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01478 Q TECH

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  • 6.720
  • +0.220+3.38%
Market Closed May 2 16:08 CST
7.99BMarket Cap26.56P/E (TTM)

Q TECH Key Stats

All
YOY yoy
Hide blank lines yoy
(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
(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax
575.49%460.23M
----
-36.37%68.13M
----
-88.81%107.08M
----
-1.32%957.3M
----
59.84%970.07M
----
Profit adjustment
Interest (income) - adjustment
20.46%-118.51M
----
-488.91%-148.99M
----
-40.18%-25.3M
----
-6.69%-18.05M
----
-21.60%-16.92M
----
Interest expense - adjustment
----
----
----
----
----
----
-43.86%30.05M
----
1.35%53.52M
----
Dividend (income)- adjustment
---1.61M
----
----
----
----
----
----
----
----
----
Attributable subsidiary (profit) loss
-26.38%36.5M
----
35.31%49.58M
----
-29.10%36.64M
----
125.78%51.68M
----
157.23%22.89M
----
Impairment and provisions:
-32.26%23.8M
----
167.51%35.13M
----
-185.32%-52.04M
----
30.96%61M
----
-27.70%46.58M
----
-Impairment of property, plant and equipment (reversal)
----
----
----
----
----
----
-26.56%20.68M
----
165.94%28.16M
----
-Impairmen of inventory (reversal)
-35.22%23.21M
----
219.20%35.83M
----
-270.11%-30.06M
----
-1.69%17.67M
----
-66.12%17.98M
----
-Impairment of trade receivables (reversal)
183.19%584K
----
-388.89%-702K
----
-42.42%243K
----
-4.74%422K
----
-42.17%443K
----
-Other impairments and provisions
----
----
----
----
-200.00%-22.22M
----
--22.22M
----
----
----
Revaluation surplus:
-269.38%-165.19M
----
29.51%-44.72M
----
---63.45M
----
----
----
----
----
-Other fair value changes
-269.38%-165.19M
----
29.51%-44.72M
----
---63.45M
----
----
----
----
----
Asset sale loss (gain):
-35.97%2.38M
----
-26.79%3.71M
----
-60.34%5.07M
----
12.00%12.78M
----
-34.87%11.41M
----
-Loss (gain) on sale of property, machinery and equipment
-35.97%2.38M
----
-26.79%3.71M
----
-60.34%5.07M
----
12.00%12.78M
----
-34.87%11.41M
----
Depreciation and amortization:
2.44%454.45M
----
-4.98%443.64M
----
-6.61%466.9M
----
30.02%499.94M
----
31.99%384.5M
----
-Depreciation
2.18%449.21M
----
-5.11%439.64M
----
-7.15%463.32M
----
29.98%498.99M
----
32.03%383.89M
----
-Amortization of intangible assets
30.60%5.23M
----
11.96%4.01M
----
277.53%3.58M
----
54.15%948K
----
10.22%615K
----
Financial expense
-11.21%152.12M
----
186.15%171.33M
----
--59.87M
----
----
----
----
----
Exchange Loss (gain)
798.80%55.82M
----
23.18%-7.99M
----
50.63%-10.4M
----
56.94%-21.06M
----
-292.79%-48.92M
----
Special items
305.57%4.43M
----
70.14%-2.15M
----
-128.08%-7.21M
----
-79.46%25.68M
----
831.97%125.03M
----
Operating profit before the change of operating capital
59.32%904.42M
----
9.77%567.67M
----
-67.66%517.17M
----
3.30%1.6B
----
52.10%1.55B
----
Change of operating capital
Inventory (increase) decrease
64.79%-221.45M
----
-156.98%-628.9M
----
431.64%1.1B
----
-598.71%-332.82M
----
96.23%-47.63M
----
Accounts receivable (increase)decrease
7.92%-714.73M
----
-183.73%-776.17M
----
208.13%927.01M
----
-163.74%-857.29M
----
155.26%1.34B
----
Accounts payable increase (decrease)
25.60%1.04B
----
154.79%825.8M
----
-217.36%-1.51B
----
14.61%1.28B
----
-76.74%1.12B
----
Special items for working capital changes
