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ANTA SPORTS-R (82020)

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  • 73.350
  • +0.150+0.20%
Noon Break Jan 16 12:00 CST
205.13BMarket Cap13.76P/E (TTM)

ANTA SPORTS-R (82020) Cash Flow

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YOY yoy
Hide blank lines yoy
(Q6)Jun 30, 2025
(FY)Dec 31, 2024
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
Cash flow from operating activities
Earning before tax
----
39.92%21.88B
----
37.74%15.64B
----
1.02%11.36B
----
38.95%11.24B
----
1.00%8.09B
Profit adjustment
Interest (income) - adjustment
----
-25.58%-1.85B
----
-141.38%-1.47B
----
-55.36%-609M
----
-44.65%-392M
----
-61.31%-271M
Interest expense - adjustment
----
20.15%626M
----
1.96%521M
----
15.35%511M
----
8.85%443M
----
46.40%407M
Dividend (income)- adjustment
----
-66.67%-5M
----
-50.00%-3M
----
0.00%-2M
----
0.00%-2M
----
-100.00%-2M
Attributable subsidiary (profit) loss
----
-127.58%-198M
----
2,664.29%718M
----
-134.57%-28M
----
-86.52%81M
----
-5.06%601M
Impairment and provisions:
----
-606.67%-106M
----
-103.66%-15M
----
673.58%410M
----
-70.22%53M
----
747.62%178M
-Impairmen of inventory (reversal)
----
-560.00%-132M
----
-104.83%-20M
----
452.00%414M
----
-56.40%75M
----
405.88%172M
-Impairment of trade receivables (reversal)
----
420.00%26M
----
225.00%5M
----
81.82%-4M
----
-466.67%-22M
----
146.15%6M
Revaluation surplus:
----
---88M
----
----
----
----
----
----
----
----
-Other fair value changes
----
---88M
----
----
----
----
----
----
----
----
Asset sale loss (gain):
----
103.03%1M
----
-22.22%-33M
----
-400.00%-27M
----
228.57%9M
----
86.27%-7M
-Loss (gain) on sale of property, machinery and equipment
----
4,500.00%46M
----
-50.00%1M
----
-77.78%2M
----
28.57%9M
----
133.33%7M
-Loss (gain) from selling other assets
----
-32.35%-45M
----
-17.24%-34M
----
---29M
----
----
----
74.07%-14M
Depreciation and amortization:
----
9.71%5.47B
----
11.72%4.99B
----
36.68%4.46B
----
57.09%3.27B
----
41.52%2.08B
-Amortization of intangible assets
----
14.40%143M
----
1.63%125M
----
-4.65%123M
----
69.74%129M
----
58.33%76M
Exchange Loss (gain)
----
-90.48%-80M
----
-4,300.00%-42M
----
100.26%1M
----
-217.18%-382M
----
671.93%326M
Special items
----
-1,689.77%-3.42B
----
12.57%215M
----
27.33%191M
----
-22.28%150M
----
119.32%193M
Operating profit before the change of operating capital
----
8.40%22.24B
----
26.14%20.52B
----
12.44%16.27B
----
24.78%14.47B
----
13.42%11.59B
Change of operating capital
Inventory (increase) decrease
----
-354.67%-3.41B
----
206.27%1.34B
----
43.57%-1.26B
----
-78.21%-2.23B
----
19.00%-1.25B
Accounts receivable (increase)decrease
----
68.82%-386M
----
-203.51%-1.24B
----
771.91%1.2B
----
41.45%-178M
----
82.03%-304M
Accounts payable increase (decrease)
----
4.09%1.65B
----
252.79%1.59B
----
-148.85%-1.04B
----
425.04%2.13B
----
-126.89%-655M
Special items for working capital changes
----
-161.29%-81M
----
93.72%-31M
----
---494M
----
----
----
----
Cash  from business operations
24.08%13.88B
-9.74%20.02B
-5.58%11.19B
51.19%22.18B
71.55%11.85B
3.41%14.67B
-12.91%6.91B
51.20%14.18B
119.42%7.93B
-0.39%9.38B
Other taxs
-16.00%-3.86B
-26.45%-4.53B
-36.66%-3.33B
-17.66%-3.58B
-12.33%-2.43B
-13.78%-3.05B
-20.80%-2.17B
-22.74%-2.68B
-35.32%-1.79B
-2.25%-2.18B
Interest received - operating
41.92%904M
20.56%1.26B
-14.61%637M
98.29%1.04B
214.77%746M
48.31%525M
