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Sanfeng Intelligent Equipment Group (300276)

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  • 7.21
  • +0.24+3.44%
Market Closed May 7 15:00 CST
10.10BMarket Cap-49.38P/E (TTM)

Sanfeng Intelligent Equipment Group (300276) Balance Sheet

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YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q9)Sep 30, 2025
(Q6)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
Assets
Current assets
Money funds
55.47%321.23M
59.87%416.19M
99.60%258.39M
-7.46%243.11M
-42.34%206.62M
-41.00%260.33M
-64.92%129.45M
19.80%262.71M
47.64%358.33M
-1.03%441.21M
Transactional financial assets
309.74%143.04M
-74.88%138.4K
40.27%145.57M
-82.95%5.55M
-42.21%34.91M
-88.23%551.06K
234.96%103.78M
3,214.12%32.55M
6,050.27%60.41M
-60.76%4.68M
Notes receivable and accounts receivable
-20.41%384.95M
-5.43%504.04M
-25.92%352.68M
-16.97%424.35M
19.87%483.67M
26.80%532.97M
-0.52%476.09M
-26.46%511.08M
-39.55%403.51M
-1.08%420.34M
-Notes receivable
-69.97%5.29M
-29.89%12.98M
93.31%11.9M
2,960.01%11.92M
4.56%17.62M
400.63%18.51M
-88.29%6.16M
-99.07%389.56K
-86.96%16.85M
-31.54%3.7M
-Accounts receivable
-18.54%379.66M
-4.55%491.06M
-27.48%340.77M
-19.24%412.43M
20.53%466.05M
23.48%514.46M
10.32%469.93M
-21.80%510.69M
-28.16%386.66M
-0.68%416.64M
Other receivables (including interest and dividends)
39.56%19.94M
41.78%17.91M
32.26%17.85M
-41.33%15.53M
-67.50%14.29M
-70.99%12.63M
-71.73%13.5M
73.59%26.47M
50.30%43.97M
73.36%43.54M
-Other receivable
----
41.78%17.91M
----
-41.33%15.53M
----
-70.99%12.63M
----
73.59%26.47M
----
73.36%43.54M
Contractual assets
-15.11%155.07M
-23.79%143.17M
17.07%220.32M
30.38%213.4M
6.89%182.67M
18.59%187.85M
7.40%188.19M
-20.88%163.68M
11.28%170.89M
37.69%158.41M
Advance payment
-4.07%154.15M
24.16%116.54M
45.14%213.06M
-21.41%163.51M
-26.13%160.69M
-55.37%93.86M
-78.13%146.8M
-63.43%208.05M
-50.74%217.53M
-24.99%210.31M
Inventories
11.55%2.61B
9.87%2.49B
-6.87%2.16B
-8.75%2.11B
-5.82%2.34B
-11.64%2.26B
21.08%2.32B
30.83%2.31B
41.21%2.49B
51.47%2.56B
Receivable financing
-28.17%84.35M
-2.40%123.43M
-50.57%57.96M
36.67%147.28M
155.37%117.42M
-36.49%126.47M
4.12%117.26M
-2.91%107.77M
-51.78%45.98M
99.92%199.12M
Other current assets
35.61%29.87M
44.43%22.23M
69.10%25.94M
95.20%30.1M
-17.11%22.02M
-8.54%15.39M
4.99%15.34M
39.33%15.42M
203.43%26.57M
-25.73%16.83M
Total current assets
9.56%3.91B
9.65%3.83B
-1.65%3.45B
-7.89%3.35B
-6.54%3.56B
-13.87%3.49B
-8.02%3.51B
1.23%3.64B
12.16%3.81B
30.14%4.06B
Non Current assets
Other non-current financial assets
1.74%117.15M
0.00%115.15M
0.00%115.15M
-2.92%115.15M
1.36%115.15M
1.36%115.15M
