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Puyang Huicheng Electronic Material (300481)

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  • 15.54
  • +0.51+3.39%
Post Market May 22 15:00 CST
4.54BMarket Cap39.95P/E (TTM)

Puyang Huicheng Electronic Material (300481) 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
6.98%1B
5.76%1.07B
21.74%993.09M
34.13%921.78M
37.44%936.67M
56.42%1.01B
38.77%815.72M
82.37%687.21M
71.16%681.5M
123.80%647.33M
Transactional financial assets
----
----
----
----
----
----
154.36%150.73M
16.27%210.91M
34.48%242.69M
37.93%181.02M
Notes receivable and accounts receivable
7.75%303.91M
7.44%268.17M
6.14%298.63M
13.94%310.52M
2.32%282.06M
-12.90%249.59M
8.77%281.36M
3.48%272.53M
7.69%275.67M
4.95%286.54M
-Notes receivable
3.66%22.34M
83.55%24.38M
22.74%20.55M
4.26%23.97M
260.47%21.55M
120.42%13.28M
183.26%16.74M
164.45%22.99M
17.35%5.98M
4.71%6.03M
-Accounts receivable
8.08%281.57M
3.17%243.79M
5.09%278.08M
14.83%286.55M
-3.40%260.52M
-15.76%236.3M
4.69%264.61M
-2.02%249.54M
7.50%269.69M
4.96%280.51M
Other receivables (including interest and dividends)
-0.13%10.17M
41.15%10.54M
-9.55%1.53M
-1.13%9.44M
407.81%10.18M
-10.39%7.47M
-35.22%1.69M
136.66%9.55M
-40.00%2.01M
207.45%8.33M
-Other receivable
----
----
----
-1.13%9.44M
----
-10.39%7.47M
----
136.66%9.55M
----
207.45%8.33M
Advance payment
49.28%20.95M
2.31%16.86M
52.75%30.79M
21.89%15.2M
5.16%14.04M
13.00%16.48M
-25.22%20.15M
-27.04%12.47M
-42.13%13.35M
-17.40%14.59M
Inventories
14.67%196.72M
28.42%192.14M
4.47%198.39M
2.40%196.45M
-4.40%171.55M
-14.77%149.62M
0.13%189.9M
0.12%191.84M
-6.69%179.45M
-20.75%175.56M
Receivable financing
-18.19%122.89M
-18.17%146.04M
-6.09%147.6M
7.58%110.33M
-6.14%150.22M
24.39%178.45M
-30.56%157.18M
-59.34%102.56M
-42.94%160.04M
-39.52%143.47M
Other current assets
-59.00%80.63M
-41.34%96.78M
-22.53%184.7M
-43.88%202.83M
-50.05%196.67M
-62.18%164.98M
-60.01%238.42M
-39.31%361.42M
-52.05%393.74M
-48.39%436.19M
Total current assets
-1.37%1.74B
1.25%1.8B
-0.02%1.85B
-4.43%1.77B
-9.60%1.76B
-6.02%1.78B
-4.74%1.86B
-1.78%1.85B
-9.58%1.95B
-6.19%1.89B
Non Current assets
Long-term equity investment
2.35%122.27M
--130.24M
--126.06M
--121.62M
--119.46M
----
----
----
----
----
Fixed assets
----
----
----
74.61%785.81M
----
76.82%821.66M
----
1.13%450.05M
----
-0.10%464.68M
Constru in process
----
----
----
-86.13%44.33M
----
-91.57%22.29M
----
119.82%319.47M
----
264.36%264.52M
Construction materials
----
----
----
----
----
----
----
-86.07%6.77M
----
-85.67%3.17M
Intangible assets
-3.53%160.59M
-3.50%162.04M
-3.55%163.34M