36.21%237M
37.21%354M
65.71%174M
29.00%258M
Net cash from operations
28.57%10.93B
-14.73%16.74B
-16.35%8.5B
61.64%19.63B
104.14%10.16B
2.41%12.15B
-21.13%4.98B
59.04%11.86B
163.59%6.31B
-0.36%7.46B
Cash flow from investment activities
Decrease in deposits (increase)
-12.64%-5.31B
71.38%-6.44B
45.69%-4.72B
-692.39%-22.49B
-207.00%-8.69B
-34.82%-2.84B
-162.19%-2.83B
-96.73%-2.11B
55.60%-1.08B
40.32%-1.07B
Purchase of fixed assets
----
-89.78%-1.41B
----
23.61%-744M
----
-25.03%-974M
----
-83.73%-779M
----
-21.14%-424M
Purchase of intangible assets
-37.26%-1.22B
-415.88%-1.2B
-34.19%-891M
-102.61%-233M
22.61%-664M
13.53%-115M
-87.34%-858M
34.16%-133M
10.37%-458M
64.81%-202M
Sale of subsidiaries
----
----
----
----
----
----
----
----
----
-72.77%235M
Acquisition of subsidiaries
---2.16B
92.10%-38M
----
---481M
----
----
----
----
----
----
Recovery of cash from investments
152.35%1.12B
----
---2.15B
----
----
----
----
----
----
----
Cash on investment
89.15%-173M
-204.55%-5.83B
-14,400.00%-1.6B
-124.38%-1.91B
93.79%-11M
50.18%-853M
-165.56%-177M
-234.38%-1.71B
--270M
95.45%-512M
Other items in the investment business
-87.10%4M
-19.40%54M
34.78%31M
1,016.67%67M
276.92%23M
-90.00%6M
-121.67%-13M
20.00%60M
50.00%60M
51.52%50M
Net cash from investment operations
16.89%-7.75B
42.37%-14.86B
0.19%-9.32B
-440.28%-25.79B
-140.83%-9.34B
-2.25%-4.77B
-221.21%-3.88B
-142.80%-4.67B
59.13%-1.21B
85.28%-1.92B
Net cash before financing
489.96%3.19B
130.48%1.88B
-198.79%-817M
-183.53%-6.16B
-24.95%827M
2.52%7.37B
-78.42%1.1B
29.94%7.19B
1,015.05%5.11B
199.19%5.54B
Cash flow from financing activities
New borrowing
----
-11.60%2.21B
----
-10.87%2.5B
----
330.21%2.81B
---702M
-32.37%652M
----
-87.53%964M
Refund
-202.30%-263M
-61.86%-3.33B
-116.70%-87M
51.09%-2.06B
--521M
-396.23%-4.21B
----
81.18%-848M
---1.85B
-247.23%-4.51B
Issuing shares
----
11.15%11.67B
----
--10.5B
--10.5B
----
----
----
----
984.37%7.7B
Issuance of bonds
330.51%2.44B
142.11%4.6B
--567M
280.00%1.9B
----
--500M
----
----
----
--998M
Interest paid - financing
61.04%-30M
-78.76%-202M
-327.78%-77M
-54.79%-113M
45.45%-18M
34.23%-73M
40.00%-33M
26.97%-111M
52.59%-55M
-38.18%-152M
Dividends paid - financing
14.61%-3.2B
-65.39%-7.03B
-90.36%-3.75B
-7.59%-4.25B
16.13%-1.97B
-60.83%-3.95B
-122.87%-2.35B
-65.83%-2.46B
-16.72%-1.05B
2.18%-1.48B
Absorb investment income
----
-74.90%65M
----
7.02%259M
----
-49.05%242M
----
--475M
----
----
Issuance expenses and redemption of securities expenses
---1.5B
-734.30%-8.34B
----
---1B
----
----
----
----
----
----
Other items of the financing business
-51.85%-41M
-893.81%-1.12B
-111.02%-27M
-494.74%-113M
-60.61%245M
13.64%-19M
1,223.40%622M
96.29%-22M
-92.10%47M
-291.91%-593M
Net cash from financing operations
10.67%-4.83B
-265.98%-5.76B
-174.01%-5.41B
144.27%3.47B
285.46%7.31B
-58.50%-7.84B
6.32%-3.94B
-502.52%-4.95B
-162.95%-4.21B
-73.68%1.23B
Effect of rate
-187.25%-89M
-91.45%46M
-67.82%102M
111.81%538M
111.33%317M
958.33%254M
581.82%150M
-92.90%24M
-91.27%22M
320.92%338M
Net Cash
73.57%-1.65B
-44.49%-3.88B
-176.53%-6.23B
-474.36%-2.69B
386.61%8.13B
-120.85%-468M
-415.33%-2.84B
-66.81%2.25B
-85.30%900M
843.30%6.76B
Begining period cash
-25.20%11.39B
-12.37%15.23B
-12.37%15.23B
-1.22%17.38B
-1.22%17.38B
14.81%17.59B
14.81%17.59B
86.39%15.32B
86.39%15.32B
-11.45%8.22B
Cash at the end
6.05%9.66B
-25.20%11.39B
-64.75%9.11B
-12.37%15.23B
73.30%25.83B
-1.22%17.38B
-8.25%14.9B