96.23%-13.83M
----
-1,286.49%-367.18M
----
-60.56%30.95M
----
132.54%78.47M
----
-164.27%-241.14M
----
Cash  from business operations
361.80%991.65M
873.42%698.69M
-135.35%-378.78M
-122.20%-90.34M
-39.53%1.07B
583.11%406.91M
-52.43%1.77B
-111.95%-84.23M
53.10%3.72B
-27.23%705.12M
Other taxs
---26.21M
-1,290.06%-7.43M
----
109.61%624K
86.79%-23.22M
94.81%-6.5M
-45.37%-175.85M
-173.38%-125.07M
-261.99%-120.96M
-220.59%-45.75M
Net cash from operations
354.88%965.44M
870.52%691.27M
-136.13%-378.78M
-122.41%-89.71M
-34.32%1.05B
291.31%400.41M
-55.71%1.6B
-131.74%-209.3M
50.19%3.6B
-30.94%659.37M
Cash flow from investment activities
Interest received - investment
0.77%85.96M
145.12%51.93M
237.16%85.3M
-4.33%21.19M
-9.77%25.3M
46.96%22.14M
85.30%28.04M
135.22%15.07M
5.98%15.13M
54.62%6.41M
Dividend received - investment
--1.61M
--1.61M
----
----
----
----
----
----
----
----
Decrease in deposits (increase)
-364.54%-630.11M
-3,995.96%-1.18B
145.67%238.19M
109.99%30.37M
-239,344.50%-521.55M
-217,300.71%-304.08M
105.82%218K
103.81%140K
-99.68%-3.75M
-4,690.00%-3.67M
Sale of fixed assets
-22.38%7.32M
----
-72.98%9.44M
145.49%24.72M
105.16%34.92M
26.73%10.07M
-4.64%17.02M
-30.20%7.95M
-23.62%17.85M
23.73%11.38M
Purchase of fixed assets
----
----
----
----
----
----
----
24.87%-246.8M
----
-47.33%-328.51M
Recovery of cash from investments
-22.63%1.75B
-27.64%890.2M
88.39%2.26B
1,311.78%1.23B
876.07%1.2B
18.63%87.14M
222.79%122.79M
--73.45M
-1,233.79%-100M
----
Cash on investment
-1.26%-2.25B
10.85%-1.31B
16.96%-2.22B
-60.42%-1.47B
-155.43%-2.68B
-506,130.94%-916.28M
-93.87%-1.05B
96.31%-181K
53.23%-540.84M
74.52%-4.91M
Other items in the investment business
----
---39.71M
----
----
----
----
----
----
45.91%-84.26M
----
Net cash from investment operations
-383.70%-1.04B
-872.42%-1.59B
118.89%366.72M
85.15%-163.47M
-120.46%-1.94B
-632.17%-1.1B
-26.53%-880.47M
52.90%-150.38M
45.27%-695.87M
-37.34%-319.3M
Net cash before financing
-521.42%-74.94M
-254.82%-898.36M
98.65%-12.06M
63.86%-253.19M
-224.73%-892.75M
-94.79%-700.6M
-75.39%715.74M
-205.76%-359.68M
157.79%2.91B
-52.92%340.08M
Cash flow from financing activities
New borrowing
-11.58%4.55B
-8.75%3.5B
56.72%5.14B
77.96%3.84B
39.21%3.28B
88.32%2.16B
-8.78%2.36B
-44.94%1.15B
34.43%2.58B
176.99%2.08B
Refund
-87.79%-6.49B
-99.67%-4.02B
-30.35%-3.45B
-42.94%-2.01B
2.13%-2.65B
-14.06%-1.41B
24.76%-2.71B
37.27%-1.23B
-19.62%-3.6B
-129.65%-1.97B
Issuing shares
----
----
----
----
-83.68%9.63M
-83.68%9.63M
-1.24%59.04M
-1.24%59.04M
-73.07%59.78M
63.06%59.78M
Interest paid - financing
-19.42%-167.28M
-153.00%-104.74M
-207.11%-140.07M
-280.56%-41.4M
-96.18%-45.61M
30.18%-10.88M
57.78%-23.25M
49.76%-15.58M
-1.66%-55.07M
-50.58%-31.01M
Dividends paid - financing
----
----
----
----
----
----
54.64%-48.6M
54.64%-48.6M
---107.15M
---107.15M
Pledged bank deposit (increase) decrease
4,706.31%743.68M
221.78%334.74M
115.59%15.47M
-42.92%-274.88M
81.77%-99.28M
7.76%-192.33M
-220.04%-544.61M
-45.93%-208.52M
-247.96%-170.17M
-59.88%-142.89M
Net cash from financing operations
-188.51%-1.37B
-119.02%-286.42M
231.01%1.55B
178.80%1.51B
149.72%468.48M
270.69%540.05M
28.34%-942.2M
-163.95%-316.4M
-60.99%-1.31B
33.52%-119.87M
Effect of rate
-67.58%1.81M
-88.50%1.72M
-81.47%5.57M