2.07%115.15M
1.27%118.61M
-3.00%113.61M
-3.00%113.61M
Long-term equity investment
-5.78%18.67M
-5.78%18.67M
-5.20%19.82M
-5.20%19.82M
-5.20%19.82M
-5.20%19.82M
-3.31%20.9M
1,192.44%20.9M
1,192.44%20.9M
1,192.44%20.9M
Fixed assets
----
16.35%245.71M
----
14.71%256.48M
----
-11.03%211.19M
----
-7.68%223.59M
----
-6.27%237.37M
Constru in process
----
-99.72%143.69K
----
----
----
46.50%51.73M
----
7.53%38.12M
----
86.33%35.31M
Intangible assets
-8.95%170.81M
-8.76%175.18M
-7.59%179.49M
-7.41%183.83M
-7.50%187.61M
-7.24%192M
-8.52%194.23M
-8.29%198.54M
-7.89%202.82M
-7.80%206.97M
Goodwill
-84.91%33.9M
-84.91%33.9M
0.00%224.67M
0.00%224.67M
0.00%224.67M
0.00%224.67M
0.00%224.67M
0.00%224.67M
0.00%224.67M
0.00%224.67M
Deferred tax assets
36.93%79.24M
38.20%81.06M
6.86%60.37M
15.24%60.9M
10.42%57.87M
12.82%58.65M
19.86%56.49M
8.09%52.84M
16.52%52.41M
14.29%51.99M
Other non current assets
40.66%792.75K
15.64%651.75K
0.97%569.04K
-3.64%441.61K
--563.59K
-28.31%563.59K
-72.20%563.59K
-77.72%458.29K
----
-74.97%786.11K
Total non current assets
-23.18%665.75M
-23.27%670.47M
-1.93%851.46M
-1.87%861.28M
-1.86%866.59M
-2.00%873.77M
-3.60%868.26M
-1.21%877.73M
-0.97%883.03M
0.33%891.61M
Total assets
3.16%4.57B
3.06%4.5B
-1.71%4.3B
-6.72%4.21B
-5.66%4.43B
-11.73%4.37B
-7.18%4.38B
0.74%4.52B
9.43%4.7B
23.53%4.95B
Liabilities
Current liabilities
Short term loan
-53.69%46.06M
-60.11%46.08M
-68.20%61.4M
-51.91%85.48M
-44.60%99.47M
-26.49%115.51M
29.15%193.08M
20.10%177.75M
27.60%179.53M
-4.30%157.13M
Notes payable and accounts payable
45.91%805.02M
40.85%883.27M
-9.36%565.01M
-16.83%568.21M
-17.90%551.71M
-18.81%627.12M
1.60%623.34M
3.47%683.19M
12.13%671.97M
20.63%772.39M
-Notes payable
79.21%71.07M
-34.01%47.97M
-56.45%42.49M
-69.98%36.03M
-76.13%39.66M
-63.79%72.7M
-57.23%97.56M
-41.37%120.02M
-22.61%166.18M
-24.73%200.78M
-Accounts payable
43.34%733.95M
50.66%835.3M
-0.62%522.52M
-5.50%532.19M
1.24%512.05M
-3.01%554.42M
36.41%525.78M
23.62%563.17M
31.53%505.79M
53.01%571.61M
Contract liabilities
8.06%1.91B
6.47%1.71B
4.13%1.63B
-8.02%1.53B
-5.28%1.76B
-19.80%1.6B
-18.52%1.56B
1.75%1.66B
21.74%1.86B
72.48%2B
Advance receipts
--0
420.19%100K
--74.16K
----
----
--19.22K
----
----
----
----
Salaries payable
16.92%727.68K
98.29%5.28M
5.63%944.02K
-25.53%755.85K
-29.43%622.4K
-17.64%2.66M
-36.71%893.74K
-11.52%1.01M
-16.66%882K
13.38%3.23M
Taxs payable
-54.72%3.87M
194.61%29.8M
-20.44%7.48M
-27.03%8.35M
17.17%8.55M
-17.41%10.12M
-45.51%9.4M
2.34%11.45M
-1.76%7.3M
17.31%12.25M
Other payable (including interest and dividends)
-30.30%2.15M
-30.43%2.12M
103.03%8.47M
-32.20%2.81M
-14.14%3.09M
-3.49%3.05M
64.52%4.17M
65.52%4.14M
16.78%3.6M
-4.90%3.16M
-Other payable