-2.99%164.9M
-2.90%166.46M
-2.86%167.92M
-2.81%169.35M
-3.24%169.99M
-3.21%171.42M
-3.19%172.86M
Goodwill
-27.75%833.5K
-25.96%913.56K
-23.78%993.42K
-21.94%1.07M
-21.24%1.15M
-20.62%1.23M
-19.58%1.3M
-19.94%1.38M
-23.40%1.46M
-18.72%1.55M
Long deferred expense
25.70%2.51M
2.67%2.22M
22.50%1.95M
-5.74%1.81M
-10.78%2M
-15.68%2.16M
-52.06%1.59M
-42.58%1.92M
-21.45%2.24M
-18.51%2.56M
Deferred tax assets
54.18%11.79M
62.96%12.54M
44.05%10.61M
51.33%11.12M
-1.44%7.64M
-1.63%7.7M
12.46%7.37M
9.34%7.35M
20.60%7.76M
19.89%7.82M
Usufruct assets
41,916.49%1.51M
21,658.21%1.57M
229.02%1.62M
175.74%1.68M
-99.50%3.6K
-99.14%7.21K
1,854.56%493.24K
2,008.76%608.18K
2,128.69%723.12K
2,224.63%838.05K
Other non current assets
178.03%28.18M
67.09%18.42M
-54.21%7.1M
-11.01%15.85M
-17.47%10.13M
3.10%11.02M
-41.44%15.5M
-21.72%17.81M
-42.86%12.28M
-70.84%10.69M
Total non current assets
-1.24%1.13B
10.65%1.14B
13.42%1.14B
17.72%1.15B
22.08%1.15B
11.34%1.03B
14.00%1B
14.85%975.32M
15.99%941.25M
18.05%928.69M
Total assets
-1.32%2.87B
4.71%2.95B
4.70%2.99B
3.22%2.91B
0.72%2.91B
-0.30%2.81B
1.10%2.86B
3.39%2.82B
-2.59%2.89B
0.61%2.82B
Liabilities
Current liabilities
Short term loan
----
-50.00%50.03M
-22.39%97.07M
27.01%127.09M
27.04%127.06M
42.84%100.07M
4.15%125.07M
-16.62%100.06M
-62.98%100.01M
-53.34%70.06M
Notes payable and accounts payable
110.31%348.23M
168.61%388.48M
165.24%403.31M
64.16%248.68M
163.13%165.58M
71.22%144.63M
135.79%152.06M
139.61%151.49M
-31.75%62.93M
-19.93%84.47M
-Notes payable
180.00%280M
266.67%330M
218.18%350M
90.00%190M
--100M
350.00%90M
450.00%110M
400.00%100M
----
-72.63%20M
-Accounts payable
4.04%68.23M
7.06%58.48M
26.77%53.31M
13.97%58.68M
4.21%65.58M
-15.27%54.63M
-5.47%42.06M
19.12%51.49M
95.44%62.93M
98.92%64.47M
Contract liabilities
-4.56%7.67M
-6.36%5.97M
6.45%9.6M
-17.55%7.17M
-18.55%8.03M
-3.99%6.38M
-42.07%9.02M
-41.44%8.69M
-19.70%9.87M
-49.89%6.65M
Salaries payable
171.34%18.85M
13.86%18.83M
3.40%7.01M
6.66%7.05M
-54.18%6.95M
8.56%16.54M
-7.18%6.77M
-13.43%6.61M
119.73%15.16M
-9.04%15.24M
Taxs payable
-19.08%4.14M
-37.62%4.77M
21.97%8.65M
-41.74%4.09M
-46.61%5.11M
-15.72%7.64M
-44.80%7.1M
-22.19%7.02M
-53.86%9.58M
-64.00%9.07M
Other payable (including interest and dividends)
-90.10%887.69K
-34.06%2.73M
8.73%5.05M
-63.34%5.07M
-30.70%8.96M
-63.80%4.14M
-73.96%4.64M
-27.62%13.83M
-33.61%12.94M
-42.24%11.42M
-Other payable
----
----
----
-63.34%5.07M
----
-63.80%4.14M
----
-27.62%13.83M
----
-42.24%11.42M
Non current liabilities due within one year
-77.51%18.01M
-97.02%3.01M
-82.15%14.02M
-13.36%42.05M
1,646.19%80.08M