-67.48%14.94M
315.08%30.09M
703.15%45.94M
34.07%-13.99M
-764.59%-7.62M
-7,900.74%-21.22M
-403.79%-881K
Net Cash
-194.07%-1.45B
-194.60%-1.18B
462.65%1.54B
880.09%1.25B
-87.35%-424.27M
76.25%-160.55M
-114.21%-226.46M
-407.02%-676.07M
411.75%1.59B
-59.37%220.21M
Begining period cash
114.48%2.89B
114.48%2.89B
-22.61%1.35B
-22.61%1.35B
-12.12%1.74B
-12.12%1.74B
382.00%1.98B
382.00%1.98B
311.85%411.52M
311.85%411.52M
Cash at the end
-49.97%1.45B
-34.64%1.71B
114.48%2.89B
60.66%2.62B
-22.61%1.35B
25.28%1.63B
-12.12%1.74B
106.05%1.3B
382.00%1.98B
-1.77%630.84M
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
KPMG
--
KPMG
--
KPMG
--
KPMG
--
KPMG
--
(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(Q6)Jun 30, 2020
Cash flow from operating activities
Earning before tax 575.49%460.23M-----36.37%68.13M-----88.81%107.08M-----1.32%957.3M----59.84%970.07M----
Profit adjustment
Interest (income) - adjustment 20.46%-118.51M-----488.91%-148.99M-----40.18%-25.3M-----6.69%-18.05M-----21.60%-16.92M----
Interest expense - adjustment -------------------------43.86%30.05M----1.35%53.52M----
Dividend (income)- adjustment ---1.61M------------------------------------
Attributable subsidiary (profit) loss -26.38%36.5M----35.31%49.58M-----29.10%36.64M----125.78%51.68M----157.23%22.89M----
Impairment and provisions: -32.26%23.8M----167.51%35.13M-----185.32%-52.04M----30.96%61M-----27.70%46.58M----
-Impairment of property, plant and equipment (reversal) -------------------------26.56%20.68M----165.94%28.16M----
-Impairmen of inventory (reversal) -35.22%23.21M----219.20%35.83M-----270.11%-30.06M-----1.69%17.67M-----66.12%17.98M----
-Impairment of trade receivables (reversal) 183.19%584K-----388.89%-702K-----42.42%243K-----4.74%422K-----42.17%443K----
-Other impairments and provisions -----------------200.00%-22.22M------22.22M------------
Revaluation surplus: -269.38%-165.19M----29.51%-44.72M-------63.45M--------------------
-Other fair value changes -269.38%-165.19M----29.51%-44.72M-------63.45M--------------------
Asset sale loss (gain): -35.97%2.38M-----26.79%3.71M-----60.34%5.07M----12.00%12.78M-----34.87%11.41M----
-Loss (gain) on sale of property, machinery and equipment -35.97%2.38M-----26.79%3.71M-----60.34%5.07M----12.00%12.78M-----34.87%11.41M----
Depreciation and amortization: 2.44%454.45M-----4.98%443.64M-----6.61%466.9M----30.02%499.94M----31.99%384.5M----
-Depreciation 2.18%449.21M-----5.11%439.64M-----7.15%463.32M----29.98%498.99M----32.03%383.89M----
-Amortization of intangible assets 30.60%5.23M----11.96%4.01M----277.53%3.58M----54.15%948K----10.22%615K----
Financial expense -11.21%152.12M----186.15%171.33M------59.87M--------------------
Exchange Loss (gain) 798.80%55.82M----23.18%-7.99M----50.63%-10.4M----56.94%-21.06M-----292.79%-48.92M----
Special items 305.57%4.43M----70.14%-2.15M-----128.08%-7.21M-----79.46%25.68M----831.97%125.03M----
Operating profit before the change of operating capital 59.32%904.42M----9.77%567.67M-----67.66%517.17M----3.30%1.6B----52.10%1.55B----
Change of operating capital
Inventory (increase) decrease 64.79%-221.45M-----156.98%-628.9M----431.64%1.1B-----598.71%-332.82M----96.23%-47.63M----
Accounts receivable (increase)decrease 7.92%-714.73M-----183.73%-776.17M----208.13%927.01M-----163.74%-857.29M----155.26%1.34B----
