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Shanghai Shengjian Technology (603324)

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  • 26.89
  • -0.01-0.04%
15min DelayTrading Sep 21 09:35 CST
4.06BMarket Cap-25.83P/E (TTM)

Shanghai Shengjian Technology (603324) Balance Sheet

Cumulative·All
YOY yoy
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Currency: CNY
2026/H1
2026/Q1
2025/FY
2025/Q9
2025/H1
2025/Q1
2024/FY
2024/Q9
2024/H1
2024/Q1
2023/FY
2023/Q9
2023/H1
2023/Q1
2022/FY
2022/Q9
2022/H1
2022/Q1
2021/FY
2021/Q9
Total Assets
+0.94%3.60B
-9.07%3.36B
-14.10%3.39B
-4.73%3.56B
-3.41%3.57B
+9.75%3.69B
+13.96%3.94B
+21.90%3.73B
+30.67%3.69B
+29.35%3.37B
+33.09%3.46B
+30.70%3.06B
+22.08%2.83B
+18.54%2.60B
+15.77%2.60B
+15.33%2.34B
+20.95%2.32B
+19.32%2.19B
+67.64%2.25B
--2.03B
Total Current Assets
-2.22%2.11B
-15.04%1.94B
-23.81%1.95B
-19.39%2.14B
-24.45%2.16B
-14.76%2.29B
-9.05%2.56B
+6.04%2.66B
+26.96%2.85B
+31.41%2.68B
+36.89%2.82B
+32.68%2.50B
+18.04%2.25B
+12.94%2.04B
+8.42%2.06B
+9.65%1.89B
+17.04%1.90B
+12.36%1.81B
+67.88%1.90B
--1.72B
Money Funds
-5.91%248.35M
-42.57%246.82M
-46.12%295.38M
-23.24%245.68M
-41.26%263.95M
+3.46%429.75M
-16.19%548.16M
+10.00%320.07M
+61.45%449.32M
-1.78%415.38M
+28.35%654.07M
-22.68%290.97M
-47.78%278.30M
+0.56%422.90M
-11.32%509.60M
-30.45%376.30M
+18.69%532.92M
-46.62%420.53M
+60.21%574.63M
--541.06M
Trading Financial Assets
----
--13.95M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
+491.06%295.53M
+639.32%295.73M
--150.00M
Notes Receivable and Accounts Receivable
-17.65%826.41M
-23.36%726.26M
-25.95%814.92M
-21.59%963.77M
-23.59%1.00B
-26.79%947.58M
-17.23%1.10B
-7.10%1.23B
-1.63%1.31B
+22.14%1.29B
+31.83%1.33B
+28.16%1.32B
+41.06%1.34B
+48.27%1.06B
+46.82%1.01B
+58.00%1.03B
+62.26%946.49M
+57.38%714.68M
+80.20%686.99M
--653.35M
-Notes Receivable
-89.36%66.98K
+809.79%1.97M
-76.71%2.11M
-92.91%626.93K
-9.74%629.51K
--216.79K
+206.39%9.05M
+7014.58%8.84M
+32.05%697.40K
----
+29.05%2.95M
-94.31%124.24K
-76.24%528.15K
+68.57%712.21K
--2.29M
+3094.44%2.19M
+595.27%2.22M
-85.18%422.50K
----
--68.40K
-Accounts Receivable
-17.60%826.34M
-23.55%724.28M
-25.53%812.81M
-21.07%963.14M
-23.60%1.00B
-26.80%947.37M
-17.73%1.09B
-7.76%1.22B
-1.65%1.31B
+22.22%1.29B
+31.83%1.33B
+28.42%1.32B
+41.33%1.33B
+48.26%1.06B
+46.49%1.01B
+57.69%1.03B
+61.96%944.27M
+58.28%714.26M
+80.76%686.99M
--653.28M
Other Receivables (Including Interests and Dividends)
-6.51%10.69M
-10.59%11.15M
-18.36%10.18M
-36.72%11.32M
-2.97%11.44M
-17.92%12.47M
+5.42%12.46M
+41.22%17.89M
-9.22%11.79M
+14.88%15.19M
+12.41%11.82M
+15.24%12.67M
-20.04%12.98M
-4.16%13.22M
+21.78%10.52M
-23.78%10.99M
+54.96%16.24M
+27.70%13.80M
-4.99%8.64M
