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BETTERLIFE HLDG (06909)

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  • 0.240
  • -0.009-3.61%
15min DelayNot Open Jul 27 15:58 CST
149.40MMarket Cap40.00P/E (TTM)

BETTERLIFE HLDG (06909) Balance Sheet

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/Q9
2019/FY
2018/FY
Total Assets
+13.46%5.52B
+11.35%5.36B
+3.21%4.86B
-10.10%4.82B
-2.65%4.71B
+6.24%5.36B
+16.39%4.84B
+55.05%5.04B
+36.78%4.16B
--3.25B
-7.45%3.04B
--2.91B
-4.42%3.29B
--3.44B
Total Current Assets
+0.93%2.49B
-10.12%2.41B
+0.25%2.47B
-12.69%2.68B
-1.28%2.46B
+14.78%3.07B
-4.89%2.50B
+46.67%2.67B
+65.12%2.62B
--1.82B
-12.16%1.59B
--1.50B
-5.51%1.81B
--1.91B
Cash and Equivalents
-0.46%453.71M
-53.60%529.02M
-47.35%455.80M
-24.02%1.14B
+21.41%865.74M
+46.56%1.50B
-47.30%713.07M
+122.49%1.02B
+471.35%1.35B
--460.13M
-40.23%236.83M
--288.02M
+52.28%396.27M
--260.22M
Accounts Receivable
+50.67%116.50M
+178.92%129.40M
+41.75%77.32M
-0.96%46.39M
-2.78%54.54M
-2.14%46.85M
+36.47%56.11M
-14.29%47.87M
+7.50%41.11M
--55.85M
-41.42%38.25M
--43.26M
-8.44%65.29M
--71.31M
Related Party Payments Receivable
-16.97%13.25M
-25.16%13.91M
-31.66%15.96M
+38.29%18.58M
+157.58%23.35M
+53.64%13.44M
+15.68%9.07M
-13.32%8.75M
-32.57%7.84M
--10.09M
-88.87%11.62M
--76.04M
-0.02%104.40M
--104.42M
Advance Deposits and Other Receivables
+18.12%765.30M
+32.16%657.58M
+6.69%647.90M
-29.55%497.56M
-25.94%607.26M
+2.57%706.27M
+55.95%819.95M
+41.05%688.59M
+33.80%525.77M
--488.18M
+17.25%392.95M
--378.64M
-17.67%335.14M
--407.07M
Financial Assets at Fair Value-Non-Current Assets
----
----
----
----
----
----
----
----
-88.61%50.00M
--178.00M
+122.84%439.00M
--281.30M
+5.96%197.00M
--185.92M
Inventory
-16.95%688.60M
-17.90%694.48M
+3.47%829.10M
+23.23%845.88M
-6.15%801.29M
-19.08%686.45M
+33.18%853.77M
+34.98%848.31M
+44.08%641.09M
--628.49M
-34.37%444.96M
--421.38M
-17.21%678.01M
--818.93M
Secured Deposit
+2.66%455.43M
+198.72%380.90M
+298.41%443.62M
+14.22%127.51M
+155.44%111.35M
+109.91%111.64M
+786.14%43.59M
--53.18M
-80.67%4.92M
----
-22.72%25.45M
--8.95M
-50.57%32.93M
--66.63M
Total Non-Current Assets
+26.38%3.03B
+38.19%2.96B
+6.45%2.39B
-6.64%2.14B
-4.10%2.25B
-3.36%2.29B
+52.76%2.35B
+65.71%2.37B
+5.76%1.54B
--1.43B
-1.69%1.45B
--1.41B
-3.06%1.48B
--1.52B
Property, Plant and Equipment
+64.57%684.53M
+22.41%566.87M
-21.05%415.95M
-16.29%463.09M
-6.16%526.82M
+4.49%553.21M
+53.62%561.42M
+56.97%529.46M
+9.09%365.47M
--337.30M
-3.82%335.02M
--328.75M
-0.95%348.31M
--351.67M
Investment Property
+62.91%89.44M
+496.24%338.11M
-6.18%54.90M
-6.00%56.71M
-5.82%58.52M
-5.66%60.33M
-5.50%62.14M
+27.25%63.95M
--65.76M
--50.25M
----
----
----
----
Financial Assets at Fair Value-Non-Current Assets
----
----
----
----
----
----
----
----