2,107.85%101.07M
1,824.48%78.53M
1,089.62%48.54M
11.74%4.59M
11.54%4.58M
Other current liabilities
39.23%833.87K
5.97%705.42K
-4.23%1.01M
-16.24%856.15K
-51.76%598.9K
-16.05%665.7K
-40.01%1.05M
-42.56%1.02M
-10.35%1.24M
-52.70%793.01K
Total current liabilities
-0.94%398.62M
24.51%474.53M
42.03%545.72M
31.07%442.05M
86.02%402.38M
88.43%381.13M
57.50%384.23M
40.71%337.26M
-49.37%216.31M
-39.87%202.27M
Current liabilities
Long term loan
----
--15M
-40.00%15M
-67.27%18M
-80.13%30M
----
-83.66%25M
-55.28%55M
20.81%151M
20.80%151M
Deferred tax liabilities
23.24%12.88M
25.76%13.24M
13.98%10.08M
16.40%10.38M
7.73%10.45M
6.44%10.53M
2.11%8.85M
1.86%8.92M
6.77%9.7M
6.77%9.89M
Long term deferred income
-11.86%17.51M
81.76%17.98M
66.29%18.29M
75.63%19.64M
68.54%19.87M
-21.96%9.89M
-28.39%11M
-11.99%11.18M
-12.08%11.79M
-9.77%12.67M
Lease liabilities
--1.04M
--1.03M
--1.02M
--1.01M
----
----
----
----
----
----
Total non current liabilities
-47.89%31.43M
131.38%47.25M
-1.00%44.4M
-34.71%49.03M
-65.03%60.32M
-88.23%20.42M
-74.67%44.85M
-48.02%75.1M
16.94%172.49M
17.02%173.57M
Total liabilities
-7.06%430.05M
29.94%521.78M
37.53%590.11M
19.09%491.08M
19.01%462.7M
6.84%401.55M
1.92%429.08M
7.34%412.36M
-32.35%388.8M
-22.46%375.84M
Shareholders equity
Paid-in capital
-1.30%291.86M
-1.30%291.86M
-1.30%291.86M
-1.52%291.86M
-0.22%295.7M
-0.22%295.7M
-0.23%295.7M
-0.01%296.36M
-0.01%296.36M
-0.01%296.36M
Capital reserve funds
-4.86%938.16M
-4.86%938.16M
-4.77%939.02M
-5.49%939.02M
-0.75%986.09M
-0.75%986.09M
-1.17%986.09M
-0.36%993.54M
-0.23%993.54M
-0.10%993.54M
Surplus reserve funds
6.62%175.12M
6.62%175.12M
20.36%164.25M
20.36%164.25M
20.36%164.25M
20.36%164.25M
11.69%136.47M
11.47%136.47M
11.47%136.47M
11.47%136.47M
Retained profit
-1.35%1.03B
0.37%1.02B
-4.98%1B
0.51%1.03B
-2.81%1.05B
-1.12%1.01B
5.40%1.06B
7.88%1.02B
8.80%1.08B
11.12%1.02B
Less:Treasury stock
----
----
----
----
528.15%50.91M
528.15%50.91M
221.72%48.9M
130.13%38.1M
-51.04%8.11M
-51.04%8.11M
Specific reserves
-48.72%2.04M
-48.90%2.06M
4.31%3.68M
5.46%3.81M
9.71%3.97M
9.58%4.03M
19.50%3.52M
43.60%3.61M
91.33%3.62M
136.77%3.67M
Shareholders equity without minority interests
-0.25%2.44B
0.49%2.42B
-1.10%2.4B
0.51%2.42B
-2.12%2.45B
-1.40%2.41B
0.95%2.43B
2.75%2.41B
4.57%2.5B
5.43%2.45B
Minority interests
----
----
-4.97%-358.18K
-3.89%-360.88K
-10.06%-376.37K
-6.22%-371.71K
-2.15%-341.21K
-12.00%-347.35K
-4.71%-341.98K
-14.06%-349.92K
Total shareholder equity
-0.23%2.44B
0.50%2.42B
-1.10%2.4B
0.51%2.42B
-2.13%2.45B
-1.40%2.41B
0.95%2.43B
2.75%2.41B
4.57%2.5B
5.43%2.45B
Total liabilityies and equity