----
-30.43%2.12M
----
-32.20%2.81M
----
-3.49%3.05M
----
65.52%4.14M
----
-4.90%3.16M
Non current liabilities due within one year
12,279.96%4.95M
9,515.48%4.96M
--20K
--20K
--40K
-99.85%51.62K
--0
----
----
--35.4M
Other current liabilities
-40.38%4.05M
-45.28%7.94M
-58.00%3.2M
-58.86%3.6M
67.10%6.8M
99.46%14.52M
84.90%7.63M
11.57%8.76M
-58.86%4.07M
-37.18%7.28M
Total current liabilities
13.92%2.77B
13.06%2.69B
-5.31%2.27B
-13.74%2.2B
-10.82%2.43B
-20.52%2.37B
-11.27%2.4B
3.40%2.55B
19.14%2.73B
50.10%2.99B
Current liabilities
Long term loan
193.28%14.49M
193.52%14.5M
--4.94M
--4.94M
--4.94M
--4.94M
----
----
----
----
Deferred tax liabilities
-59.41%1.14M
-51.73%1.56M
-45.80%1.97M
-41.10%2.39M
-37.27%2.81M
-34.09%3.23M
-31.42%3.64M
-29.13%4.06M
-27.15%4.48M
-25.42%4.9M
Long term deferred income
-37.59%9.31M
-34.39%10.67M
-25.71%13.09M
-28.81%13.51M
-26.69%14.91M
-25.02%16.27M
-23.55%17.62M
-22.24%18.98M
-2.06%20.34M
-1.93%21.7M
Total non current liabilities
10.04%24.93M
9.40%26.73M
-5.93%20.01M
-9.54%20.84M
-8.69%22.66M
-8.11%24.43M
-66.65%21.27M
-64.84%23.04M
-66.15%24.82M
-72.41%26.59M
Total liabilities
13.88%2.8B
13.02%2.71B
-5.32%2.29B
-13.70%2.22B
-10.80%2.46B
-20.41%2.4B
-12.54%2.42B
1.63%2.57B
16.49%2.75B
44.45%3.01B
Shareholders equity
Paid-in capital
0.00%1.4B
0.00%1.4B
0.00%1.4B
0.00%1.4B
0.00%1.4B
0.00%1.4B
0.00%1.4B
0.00%1.4B
0.00%1.4B
0.00%1.4B
Capital reserve funds
0.19%1.69B
-0.01%1.68B
0.06%1.68B
0.07%1.68B
0.07%1.68B
0.07%1.68B
0.04%1.68B
-0.50%1.68B
-0.51%1.68B
-0.51%1.68B
Surplus reserve funds
0.00%35.7M
0.00%35.7M
0.00%35.7M
0.00%35.7M
0.00%35.7M
0.00%35.7M
0.00%35.7M
0.00%35.7M
0.00%35.7M
0.00%35.7M
Retained profit
-17.46%-1.37B
-15.84%-1.36B
4.10%-1.14B
3.50%-1.15B
2.05%-1.17B
2.42%-1.18B
0.05%-1.19B
-0.39%-1.2B
1.73%-1.19B
1.66%-1.21B
Other composite income
32.45%-911.8K
32.45%-911.8K
14.77%-1.35M
14.77%-1.35M
14.77%-1.35M
14.77%-1.35M
17.06%-1.58M
17.06%-1.58M
17.06%-1.58M
17.06%-1.58M
Specific reserves
17.19%1.79M
17.03%1.79M
47.02%1.51M
48.26%1.52M
42.26%1.53M
42.15%1.53M
91.55%1.03M
91.69%1.03M
--1.07M
--1.08M
Shareholders equity without minority interests
-10.27%1.75B
-9.55%1.76B
2.60%1.98B
2.28%1.97B
1.37%1.95B
1.62%1.95B
0.11%1.93B
-0.63%1.92B
0.72%1.92B
0.69%1.91B
Minority interests
-2.38%23.55M
30.97%29.46M
15.51%26.88M
26.53%25.41M
26.42%24.12M
20.60%22.5M
41.01%23.27M
26.57%20.09M
6.28%19.08M
8.77%18.65M
Total shareholder equity
-10.17%1.77B
-9.09%1.79B
2.76%2.01B
2.53%1.99B
1.61%1.98B
1.80%1.97B
0.46%1.96B
-0.41%1.94B
0.78%1.94B
0.76%1.93B
Total liabilityies and equity
3.16%4.57B
3.06%4.5B
-1.71%4.3B
-6.72%4.21B
-5.66%4.43B
-11.73%4.37B
-7.18%4.38B
0.74%4.52B
9.43%4.7B