----
----
----
----
+0.00%10.00M
--10.00M
Advance Payment
----
+20614.29%89.90M
+35426.68%386.18M
-75.01%434.00K
-70.57%1.09M
-75.41%1.74M
-25.37%3.69M
+173.84%7.07M
-4.42%4.95M
--2.58M
-44.32%5.18M
--13.01M
+76.88%9.30M
--5.26M
Intangible Assets
+3.89%842.08M
-7.70%791.38M
-7.58%810.56M
-4.35%857.37M
-2.27%877.08M
-1.59%896.39M
+70.89%897.45M
+69.57%910.85M
-4.36%525.17M
--537.14M
+1.50%549.12M
--523.61M
-3.72%541.03M
--561.93M
Goodwill
+3.38%380.37M
-2.82%367.94M
-2.82%367.94M
+0.00%378.63M
+0.00%378.63M
+0.00%378.63M
+79.96%378.63M
+79.96%378.63M
+0.00%210.40M
--210.40M
+5.35%210.40M
--199.72M
+0.00%199.72M
--199.72M
Deferred Tax Assets
+96.25%45.62M
+10.03%35.23M
-34.50%23.25M
-8.33%32.02M
+2.30%35.49M
-14.93%34.93M
-24.62%34.69M
+8.05%41.05M
+66.63%46.02M
--38.00M
-23.28%27.62M
--28.21M
-35.99%36.00M
--56.25M
Special Items of Non-Current Assets
----
----
----
----
----
----
----
----
----
----
--10.30M
----
----
----
Total Liabilities
+31.13%2.79B
+38.28%2.63B
+16.79%2.12B
-23.88%1.90B
-9.39%1.82B
+11.41%2.50B
+48.58%2.01B
+67.17%2.24B
+0.37%1.35B
--1.34B
-25.26%1.35B
--1.31B
-15.22%1.80B
--2.12B
Total Current Liabilities
+23.00%1.94B
+32.69%1.76B
+30.22%1.58B
-30.25%1.33B
-13.82%1.21B
+18.27%1.90B
+45.54%1.41B
+56.94%1.61B
-3.46%966.09M
--1.03B
-31.17%1.00B
--979.36M
-16.39%1.45B
--1.74B
Accounts Payable
-3.82%848.47M
+37.15%842.35M
+125.18%882.14M
+42.31%614.19M
+17.24%391.76M
+38.07%431.60M
+180.80%334.14M
+205.52%312.59M
-18.28%119.00M
--102.32M
+74.08%145.63M
--95.17M
-8.57%83.65M
--91.50M
Tax Payable
+49.04%60.41M
+3.89%56.03M
-25.94%40.53M
+3.48%53.93M
+42.55%54.73M
-16.01%52.12M
-45.56%38.39M
-2.83%62.05M
+57.70%70.51M
--63.86M
+152.60%44.71M
--22.64M
-72.80%17.70M
--65.07M
Amounts Payable to Associated Parties - Current Liabilities
-94.46%457.00K
+232.30%45.66M
-31.00%8.25M
-22.67%13.74M
+17.04%11.95M
+111.83%17.77M
+32.89%10.21M
-41.82%8.39M
-30.50%7.69M
--14.42M
-15.77%11.06M
--14.26M
+55.09%13.13M
--8.47M
Other Payables and Accrued Expenses
+50.50%132.56M
+40.78%145.15M
-29.32%88.08M
-36.75%103.11M
-47.08%124.62M
-66.18%163.00M
+6.29%235.47M
+164.24%481.92M
+30.44%221.54M
--182.38M
+13.83%169.85M
--126.67M
-26.17%149.22M
--202.12M
Bank Loans and Overdrafts
+43.11%627.45M
+33.14%497.87M
-0.68%438.45M
-64.49%373.93M
-22.83%441.45M
+122.07%1.05B
+155.94%572.08M
+61.27%474.18M
-31.46%223.52M
--294.02M
-65.54%326.11M
--482.53M
-16.37%946.28M
--1.13B
Financial Lease Liabilities-Current Liabilities
-30.54%10.95M
-38.05%19.31M
-49.97%15.76M
+12.47%31.17M
-2.02%31.51M
-22.26%27.72M
-12.16%32.15M
+2.70%35.65M
+6.96%36.61M
--34.71M
+22.86%34.22M
--33.85M
-6.21%27.85M
--29.70M
Total Non-Current Liabilities
+54.59%845.65M
+51.19%868.67M
-9.99%547.02M
-3.56%574.54M
+0.95%607.73M
-6.00%595.75M
+56.21%601.99M
+100.32%633.78M