-1.32%2.87B
4.71%2.95B
4.70%2.99B
3.22%2.91B
0.72%2.91B
-0.30%2.81B
1.10%2.86B
3.39%2.82B
-2.59%2.89B
0.61%2.82B
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
--
Lixin Certified Public Accountants (Special General Partnership)
--
--
--
Lixin Certified Public Accountants (Special General Partnership)
--
--
--
Lixin 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 6.98%1B5.76%1.07B21.74%993.09M34.13%921.78M37.44%936.67M56.42%1.01B38.77%815.72M82.37%687.21M71.16%681.5M123.80%647.33M
Transactional financial assets ------------------------154.36%150.73M16.27%210.91M34.48%242.69M37.93%181.02M
Notes receivable and accounts receivable 7.75%303.91M7.44%268.17M6.14%298.63M13.94%310.52M2.32%282.06M-12.90%249.59M8.77%281.36M3.48%272.53M7.69%275.67M4.95%286.54M
-Notes receivable 3.66%22.34M83.55%24.38M22.74%20.55M4.26%23.97M260.47%21.55M120.42%13.28M183.26%16.74M164.45%22.99M17.35%5.98M4.71%6.03M
-Accounts receivable 8.08%281.57M3.17%243.79M5.09%278.08M14.83%286.55M-3.40%260.52M-15.76%236.3M4.69%264.61M-2.02%249.54M7.50%269.69M4.96%280.51M
Other receivables (including interest and dividends) -0.13%10.17M41.15%10.54M-9.55%1.53M-1.13%9.44M407.81%10.18M-10.39%7.47M-35.22%1.69M136.66%9.55M-40.00%2.01M207.45%8.33M
-Other receivable -------------1.13%9.44M-----10.39%7.47M----136.66%9.55M----207.45%8.33M
Advance payment 49.28%20.95M2.31%16.86M52.75%30.79M21.89%15.2M5.16%14.04M13.00%16.48M-25.22%20.15M-27.04%12.47M-42.13%13.35M-17.40%14.59M
Inventories 14.67%196.72M28.42%192.14M4.47%198.39M2.40%196.45M-4.40%171.55M-14.77%149.62M0.13%189.9M0.12%191.84M-6.69%179.45M-20.75%175.56M
Receivable financing -18.19%122.89M-18.17%146.04M-6.09%147.6M7.58%110.33M-6.14%150.22M24.39%178.45M-30.56%157.18M-59.34%102.56M-42.94%160.04M-39.52%143.47M
Other current assets -59.00%80.63M-41.34%96.78M-22.53%184.7M-43.88%202.83M-50.05%196.67M-62.18%164.98M-60.01%238.42M-39.31%361.42M-52.05%393.74M-48.39%436.19M
Total current assets -1.37%1.74B1.25%1.8B-0.02%1.85B-4.43%1.77B-9.60%1.76B-6.02%1.78B-4.74%1.86B-1.78%1.85B-9.58%1.95B-6.19%1.89B
Non Current assets
Long-term equity investment 2.35%122.27M--130.24M--126.06M--121.62M--119.46M--------------------
Fixed assets ------------74.61%785.81M----76.82%821.66M----1.13%450.05M-----0.10%464.68M
Constru in process -------------86.13%44.33M-----91.57%22.29M----119.82%319.47M----264.36%264.52M
Construction materials -----------------------------86.07%6.77M-----85.67%3.17M
Intangible assets -3.53%160.59M-3.50%162.04M-3.55%163.34M-2.99%164.9M-2.90%166.46M-2.86%167.92M-2.81%169.35M-3.24%169.99M-3.21%171.42M-3.19%172.86M