23.53%4.95B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
Audit Opinions
--
Unqualified opinion
--
--
--
Unqualified opinion
--
--
--
Unqualified opinion
Auditor
--
Daxin Certified Public Accountants (Special General Partnership)
--
--
--
Daxin Certified Public Accountants (Special General Partnership)
--
--
--
Daxin Certified Public Accountants (Special General Partnership)
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q9)Sep 30, 2025(Q6)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023
Assets
Current assets
Money funds 55.47%321.23M59.87%416.19M99.60%258.39M-7.46%243.11M-42.34%206.62M-41.00%260.33M-64.92%129.45M19.80%262.71M47.64%358.33M-1.03%441.21M
Transactional financial assets 309.74%143.04M-74.88%138.4K40.27%145.57M-82.95%5.55M-42.21%34.91M-88.23%551.06K234.96%103.78M3,214.12%32.55M6,050.27%60.41M-60.76%4.68M
Notes receivable and accounts receivable -20.41%384.95M-5.43%504.04M-25.92%352.68M-16.97%424.35M19.87%483.67M26.80%532.97M-0.52%476.09M-26.46%511.08M-39.55%403.51M-1.08%420.34M
-Notes receivable -69.97%5.29M-29.89%12.98M93.31%11.9M2,960.01%11.92M4.56%17.62M400.63%18.51M-88.29%6.16M-99.07%389.56K-86.96%16.85M-31.54%3.7M
-Accounts receivable -18.54%379.66M-4.55%491.06M-27.48%340.77M-19.24%412.43M20.53%466.05M23.48%514.46M10.32%469.93M-21.80%510.69M-28.16%386.66M-0.68%416.64M
Other receivables (including interest and dividends) 39.56%19.94M41.78%17.91M32.26%17.85M-41.33%15.53M-67.50%14.29M-70.99%12.63M-71.73%13.5M73.59%26.47M50.30%43.97M73.36%43.54M
-Other receivable ----41.78%17.91M-----41.33%15.53M-----70.99%12.63M----73.59%26.47M----73.36%43.54M
Contractual assets -15.11%155.07M-23.79%143.17M17.07%220.32M30.38%213.4M6.89%182.67M18.59%187.85M7.40%188.19M-20.88%163.68M11.28%170.89M37.69%158.41M
Advance payment -4.07%154.15M24.16%116.54M45.14%213.06M-21.41%163.51M-26.13%160.69M-55.37%93.86M-78.13%146.8M-63.43%208.05M-50.74%217.53M-24.99%210.31M
Inventories 11.55%2.61B9.87%2.49B-6.87%2.16B-8.75%2.11B-5.82%2.34B-11.64%2.26B21.08%2.32B30.83%2.31B41.21%2.49B51.47%2.56B
Receivable financing -28.17%84.35M-2.40%123.43M-50.57%57.96M36.67%147.28M155.37%117.42M-36.49%126.47M4.12%117.26M-2.91%107.77M-51.78%45.98M99.92%199.12M
Other current assets 35.61%29.87M44.43%22.23M69.10%25.94M95.20%30.1M-17.11%22.02M-8.54%15.39M4.99%15.34M39.33%15.42M203.43%26.57M-25.73%16.83M
Total current assets 9.56%3.91B9.65%3.83B-1.65%3.45B-7.89%3.35B-6.54%3.56B-13.87%3.49B-8.02%3.51B1.23%3.64B12.16%3.81B30.14%4.06B
Non Current assets
Other non-current financial assets 1.74%117.15M0.00%115.15M0.00%115.15M-2.92%115.15M1.36%115.15M1.36%115.15M2.07%115.15M1.27%118.61M-3.00%113.61M-3.00%113.61M