+11.46%385.38M
--316.39M
-0.57%345.76M
--327.93M
-9.95%347.73M
--386.16M
Long-Term Bank Loan
--300.00M
--350.00M
----
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----
----
----
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--36.70M
Financial Lease Liabilities-Non-Current
+10.03%241.92M
-16.57%194.53M
-14.53%219.86M
-5.08%233.16M
-2.47%257.24M
-15.40%245.63M
+82.00%263.74M
+257.14%290.36M
+30.98%144.92M
--81.30M
+0.97%110.64M
--99.63M
+26.20%109.58M
--86.82M
Payments Payable to Related Parties-Non-Current
--24.81M
--8.53M
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----
----
----
----
----
----
----
----
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Deferred Tax Liability
-0.66%178.17M
-7.26%175.05M
-7.19%179.34M
-4.82%188.76M
-5.36%193.24M
-6.06%198.31M
+47.08%204.20M
+47.79%211.10M
-5.46%138.83M
--142.84M
+1.75%146.84M
--140.35M
-3.49%144.32M
--149.53M
Special Items of Non-Current Liabilities
-31.84%100.76M
-7.91%140.55M
-6.00%147.82M
+0.54%152.63M
+17.30%157.25M
+14.72%151.81M
+31.90%134.05M
+43.44%132.33M
+15.13%101.63M
--92.25M
-5.92%88.27M
--87.95M
-17.04%93.83M
--113.10M
Total Equity
-0.25%2.73B
-6.22%2.73B
-5.33%2.74B
+1.94%2.91B
+2.13%2.89B
+2.11%2.86B
+0.89%2.83B
+46.54%2.80B
+65.72%2.81B
--1.91B
+14.16%1.69B
--1.60B
+13.06%1.48B
--1.31B
Stockholders' Equity
-0.46%2.61B
-3.33%2.61B
-2.68%2.62B
+1.14%2.70B
+1.23%2.69B
+0.98%2.67B
+2.85%2.66B
+52.27%2.65B
+69.29%2.59B
--1.74B
+18.15%1.53B
--1.46B
+13.36%1.29B
--1.14B
Share Capital
+0.00%5.18M
+0.00%5.18M
+0.00%5.18M
+0.00%5.18M
+0.00%5.18M
+0.00%5.18M
+0.00%5.18M
--5.18M
--5.18M
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Reserves
-0.46%2.60B
-3.34%2.61B
-2.68%2.62B
+1.14%2.70B
+1.23%2.69B
+0.98%2.67B
+2.86%2.66B
+51.97%2.64B
+68.95%2.58B
--1.74B
+18.15%1.53B
--1.46B
+13.36%1.29B
--1.14B
Minority Interests
+4.37%122.81M
-42.75%122.16M
-41.10%117.67M
+13.26%213.39M
+16.05%199.77M
+21.27%188.40M
-22.05%172.14M
-10.65%155.36M
+32.89%220.82M
--173.87M
-12.91%166.17M
--141.79M
+11.08%190.81M
--171.78M
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
Sep 30, 2020
Dec 31, 2019
Dec 31, 2018
Accounting Standard
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
Unqualified opinion
--
Unqualified opinion
--
Unqualified opinion
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Unqualified opinion
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Unqualified opinion
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Unqualified opinion
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Unqualified opinion
Unqualified opinion
2025/FY2025/H12024/FY2024/H12023/FY2023/H12022/FY2022/H12021/FY2021/H12020/FY2020/Q92019/FY2018/FY

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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