14.81%17.59B
11.30%16.25B
86.39%15.32B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS and HKAS
IAS and HKAS
IAS and HKAS
IAS and HKAS
IAS and HKAS
IAS and HKAS
IAS and HKAS
IAS and HKAS
IAS and HKAS
IAS and HKAS
Audit Opinions
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
Auditor
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
(Q6)Jun 30, 2025(FY)Dec 31, 2024(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020
Cash flow from operating activities
Earning before tax ----39.92%21.88B----37.74%15.64B----1.02%11.36B----38.95%11.24B----1.00%8.09B
Profit adjustment
Interest (income) - adjustment -----25.58%-1.85B-----141.38%-1.47B-----55.36%-609M-----44.65%-392M-----61.31%-271M
Interest expense - adjustment ----20.15%626M----1.96%521M----15.35%511M----8.85%443M----46.40%407M
Dividend (income)- adjustment -----66.67%-5M-----50.00%-3M----0.00%-2M----0.00%-2M-----100.00%-2M
Attributable subsidiary (profit) loss -----127.58%-198M----2,664.29%718M-----134.57%-28M-----86.52%81M-----5.06%601M
Impairment and provisions: -----606.67%-106M-----103.66%-15M----673.58%410M-----70.22%53M----747.62%178M
-Impairmen of inventory (reversal) -----560.00%-132M-----104.83%-20M----452.00%414M-----56.40%75M----405.88%172M
-Impairment of trade receivables (reversal) ----420.00%26M----225.00%5M----81.82%-4M-----466.67%-22M----146.15%6M
Revaluation surplus: -------88M--------------------------------
-Other fair value changes -------88M--------------------------------
Asset sale loss (gain): ----103.03%1M-----22.22%-33M-----400.00%-27M----228.57%9M----86.27%-7M
-Loss (gain) on sale of property, machinery and equipment ----4,500.00%46M-----50.00%1M-----77.78%2M----28.57%9M----133.33%7M
-Loss (gain) from selling other assets -----32.35%-45M-----17.24%-34M-------29M------------74.07%-14M
Depreciation and amortization: ----9.71%5.47B----11.72%4.99B----36.68%4.46B----57.09%3.27B----41.52%2.08B
-Amortization of intangible assets ----14.40%143M----1.63%125M-----4.65%123M----69.74%129M----58.33%76M
Exchange Loss (gain) -----90.48%-80M-----4,300.00%-42M----100.26%1M-----217.18%-382M----671.93%326M
Special items -----1,689.77%-3.42B----12.57%215M----27.33%191M-----22.28%150M----119.32%193M
Operating profit before the change of operating capital ----8.40%22.24B----26.14%20.52B----12.44%16.27B----24.78%14.47B----13.42%11.59B
Change of operating capital
Inventory (increase) decrease -----354.67%-3.41B----206.27%1.34B----43.57%-1.26B-----78.21%-2.23B----19.00%-1.25B
Accounts receivable (increase)decrease ----68.82%-386M-----203.51%-1.24B----771.91%1.2B----41.45%-178M----82.03%-304M
Accounts payable increase (decrease) ----4.09%1.65B----252.79%1.59B-----148.85%-1.04B----425.04%2.13B-----126.89%-655M
Special items for working capital changes -----161.29%-81M----93.72%-31M-------494M----------------
Cash  from business operations 24.08%13.88B-9.74%20.02B-5.58%11.19B51.19%22.18B71.55%11.85B3.41%14.67B-12.91%6.91B51.20%14.18B119.42%7.93B-0.39%9.38B
Other taxs -16.00%-3.86B-26.45%-4.53B-36.66%-3.33B-17.66%-3.58B-12.33%-2.43B-13.78%-3.05B-20.80%-2.17B-22.74%-2.68B-35.32%-1.79B-2.25%-2.18B
Interest received - operating 41.92%904M20.56%1.26B-14.61%637M98.29%1.04B214.77%746M48.31%525M36.21%237M37.21%354M65.71%174M29.00%258M
Net cash from operations 28.57%10.93B-14.73%16.74B-16.35%8.5B61.64%19.63B104.14%10.16B2.41%12.15B-21.13%4.98B59.04%11.86B163.59%6.31B-0.36%7.46B
Cash flow from investment activities