--14.42M
-Other Receivable
-6.51%10.69M
----
-18.36%10.18M
----
-2.97%11.44M
----
+5.42%12.46M
----
-9.22%11.79M
----
+12.41%11.82M
----
-20.04%12.98M
----
+21.78%10.52M
----
+54.96%16.24M
----
-4.99%8.64M
----
Receivable Financing
+801.15%62.12M
+6.61%21.18M
-18.38%40.29M
+27.63%24.02M
-81.42%6.89M
-6.17%19.87M
+16.42%49.36M
-32.50%18.82M
+209.88%37.11M
+53.96%21.17M
-39.83%42.40M
-36.41%27.88M
-4.14%11.98M
+36.32%13.75M
+1535.55%70.47M
+176.44%43.84M
-33.18%12.49M
+109.09%10.09M
-93.22%4.31M
--15.86M
Advance Payment
+159.10%18.15M
+289.53%15.48M
-63.52%1.43M
-83.34%1.78M
-51.48%7.01M
-77.56%3.97M
-76.16%3.91M
-69.20%10.68M
-4.72%14.44M
+23.09%17.71M
-16.77%16.41M
+86.27%34.67M
+20.26%15.15M
-36.75%14.39M
-11.62%19.72M
+18.87%18.62M
-19.19%12.60M
+56.41%22.75M
+258.77%22.31M
--15.66M
Inventories
+6.74%778.89M
+5.99%776.91M
-10.59%668.97M
-16.46%760.35M
-17.72%729.70M
-5.15%733.02M
+14.21%748.17M
+29.28%910.12M
+75.50%886.83M
+77.96%772.79M
+87.42%655.06M
+163.18%703.98M
+94.09%505.33M
+90.05%434.25M
+91.27%349.52M
+21.15%267.49M
+42.91%260.36M
+54.10%228.49M
+27.56%182.74M
--220.80M
Contract Assets
+15.37%72.16M
-31.43%50.61M
-7.14%52.39M
-25.21%64.48M
-27.33%62.55M
-21.87%73.81M
-29.59%56.41M
+6.67%86.21M
+24.68%86.07M
+51.85%94.48M
+4.40%80.12M
-36.87%80.82M
-40.16%69.03M
-28.18%62.22M
-31.90%76.75M
+23.52%128.03M
+3.33%115.37M
-34.92%86.63M
-5.32%112.70M
--103.65M
Other Current Assets
+29.22%90.47M
+21.88%80.09M
+63.02%67.11M
+10.81%68.90M
+30.80%70.01M
+28.81%65.71M
+61.62%41.17M
+108.14%62.18M
+184.00%53.53M
+148.77%51.02M
+128.37%25.47M
+213.55%29.87M
+177.10%18.85M
+41.42%20.51M
+28.06%11.15M
+52.17%9.53M
+30.03%6.80M
+205.05%14.50M
-1.57%8.71M
--6.26M
Total Non-Current Assets
+5.75%1.49B
+0.63%1.42B
+3.89%1.44B
+31.35%1.42B
+67.90%1.41B
+106.00%1.41B
+114.50%1.38B
+92.95%1.08B
+45.06%841.48M
+21.86%683.06M
+18.67%644.37M
+22.51%559.00M
+40.74%580.10M
+44.65%560.55M
+55.78%542.99M
+46.80%456.29M
+43.04%412.18M
+67.76%387.53M
+66.38%348.57M
--310.84M
Total Fixed Assets
+4.08%715.23M
+4.28%725.69M
+46.48%764.17M
+93.48%744.28M
+77.81%687.18M
+77.36%695.89M
+34.10%521.68M
+5.11%384.68M
+7.17%386.46M
+19.75%392.36M
+16.69%389.02M
+245.55%365.96M
+317.85%360.59M
+273.41%327.64M
+272.42%333.37M
+21.72%105.91M
+2.98%86.30M
+3.10%87.74M
+3.03%89.52M
--87.01M
Fixed Assets
+4.08%715.23M
----
+46.48%764.17M
----
+77.81%687.18M
----
+34.10%521.68M
----
+7.17%386.46M
----
+16.69%389.02M
----
+317.85%360.59M
----
+272.42%333.37M
----
+2.98%86.30M
----
+3.03%89.52M
----
Total Constru in Process
-41.93%118.97M
-37.25%120.58M
-66.63%115.78M
-43.13%141.08M
+34.83%204.87M
+323.64%192.16M
+3726.74%347.01M
+1665.74%248.08M
+1120.02%151.95M
-12.16%45.36M
