.23M21.05%7.87M--6.51M
Special items of non-current assets ----------------------21.88M----------14.47M
Total non-current assets 39.64%703.05M64.13%713.31M31.56%503.48M65.18%434.61M33.71%382.71M--263.12M16.31%286.23M94.75%246.09M--126.36M
Total assets 235.38%21.25B250.54%13.46B193.57%6.34B150.78%3.84B67.17%2.16B--1.53B10.46%1.29B25.86%1.17B--928.77M
Liabilities
Current liabilities
Accounts payable 178.67%635.91M122.72%503.84M295.75%228.2M351.02%226.22M1,029.52%57.66M--50.16M-27.99%5.11M-49.10%7.09M--13.93M
Tax payable 175.83%315.26M465.70%202.67M486.78%114.29M122.69%35.83M229.24%19.48M--16.09M38.84%5.92M-58.49%4.26M--10.27M
Other payables and accrued expenses 581.25%2.52B550.54%1.45B164.07%369.94M178.81%222.9M119.58%140.09M--79.95M-5.99%63.8M56.75%67.86M--43.29M
Bank loans and overdrafts 348.81%6.16B2,408.97%3.18B975.08%1.37B2.78%126.87M-6.22%127.75M--123.44M-0.27%136.23M8.03%136.6M--126.44M
Financial lease liabilities-current liabilities 49.26%228.05M86.82%226.94M50.69%152.79M69.67%121.48M41.79%101.39M--71.6M56.06%71.51M18.18%45.82M--38.78M
Total current liabilities 339.40%9.88B617.02%5.58B374.24%2.25B121.26%778.53M62.72%474.14M--351.87M9.02%291.38M13.39%267.27M--235.71M
Net current assets 197.63%10.67B172.78%7.17B175.39%3.58B186.69%2.63B82.41%1.3B--916.51M8.84%713.6M15.69%655.61M--566.7M
Total assets less current liabilities 178.18%11.37B157.36%7.88B142.71%4.09B159.59%3.06B68.47%1.68B--1.18B10.88%999.83M30.10%901.7M--693.06M
Non-current liabilities
Long-term bank loan --100.09M------------------------------7.91M
Financial lease liabilities-non-current liabilities 5.23%172.4M33.82%215.5M-0.96%163.83M53.68%161.03M30.06%165.42M--104.79M-1.43%127.19M329.45%129.03M--30.05M
Deferred income-non-current liabilities -25.00%690K-22.22%805K-20.00%920K-17.27%1.04M28.78%1.15M--1.25M57.22%893K-12.62%568K--650K
Special items of non-current liabilities 28.50%4.01M29.55%3.74M29.16%3.12M23.38%2.89M10.71%2.42M--2.34M21.74%2.18M15.00%1.79M--1.56M
Total non-current liabilities 65.12%277.19M33.40%220.05M-0.66%167.87M52.20%164.95M29.73%168.99M--108.38M-0.86%130.26M227.10%131.39M--40.17M
Total liabilities 320.35%10.16B514.98%5.8B275.73%2.42B105.00%943.49M52.53%643.13M--460.25M5.77%421.64M44.50%398.66M--275.88M
Total assets less total liabilities 183.02%11.1B164.42%7.66B158.70%3.92B170.45%2.9B74.27%1.52B--1.07B12.89%869.57M17.98%770.31M--652.89M
Total equity and non-current liabilities 178.18%11.37B157.36%7.88B142.71%4.09B159.59%3.06B68.47%1.68B--1.18B10.88%999.83M30.10%901.7M--693.06M
Equity
Share capital 4.76%176.39M4.65%172.68M18.03%168.37M20.89%165.01M4.50%142.64M--136.5M0.00%136.5M0.00%136.5M--136.5M
Reserve 191.02%10.92B174.07%7.49B173.31%3.75B192.29%2.73B87.26%1.37B--934.75M15.66%733.07M22.74%633.81M--516.39M
Shareholders' Equity 183.02%11.1B164.42%7.66B158.70%3.92B170.45%2.9B74.27%1.52B--1.07B12.89%869.57M17.98%770.31M--652.89M
Total equity 183.02%11.1B164.42%7.66B158.70%3.92B170.45%2.9B74.27%1.52B--1.07B12.89%869.57M17.98%770.31M--652.89M
Total equity and total liabilities 235.38%21.25B250.54%13.46B193.57%6.34B150.78%3.84B67.17%2.16B--1.53B10.46%1.29B25.86%1.17B--928.77M
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified OpinionUnqualified OpinionUnqualified Opinion
Auditor Ernst & Young--Ernst & Young--Ernst & Young--Ernst & YoungErnst & YoungErnst & 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.

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