Long-term equity investment -5.78%18.67M-5.78%18.67M-5.20%19.82M-5.20%19.82M-5.20%19.82M-5.20%19.82M-3.31%20.9M1,192.44%20.9M1,192.44%20.9M1,192.44%20.9M
Fixed assets ----16.35%245.71M----14.71%256.48M-----11.03%211.19M-----7.68%223.59M-----6.27%237.37M
Constru in process -----99.72%143.69K------------46.50%51.73M----7.53%38.12M----86.33%35.31M
Intangible assets -8.95%170.81M-8.76%175.18M-7.59%179.49M-7.41%183.83M-7.50%187.61M-7.24%192M-8.52%194.23M-8.29%198.54M-7.89%202.82M-7.80%206.97M
Goodwill -84.91%33.9M-84.91%33.9M0.00%224.67M0.00%224.67M0.00%224.67M0.00%224.67M0.00%224.67M0.00%224.67M0.00%224.67M0.00%224.67M
Deferred tax assets 36.93%79.24M38.20%81.06M6.86%60.37M15.24%60.9M10.42%57.87M12.82%58.65M19.86%56.49M8.09%52.84M16.52%52.41M14.29%51.99M
Other non current assets 40.66%792.75K15.64%651.75K0.97%569.04K-3.64%441.61K--563.59K-28.31%563.59K-72.20%563.59K-77.72%458.29K-----74.97%786.11K
Total non current assets -23.18%665.75M-23.27%670.47M-1.93%851.46M-1.87%861.28M-1.86%866.59M-2.00%873.77M-3.60%868.26M-1.21%877.73M-0.97%883.03M0.33%891.61M
Total assets 3.16%4.57B3.06%4.5B-1.71%4.3B-6.72%4.21B-5.66%4.43B-11.73%4.37B-7.18%4.38B0.74%4.52B9.43%4.7B23.53%4.95B
Liabilities
Current liabilities
Short term loan -53.69%46.06M-60.11%46.08M-68.20%61.4M-51.91%85.48M-44.60%99.47M-26.49%115.51M29.15%193.08M20.10%177.75M27.60%179.53M-4.30%157.13M
Notes payable and accounts payable 45.91%805.02M40.85%883.27M-9.36%565.01M-16.83%568.21M-17.90%551.71M-18.81%627.12M1.60%623.34M3.47%683.19M12.13%671.97M20.63%772.39M
-Notes payable 79.21%71.07M-34.01%47.97M-56.45%42.49M-69.98%36.03M-76.13%39.66M-63.79%72.7M-57.23%97.56M-41.37%120.02M-22.61%166.18M-24.73%200.78M
-Accounts payable 43.34%733.95M50.66%835.3M-0.62%522.52M-5.50%532.19M1.24%512.05M-3.01%554.42M36.41%525.78M23.62%563.17M31.53%505.79M53.01%571.61M
Contract liabilities 8.06%1.91B6.47%1.71B4.13%1.63B-8.02%1.53B-5.28%1.76B-19.80%1.6B-18.52%1.56B1.75%1.66B21.74%1.86B72.48%2B
Advance receipts --0420.19%100K--74.16K----------19.22K----------------
Salaries payable 16.92%727.68K98.29%5.28M5.63%944.02K-25.53%755.85K-29.43%622.4K-17.64%2.66M-36.71%893.74K-11.52%1.01M-16.66%882K13.38%3.23M
Taxs payable -54.72%3.87M194.61%29.8M-20.44%7.48M-27.03%8.35M17.17%8.55M-17.41%10.12M-45.51%9.4M2.34%11.45M-1.76%7.3M17.31%12.25M
Other payable (including interest and dividends) -30.30%2.15M-30.43%2.12M103.03%8.47M-32.20%2.81M-14.14%3.09M-3.49%3.05M64.52%4.17M65.52%4.14M16.78%3.6M-4.90%3.16M
-Other payable -----30.43%2.12M-----32.20%2.81M-----3.49%3.05M----65.52%4.14M-----4.90%3.16M
Non current liabilities due within one year 12,279.96%4.95M9,515.48%4.96M--20K--20K--40K-99.85%51.62K--0----------35.4M
Other current liabilities -40.38%4.05M-45.28%7.94M-58.00%3.2M-58.86%3.6M67.10%6.8M99.46%14.52M84.90%7.63M11.57%8.76M-58.86%4.07M-37.18%7.28M