-72.49%9.07M
-93.62%14.05M
-93.74%12.45M
-75.02%51.64M
-80.33%32.96M
+49.15%220.11M
+57.68%198.97M
+215.65%206.71M
+305.56%167.59M
--147.58M
Construction in Process
-41.93%118.97M
----
-66.63%115.78M
----
+34.83%204.87M
----
+3726.74%347.01M
----
+1120.02%151.95M
----
-72.49%9.07M
----
-93.74%12.45M
----
-80.33%32.96M
----
+57.68%198.97M
----
+305.56%167.59M
----
Investment Property
--35.03M
--35.33M
----
----
----
----
----
----
--1.50M
----
----
----
----
----
----
----
----
----
----
----
Other Equity Investments
+204.23%177.01M
+53.28%89.18M
+63.32%95.02M
+0.00%58.18M
+0.00%58.18M
+34.74%58.18M
+34.74%58.18M
+93.94%58.18M
+93.94%58.18M
+43.94%43.18M
+43.94%43.18M
+50.00%30.00M
+50.00%30.00M
--30.00M
--30.00M
--20.00M
--20.00M
----
----
----
Intangible Assets
-8.47%76.94M
-8.88%77.70M
-5.15%81.89M
+15.78%82.95M
+18.20%84.06M
+19.20%85.28M
+22.40%86.34M
+96.37%71.64M
+92.52%71.12M
+91.50%71.54M
+86.55%70.54M
-0.35%36.48M
+1.42%36.94M
+1.35%37.36M
+1.47%37.81M
-0.09%36.61M
-0.86%36.42M
-0.06%36.86M
+1.45%37.27M
--36.64M
Usufruct Assets
-9.66%194.45M
-11.58%193.82M
-11.64%197.19M
+53.21%211.27M
+731.61%215.24M
+868.52%219.20M
+1011.75%223.16M
+521.61%137.89M
+6.43%25.88M
-6.44%22.63M
-24.30%20.07M
+98.56%22.18M
+89.07%24.32M
+122.92%24.19M
+562.56%26.52M
+184.84%11.17M
+176.21%12.86M
+107.35%10.85M
-32.25%4.00M
--3.92M
Long Deferred Expense
+61.27%18.65M
-17.22%9.88M
-20.21%10.18M
-9.63%10.94M
-9.01%11.56M
-6.83%11.93M
-0.91%12.76M
+5.36%12.11M
+4.83%12.71M
+220.52%12.81M
+189.11%12.88M
--11.49M
--12.12M
--4.00M
--4.45M
----
----
----
----
--96.00K
Deferred Tax Assets
+54.99%52.70M
+60.40%51.07M
+27.13%41.26M
-15.91%44.10M
-30.84%34.00M
-1.60%31.84M
-4.10%32.45M
+99.02%52.44M
+69.85%49.16M
+29.52%32.36M
+34.12%33.84M
+35.31%26.35M
+58.43%28.94M
+120.07%24.98M
+87.53%25.23M
+47.07%19.47M
+44.88%18.27M
-8.46%11.35M
+26.88%13.45M
--13.24M
Other Non-Current Assets
-10.73%105.09M
+0.07%112.70M
+29.62%130.43M
+9.11%123.88M
+39.29%117.72M
+79.26%112.62M
+52.99%100.63M
+116.38%113.54M
+13.10%84.52M
+3.44%62.83M
+24.93%65.77M
+21.98%52.47M
+89.84%74.72M
+78.55%60.74M
+43.26%52.65M
+92.47%43.02M
+62.91%39.36M
+31.30%34.02M
+31.00%36.75M
--22.35M
Total Liabilities
+5.21%1.96B
-13.73%1.72B
-23.84%1.72B
-10.25%1.86B
-9.86%1.86B
+14.28%1.99B
+21.09%2.25B
+33.42%2.08B
+53.68%2.06B
+50.66%1.74B
+58.33%1.86B
+62.07%1.56B
+36.61%1.34B
+46.24%1.16B
+36.41%1.17B
+34.11%960.37M
+54.47%983.47M
+40.13%791.28M
+35.32%861.17M
--716.09M
Total Current Liabilities
+10.22%1.50B
-16.49%1.24B
-28.29%1.28B
-20.22%1.36B
-26.79%1.36B
-11.01%1.49B
-0.62%1.79B
+10.95%1.71B
+40.37%1.86B
+46.66%1.67B
+56.63%1.80B
+62.10%1.54B
+36.86%1.33B
+46.40%1.14B
+35.16%1.15B
+34.79%949.24M
+55.52%968.33M