Goodwill -27.75%833.5K-25.96%913.56K-23.78%993.42K-21.94%1.07M-21.24%1.15M-20.62%1.23M-19.58%1.3M-19.94%1.38M-23.40%1.46M-18.72%1.55M
Long deferred expense 25.70%2.51M2.67%2.22M22.50%1.95M-5.74%1.81M-10.78%2M-15.68%2.16M-52.06%1.59M-42.58%1.92M-21.45%2.24M-18.51%2.56M
Deferred tax assets 54.18%11.79M62.96%12.54M44.05%10.61M51.33%11.12M-1.44%7.64M-1.63%7.7M12.46%7.37M9.34%7.35M20.60%7.76M19.89%7.82M
Usufruct assets 41,916.49%1.51M21,658.21%1.57M229.02%1.62M175.74%1.68M-99.50%3.6K-99.14%7.21K1,854.56%493.24K2,008.76%608.18K2,128.69%723.12K2,224.63%838.05K
Other non current assets 178.03%28.18M67.09%18.42M-54.21%7.1M-11.01%15.85M-17.47%10.13M3.10%11.02M-41.44%15.5M-21.72%17.81M-42.86%12.28M-70.84%10.69M
Total non current assets -1.24%1.13B10.65%1.14B13.42%1.14B17.72%1.15B22.08%1.15B11.34%1.03B14.00%1B14.85%975.32M15.99%941.25M18.05%928.69M
Total assets -1.32%2.87B4.71%2.95B4.70%2.99B3.22%2.91B0.72%2.91B-0.30%2.81B1.10%2.86B3.39%2.82B-2.59%2.89B0.61%2.82B
Liabilities
Current liabilities
Short term loan -----50.00%50.03M-22.39%97.07M27.01%127.09M27.04%127.06M42.84%100.07M4.15%125.07M-16.62%100.06M-62.98%100.01M-53.34%70.06M
Notes payable and accounts payable 110.31%348.23M168.61%388.48M165.24%403.31M64.16%248.68M163.13%165.58M71.22%144.63M135.79%152.06M139.61%151.49M-31.75%62.93M-19.93%84.47M
-Notes payable 180.00%280M266.67%330M218.18%350M90.00%190M--100M350.00%90M450.00%110M400.00%100M-----72.63%20M
-Accounts payable 4.04%68.23M7.06%58.48M26.77%53.31M13.97%58.68M4.21%65.58M-15.27%54.63M-5.47%42.06M19.12%51.49M95.44%62.93M98.92%64.47M
Contract liabilities -4.56%7.67M-6.36%5.97M6.45%9.6M-17.55%7.17M-18.55%8.03M-3.99%6.38M-42.07%9.02M-41.44%8.69M-19.70%9.87M-49.89%6.65M
Salaries payable 171.34%18.85M13.86%18.83M3.40%7.01M6.66%7.05M-54.18%6.95M8.56%16.54M-7.18%6.77M-13.43%6.61M119.73%15.16M-9.04%15.24M
Taxs payable -19.08%4.14M-37.62%4.77M21.97%8.65M-41.74%4.09M-46.61%5.11M-15.72%7.64M-44.80%7.1M-22.19%7.02M-53.86%9.58M-64.00%9.07M
Other payable (including interest and dividends) -90.10%887.69K-34.06%2.73M8.73%5.05M-63.34%5.07M-30.70%8.96M-63.80%4.14M-73.96%4.64M-27.62%13.83M-33.61%12.94M-42.24%11.42M
-Other payable -------------63.34%5.07M-----63.80%4.14M-----27.62%13.83M-----42.24%11.42M
Non current liabilities due within one year -77.51%18.01M-97.02%3.01M-82.15%14.02M-13.36%42.05M1,646.19%80.08M2,107.85%101.07M1,824.48%78.53M1,089.62%48.54M11.74%4.59M11.54%4.58M
Other current liabilities 39.23%833.87K5.97%705.42K-4.23%1.01M-16.24%856.15K-51.76%598.9K-16.05%665.7K-40.01%1.05M-42.56%1.02M-10.35%1.24M-52.70%793.01K