Total current liabilities 13.92%2.77B13.06%2.69B-5.31%2.27B-13.74%2.2B-10.82%2.43B-20.52%2.37B-11.27%2.4B3.40%2.55B19.14%2.73B50.10%2.99B
Current liabilities
Long term loan 193.28%14.49M193.52%14.5M--4.94M--4.94M--4.94M--4.94M----------------
Deferred tax liabilities -59.41%1.14M-51.73%1.56M-45.80%1.97M-41.10%2.39M-37.27%2.81M-34.09%3.23M-31.42%3.64M-29.13%4.06M-27.15%4.48M-25.42%4.9M
Long term deferred income -37.59%9.31M-34.39%10.67M-25.71%13.09M-28.81%13.51M-26.69%14.91M-25.02%16.27M-23.55%17.62M-22.24%18.98M-2.06%20.34M-1.93%21.7M
Total non current liabilities 10.04%24.93M9.40%26.73M-5.93%20.01M-9.54%20.84M-8.69%22.66M-8.11%24.43M-66.65%21.27M-64.84%23.04M-66.15%24.82M-72.41%26.59M
Total liabilities 13.88%2.8B13.02%2.71B-5.32%2.29B-13.70%2.22B-10.80%2.46B-20.41%2.4B-12.54%2.42B1.63%2.57B16.49%2.75B44.45%3.01B
Shareholders equity
Paid-in capital 0.00%1.4B0.00%1.4B0.00%1.4B0.00%1.4B0.00%1.4B0.00%1.4B0.00%1.4B0.00%1.4B0.00%1.4B0.00%1.4B
Capital reserve funds 0.19%1.69B-0.01%1.68B0.06%1.68B0.07%1.68B0.07%1.68B0.07%1.68B0.04%1.68B-0.50%1.68B-0.51%1.68B-0.51%1.68B
Surplus reserve funds 0.00%35.7M0.00%35.7M0.00%35.7M0.00%35.7M0.00%35.7M0.00%35.7M0.00%35.7M0.00%35.7M0.00%35.7M0.00%35.7M
Retained profit -17.46%-1.37B-15.84%-1.36B4.10%-1.14B3.50%-1.15B2.05%-1.17B2.42%-1.18B0.05%-1.19B-0.39%-1.2B1.73%-1.19B1.66%-1.21B
Other composite income 32.45%-911.8K32.45%-911.8K14.77%-1.35M14.77%-1.35M14.77%-1.35M14.77%-1.35M17.06%-1.58M17.06%-1.58M17.06%-1.58M17.06%-1.58M
Specific reserves 17.19%1.79M17.03%1.79M47.02%1.51M48.26%1.52M42.26%1.53M42.15%1.53M91.55%1.03M91.69%1.03M--1.07M--1.08M
Shareholders equity without minority interests -10.27%1.75B-9.55%1.76B2.60%1.98B2.28%1.97B1.37%1.95B1.62%1.95B0.11%1.93B-0.63%1.92B0.72%1.92B0.69%1.91B
Minority interests -2.38%23.55M30.97%29.46M15.51%26.88M26.53%25.41M26.42%24.12M20.60%22.5M41.01%23.27M26.57%20.09M6.28%19.08M8.77%18.65M
Total shareholder equity -10.17%1.77B-9.09%1.79B2.76%2.01B2.53%1.99B1.61%1.98B1.80%1.97B0.46%1.96B-0.41%1.94B0.78%1.94B0.76%1.93B
Total liabilityies and equity 3.16%4.57B3.06%4.5B-1.71%4.3B-6.72%4.21B-5.66%4.43B-11.73%4.37B-7.18%4.38B0.74%4.52B9.43%4.7B23.53%4.95B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)
Audit Opinions --Unqualified opinion------Unqualified opinion------Unqualified opinion
Auditor --Daxin Certified Public Accountants (Special General Partnership)------Daxin Certified Public Accountants (Special General Partnership)------Daxin Certified Public Accountants (Special General Partnership)

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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