+42.51%777.71M
+36.95%848.97M
--704.25M
Notes Payable and Accounts Payable
-6.83%760.60M
-26.66%624.47M
-38.95%645.79M
-30.84%734.11M
-27.66%816.35M
-17.82%851.49M
-10.39%1.06B
+7.94%1.06B
+32.81%1.13B
+33.24%1.04B
+33.57%1.18B
+37.71%983.40M
+23.39%849.72M
+31.19%777.66M
+32.16%883.84M
+25.22%714.12M
+42.61%688.64M
+41.79%592.79M
+36.51%668.76M
--570.29M
-Notes Payable
+19.00%222.90M
-21.42%162.65M
-53.67%113.34M
-65.27%125.19M
-51.32%187.31M
-48.62%206.99M
-35.93%244.62M
-6.90%360.43M
+46.90%384.81M
+53.99%402.90M
+33.92%381.79M
+40.58%387.12M
-3.63%261.95M
-8.60%261.63M
+3.83%285.09M
+9.08%275.38M
+47.09%271.82M
+89.46%286.24M
+57.61%274.59M
--252.46M
-Accounts Payable
-14.52%537.70M
-28.34%461.83M
-34.53%532.46M
-13.14%608.92M
-15.41%629.04M
+1.78%644.50M
+1.81%813.24M
+17.57%701.06M
+26.52%743.67M
+22.71%633.24M
+33.41%798.76M
+35.91%596.28M
+41.01%587.77M
+68.34%516.03M
+51.90%598.74M
+38.04%438.74M
+39.83%416.82M
+14.82%306.54M
+24.87%394.17M
--317.82M
Taxes Payable
+104.22%22.47M
-72.57%4.38M
+148.97%15.93M
+73.53%26.21M
-35.56%11.00M
+29.56%15.98M
-84.87%6.40M
-28.43%15.10M
-55.74%17.07M
+4.93%12.34M
+105.22%42.29M
-27.81%21.10M
-1.76%38.57M
-2.85%11.76M
-43.12%20.61M
+115.85%29.23M
+72.29%39.26M
+134.48%12.10M
+100.84%36.22M
--13.54M
Salaries Payable
+21.87%20.24M
-33.45%19.11M
-33.02%18.37M
-42.09%17.85M
-36.98%16.61M
-22.24%28.72M
-18.44%27.43M
+17.24%30.83M
+23.84%26.35M
+27.56%36.93M
+33.79%33.63M
+16.68%26.29M
+15.45%21.28M
+28.26%28.95M
+21.86%25.14M
+23.18%22.53M
+26.24%18.43M
+3.55%22.57M
+13.62%20.63M
--18.29M
Other Payables (Including Interests and Dividends)
-55.59%26.50M
-18.80%35.48M
+10.55%35.92M
-31.46%36.22M
-29.35%59.67M
-17.86%43.70M
-42.97%32.49M
+96.19%52.84M
+47.19%84.46M
+37.65%53.20M
+48.84%56.97M
-48.16%26.93M
-41.11%57.38M
-23.69%38.65M
-27.57%38.28M
+498.53%51.95M
+990.59%97.44M
+261.64%50.65M
+2708.88%52.85M
--8.68M
-Interest Payable
----
----
----
----
----
----
----
----
----
----
----
----
--37.71K
----
----
----
----
----
----
----
-Dividend Payable
-97.24%518.27K
+55.56%518.27K
+10.57%518.27K
--518.27K
-43.89%18.75M
--333.17K
--468.72K
----
+70.08%33.42M
----
----
----
--19.65M
----
----
----
----
----
----
----
-Other Payable
-36.50%25.98M
----
+10.55%35.40M
----
-19.82%40.92M
----
-43.79%32.02M
----
+35.40%51.03M
----
+48.84%56.97M
----
-61.32%37.69M
----
-27.57%38.28M
----
+990.59%97.44M
----
+2708.88%52.85M
----
Short-Term Debt
+16.20%479.95M
-5.65%455.49M
-8.33%462.56M
+14.41%488.46M
-4.70%413.05M
+21.41%482.75M
+45.46%504.59M
+21.22%426.94M
+44.64%433.43M
+53.39%397.64M
+117.19%346.89M
+219.97%352.21M
+172.31%299.66M
+245.44%259.24M
+254.60%159.72M
+144.40%110.08M
+119.91%110.04M
+49.95%75.05M