Total current liabilities -0.94%398.62M24.51%474.53M42.03%545.72M31.07%442.05M86.02%402.38M88.43%381.13M57.50%384.23M40.71%337.26M-49.37%216.31M-39.87%202.27M
Current liabilities
Long term loan ------15M-40.00%15M-67.27%18M-80.13%30M-----83.66%25M-55.28%55M20.81%151M20.80%151M
Deferred tax liabilities 23.24%12.88M25.76%13.24M13.98%10.08M16.40%10.38M7.73%10.45M6.44%10.53M2.11%8.85M1.86%8.92M6.77%9.7M6.77%9.89M
Long term deferred income -11.86%17.51M81.76%17.98M66.29%18.29M75.63%19.64M68.54%19.87M-21.96%9.89M-28.39%11M-11.99%11.18M-12.08%11.79M-9.77%12.67M
Lease liabilities --1.04M--1.03M--1.02M--1.01M------------------------
Total non current liabilities -47.89%31.43M131.38%47.25M-1.00%44.4M-34.71%49.03M-65.03%60.32M-88.23%20.42M-74.67%44.85M-48.02%75.1M16.94%172.49M17.02%173.57M
Total liabilities -7.06%430.05M29.94%521.78M37.53%590.11M19.09%491.08M19.01%462.7M6.84%401.55M1.92%429.08M7.34%412.36M-32.35%388.8M-22.46%375.84M
Shareholders equity
Paid-in capital -1.30%291.86M-1.30%291.86M-1.30%291.86M-1.52%291.86M-0.22%295.7M-0.22%295.7M-0.23%295.7M-0.01%296.36M-0.01%296.36M-0.01%296.36M
Capital reserve funds -4.86%938.16M-4.86%938.16M-4.77%939.02M-5.49%939.02M-0.75%986.09M-0.75%986.09M-1.17%986.09M-0.36%993.54M-0.23%993.54M-0.10%993.54M
Surplus reserve funds 6.62%175.12M6.62%175.12M20.36%164.25M20.36%164.25M20.36%164.25M20.36%164.25M11.69%136.47M11.47%136.47M11.47%136.47M11.47%136.47M
Retained profit -1.35%1.03B0.37%1.02B-4.98%1B0.51%1.03B-2.81%1.05B-1.12%1.01B5.40%1.06B7.88%1.02B8.80%1.08B11.12%1.02B
Less:Treasury stock ----------------528.15%50.91M528.15%50.91M221.72%48.9M130.13%38.1M-51.04%8.11M-51.04%8.11M
Specific reserves -48.72%2.04M-48.90%2.06M4.31%3.68M5.46%3.81M9.71%3.97M9.58%4.03M19.50%3.52M43.60%3.61M91.33%3.62M136.77%3.67M
Shareholders equity without minority interests -0.25%2.44B0.49%2.42B-1.10%2.4B0.51%2.42B-2.12%2.45B-1.40%2.41B0.95%2.43B2.75%2.41B4.57%2.5B5.43%2.45B
Minority interests ---------4.97%-358.18K-3.89%-360.88K-10.06%-376.37K-6.22%-371.71K-2.15%-341.21K-12.00%-347.35K-4.71%-341.98K-14.06%-349.92K
Total shareholder equity -0.23%2.44B0.50%2.42B-1.10%2.4B0.51%2.42B-2.13%2.45B-1.40%2.41B0.95%2.43B2.75%2.41B4.57%2.5B5.43%2.45B
Total liabilityies and equity -1.32%2.87B4.71%2.95B4.70%2.99B3.22%2.91B0.72%2.91B-0.30%2.81B1.10%2.86B3.39%2.82B-2.59%2.89B0.61%2.82B
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 --Lixin Certified Public Accountants (Special General Partnership)------Lixin Certified Public Accountants (Special General Partnership)------Lixin 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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