Decrease in deposits (increase) -12.64%-5.31B71.38%-6.44B45.69%-4.72B-692.39%-22.49B-207.00%-8.69B-34.82%-2.84B-162.19%-2.83B-96.73%-2.11B55.60%-1.08B40.32%-1.07B
Purchase of fixed assets -----89.78%-1.41B----23.61%-744M-----25.03%-974M-----83.73%-779M-----21.14%-424M
Purchase of intangible assets -37.26%-1.22B-415.88%-1.2B-34.19%-891M-102.61%-233M22.61%-664M13.53%-115M-87.34%-858M34.16%-133M10.37%-458M64.81%-202M
Sale of subsidiaries -------------------------------------72.77%235M
Acquisition of subsidiaries ---2.16B92.10%-38M-------481M------------------------
Recovery of cash from investments 152.35%1.12B-------2.15B----------------------------
Cash on investment 89.15%-173M-204.55%-5.83B-14,400.00%-1.6B-124.38%-1.91B93.79%-11M50.18%-853M-165.56%-177M-234.38%-1.71B--270M95.45%-512M
Other items in the investment business -87.10%4M-19.40%54M34.78%31M1,016.67%67M276.92%23M-90.00%6M-121.67%-13M20.00%60M50.00%60M51.52%50M
Net cash from investment operations 16.89%-7.75B42.37%-14.86B0.19%-9.32B-440.28%-25.79B-140.83%-9.34B-2.25%-4.77B-221.21%-3.88B-142.80%-4.67B59.13%-1.21B85.28%-1.92B
Net cash before financing 489.96%3.19B130.48%1.88B-198.79%-817M-183.53%-6.16B-24.95%827M2.52%7.37B-78.42%1.1B29.94%7.19B1,015.05%5.11B199.19%5.54B
Cash flow from financing activities
New borrowing -----11.60%2.21B-----10.87%2.5B----330.21%2.81B---702M-32.37%652M-----87.53%964M
Refund -202.30%-263M-61.86%-3.33B-116.70%-87M51.09%-2.06B--521M-396.23%-4.21B----81.18%-848M---1.85B-247.23%-4.51B
Issuing shares ----11.15%11.67B------10.5B--10.5B----------------984.37%7.7B
Issuance of bonds 330.51%2.44B142.11%4.6B--567M280.00%1.9B------500M--------------998M
Interest paid - financing 61.04%-30M-78.76%-202M-327.78%-77M-54.79%-113M45.45%-18M34.23%-73M40.00%-33M26.97%-111M52.59%-55M-38.18%-152M
Dividends paid - financing 14.61%-3.2B-65.39%-7.03B-90.36%-3.75B-7.59%-4.25B16.13%-1.97B-60.83%-3.95B-122.87%-2.35B-65.83%-2.46B-16.72%-1.05B2.18%-1.48B
Absorb investment income -----74.90%65M----7.02%259M-----49.05%242M------475M--------
Issuance expenses and redemption of securities expenses ---1.5B-734.30%-8.34B-------1B------------------------
Other items of the financing business -51.85%-41M-893.81%-1.12B-111.02%-27M-494.74%-113M-60.61%245M13.64%-19M1,223.40%622M96.29%-22M-92.10%47M-291.91%-593M
Net cash from financing operations 10.67%-4.83B-265.98%-5.76B-174.01%-5.41B144.27%3.47B285.46%7.31B-58.50%-7.84B6.32%-3.94B-502.52%-4.95B-162.95%-4.21B-73.68%1.23B
Effect of rate -187.25%-89M-91.45%46M-67.82%102M111.81%538M111.33%317M958.33%254M581.82%150M-92.90%24M-91.27%22M320.92%338M
Net Cash 73.57%-1.65B-44.49%-3.88B-176.53%-6.23B-474.36%-2.69B386.61%8.13B-120.85%-468M-415.33%-2.84B-66.81%2.25B-85.30%900M843.30%6.76B
Begining period cash -25.20%11.39B-12.37%15.23B-12.37%15.23B-1.22%17.38B-1.22%17.38B14.81%17.59B14.81%17.59B86.39%15.32B86.39%15.32B-11.45%8.22B
Cash at the end 6.05%9.66B-25.20%11.39B-64.75%9.11B-12.37%15.23B73.30%25.83B-1.22%17.38B-8.25%14.9B14.81%17.59B11.30%16.25B86.39%15.32B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IAS and HKASIAS and HKASIAS and HKASIAS and HKASIAS and HKASIAS and HKASIAS and HKASIAS and HKASIAS and HKASIAS and HKAS
Audit Opinions --Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion
Auditor --KPMG--KPMG--KPMG--KPMG--KPMG

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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