-25.01%45.04M
--45.04M
Contract Liabilities
+639.97%52.66M
-13.01%20.53M
-80.99%19.46M
-71.71%19.42M
-94.95%7.12M
-79.13%23.60M
-4.67%102.36M
-42.26%68.66M
+217.26%140.86M
+669.22%113.11M
+1631.29%107.37M
+1026.76%118.92M
+808.31%44.40M
-0.75%14.70M
-66.55%6.20M
-72.69%10.55M
-87.21%4.89M
-54.40%14.82M
-29.95%18.54M
--38.65M
Non-Current Liabilities Due Within One Year
+271.63%137.62M
+119.77%80.69M
+125.57%82.00M
-3.41%37.27M
+202.06%37.03M
+471.12%36.72M
+312.21%36.35M
+367.57%38.59M
+43.41%12.26M
+12.90%6.43M
-25.19%8.82M
-19.67%8.25M
-4.98%8.55M
-36.97%5.69M
+123.24%11.79M
+76.73%10.27M
+114.45%9.00M
+802.34%9.03M
+36.14%5.28M
--5.81M
Other Current Liabilities
-7.91%958.12K
-74.74%749.30K
-96.01%741.46K
-80.41%2.49M
-94.02%1.04M
-78.91%2.97M
-10.36%18.58M
+684.08%12.72M
+203.82%17.41M
+635.86%14.07M
+997.86%20.73M
+221.70%1.62M
+801.75%5.73M
+170.09%1.91M
+14.58%1.89M
-87.20%504.45K
-33.72%635.47K
-77.41%707.75K
+7.51%1.65M
--3.94M
Total Non-Current Liabilities
-8.46%456.86M
-5.62%477.81M
-6.78%434.47M
+35.82%501.76M
+144.30%499.11M
+589.01%506.27M
+643.67%466.05M
+1984.10%369.44M
+1022.52%204.30M
+295.20%73.48M
+130.09%62.67M
+59.20%17.73M
+20.17%18.20M
+37.06%18.59M
+123.26%27.24M
-5.93%11.14M
+7.87%15.15M
-28.42%13.57M
-26.00%12.20M
--11.84M
Long term debt
-8.77%280.58M
-3.35%301.98M
-3.76%259.47M
+22.51%310.46M
+71.13%307.56M
+476.79%312.46M
+461.67%269.60M
--253.42M
--179.72M
--54.17M
+638.46%48.00M
----
----
----
-43.48%6.50M
-43.48%6.51M
-29.42%9.01M
-33.34%9.01M
-17.96%11.50M
--11.51M
Lease Liabilities
-9.06%174.20M
-10.35%173.75M
-11.98%172.91M
+69.86%191.29M
+785.60%191.55M
+903.87%193.81M
+1261.09%196.44M
+535.31%112.62M
+18.84%21.63M
+3.84%19.31M
-30.40%14.43M
+283.09%17.73M
+196.63%18.20M
+308.24%18.59M
+2864.24%20.74M
+1335.41%4.63M
+381.02%6.14M
-16.18%4.55M
-71.65%699.54K
--322.37K
Deferred Tax Liabilities
----
----
----
----
----
----
----
--3.40M
--2.95M
----
--235.32K
----
----
----
----
----
----
----
----
----
Long Term Deferred Income
--2.09M
--2.09M
--2.09M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
Total Equity
-3.72%1.64B
-3.61%1.64B
-1.12%1.67B
+2.18%1.69B
+4.77%1.71B
+4.89%1.70B
+5.67%1.69B
+10.00%1.66B
+9.84%1.63B
+12.29%1.62B
+12.27%1.60B
+8.92%1.51B
+11.36%1.48B
+2.92%1.44B
+2.93%1.42B
+5.11%1.38B
+4.25%1.33B
+10.10%1.40B
+96.90%1.38B
--1.32B
Stockholders' Equity
-3.45%1.64B
-3.42%1.63B
-1.19%1.66B
+1.95%1.68B
+4.45%1.69B
+4.60%1.69B
+5.61%1.68B
+9.46%1.65B
+9.31%1.62B
+11.76%1.61B
+11.75%1.59B
+8.92%1.51B
+11.36%1.48B
+2.92%1.44B
+2.93%1.42B
+5.11%1.38B
+4.25%1.33B
+10.10%1.40B
+96.90%1.38B
--1.32B
Paid-In Capital
-0.94%147.68M
-0.94%147.68M
-1.19%147.68M
-1.19%147.68M
+19.54%149.07M
+19.54%149.07M
+19.85%149.46M
+19.85%149.46M
-0.29%124.70M
-0.29%124.70M
-0.29%124.70M
-0.33%124.70M
-0.04%125.07M
-0.04%125.07M
-0.04%125.07M
+0.97%125.12M
+0.97%125.12M
+0.97%125.12M
+34.63%125.12M
--123.92M
Capital Reserve Funds
-3.40%756.06M
-3.67%754.47M
-4.93%754.38M
-4.93%757.42M
-4.27%782.64M
-3.76%783.17M
-2.00%793.50M
-0.69%796.66M
+0.29%817.57M
-0.13%813.79M
-0.53%809.71M
-2.25%802.21M
-0.12%815.22M
+0.44%814.87M
+0.96%814.00M
+8.52%820.71M
+8.04%816.22M
+7.39%811.26M
+255.41%806.29M
--756.30M
Surplus Reserve Funds
+3.52%65.78M
+3.52%65.78M
+3.52%65.78M
+14.58%63.54M
+14.58%63.54M
+14.58%63.54M
+14.58%63.54M
+27.09%55.46M
+27.09%55.46M
+27.09%55.46M
+27.09%55.46M
+34.28%43.64M
+34.28%43.64M
+34.28%43.64M
+34.28%43.64M
+51.06%32.50M
+51.06%32.50M
+51.06%32.50M
+51.06%32.50M
--21.51M
Other Composite Income
+492.01%119.83M
+132.76%45.72M
+159.56%50.73M
+0.34%20.03M
+4.34%20.24M
-0.20%19.64M
-0.81%19.55M
+134.81%19.96M
+128.21%19.40M
+131.52%19.68M
+131.82%19.71M
--8.50M
--8.50M
--8.50M
--8.50M
----
----
----
----
----
Retained Profit
-20.55%616.51M
-10.93%688.32M
-5.02%714.43M
+4.46%764.49M
+9.81%775.98M
+11.55%772.82M
+11.63%752.20M
+18.07%731.86M
+18.31%706.64M
+24.03%692.83M
+24.82%673.82M
+16.76%619.83M
+23.59%597.26M
+16.23%558.59M
+15.73%539.85M
+28.33%530.88M
+28.27%483.26M
+28.62%480.59M
+28.98%466.47M
--413.68M
Specific Reserves
+73.71%3.56M
+99.43%2.89M
+52.93%2.72M
+90.84%2.22M
--2.05M
--1.45M
+55.97%1.78M
--1.17M
----
----
--1.14M
----
----
----
----
----
----
----
----
--392.24K
Less:Treasury Stock
-25.70%74.27M
-26.75%74.27M
-24.68%74.27M
-29.64%74.27M
-2.35%99.97M
+9.75%101.39M
+6.75%98.62M
+14.19%105.57M
-3.75%102.38M
-13.15%92.38M
-13.15%92.38M
-26.73%92.44M
-14.97%106.37M
+130.14%106.37M
+130.14%106.37M
--126.16M
--125.10M
--46.22M
--46.22M
----
Minority Interests
-37.73%8.30M
-28.72%9.11M
+11.54%9.88M
+49.96%12.08M
+70.25%13.33M
+66.65%12.79M
+20.30%8.86M
--8.05M
--7.83M
--7.67M
--7.36M
----
----
----
----
----
----
----
----
----
Deadline
Jun 30, 2026
Mar 31, 2026
Dec 31, 2025
Sep 30, 2025
Jun 30, 2025
Mar 31, 2025
Dec 31, 2024
Sep 30, 2024
Jun 30, 2024
Mar 31, 2024
Dec 31, 2023
Sep 30, 2023
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
Sep 30, 2022
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
Sep 30, 2021
Accounting Standard
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
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
--
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--
Unqualified opinion
--
--
--
Unqualified opinion
--
2026/H12026/Q12025/FY2025/Q92025/H12025/Q12024/FY2024/Q92024/H12024/Q12023/FY2023/Q92023/H12023/Q12022/FY2022/Q92022/H12022/Q12021/FY2021/Q9

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.