Accounts payable increase (decrease) 25.60%1.04B----154.79%825.8M-----217.36%-1.51B----14.61%1.28B-----76.74%1.12B----
Special items for working capital changes 96.23%-13.83M-----1,286.49%-367.18M-----60.56%30.95M----132.54%78.47M-----164.27%-241.14M----
Cash  from business operations 361.80%991.65M873.42%698.69M-135.35%-378.78M-122.20%-90.34M-39.53%1.07B583.11%406.91M-52.43%1.77B-111.95%-84.23M53.10%3.72B-27.23%705.12M
Other taxs ---26.21M-1,290.06%-7.43M----109.61%624K86.79%-23.22M94.81%-6.5M-45.37%-175.85M-173.38%-125.07M-261.99%-120.96M-220.59%-45.75M
Net cash from operations 354.88%965.44M870.52%691.27M-136.13%-378.78M-122.41%-89.71M-34.32%1.05B291.31%400.41M-55.71%1.6B-131.74%-209.3M50.19%3.6B-30.94%659.37M
Cash flow from investment activities
Interest received - investment 0.77%85.96M145.12%51.93M237.16%85.3M-4.33%21.19M-9.77%25.3M46.96%22.14M85.30%28.04M135.22%15.07M5.98%15.13M54.62%6.41M
Dividend received - investment --1.61M--1.61M--------------------------------
Decrease in deposits (increase) -364.54%-630.11M-3,995.96%-1.18B145.67%238.19M109.99%30.37M-239,344.50%-521.55M-217,300.71%-304.08M105.82%218K103.81%140K-99.68%-3.75M-4,690.00%-3.67M
Sale of fixed assets -22.38%7.32M-----72.98%9.44M145.49%24.72M105.16%34.92M26.73%10.07M-4.64%17.02M-30.20%7.95M-23.62%17.85M23.73%11.38M
Purchase of fixed assets ----------------------------24.87%-246.8M-----47.33%-328.51M
Recovery of cash from investments -22.63%1.75B-27.64%890.2M88.39%2.26B1,311.78%1.23B876.07%1.2B18.63%87.14M222.79%122.79M--73.45M-1,233.79%-100M----
Cash on investment -1.26%-2.25B10.85%-1.31B16.96%-2.22B-60.42%-1.47B-155.43%-2.68B-506,130.94%-916.28M-93.87%-1.05B96.31%-181K53.23%-540.84M74.52%-4.91M
Other items in the investment business -------39.71M------------------------45.91%-84.26M----
Net cash from investment operations -383.70%-1.04B-872.42%-1.59B118.89%366.72M85.15%-163.47M-120.46%-1.94B-632.17%-1.1B-26.53%-880.47M52.90%-150.38M45.27%-695.87M-37.34%-319.3M
Net cash before financing -521.42%-74.94M-254.82%-898.36M98.65%-12.06M63.86%-253.19M-224.73%-892.75M-94.79%-700.6M-75.39%715.74M-205.76%-359.68M157.79%2.91B-52.92%340.08M
Cash flow from financing activities
New borrowing -11.58%4.55B-8.75%3.5B56.72%5.14B77.96%3.84B39.21%3.28B88.32%2.16B-8.78%2.36B-44.94%1.15B34.43%2.58B176.99%2.08B
Refund -87.79%-6.49B-99.67%-4.02B-30.35%-3.45B-42.94%-2.01B2.13%-2.65B-14.06%-1.41B24.76%-2.71B37.27%-1.23B-19.62%-3.6B-129.65%-1.97B
Issuing shares -----------------83.68%9.63M-83.68%9.63M-1.24%59.04M-1.24%59.04M-73.07%59.78M63.06%59.78M
Interest paid - financing -19.42%-167.28M-153.00%-104.74M-207.11%-140.07M-280.56%-41.4M-96.18%-45.61M30.18%-10.88M57.78%-23.25M49.76%-15.58M-1.66%-55.07M-50.58%-31.01M
Dividends paid - financing ------------------------54.64%-48.6M54.64%-48.6M---107.15M---107.15M
Pledged bank deposit (increase) decrease 4,706.31%743.68M221.78%334.74M115.59%15.47M-42.92%-274.88M81.77%-99.28M7.76%-192.33M-220.04%-544.61M-45.93%-208.52M-247.96%-170.17M-59.88%-142.89M
Net cash from financing operations -188.51%-1.37B-119.02%-286.42M231.01%1.55B178.80%1.51B149.72%468.48M270.69%540.05M28.34%-942.2M-163.95%-316.4M-60.99%-1.31B33.52%-119.87M
Effect of rate -67.58%1.81M-88.50%1.72M-81.47%5.57M-67.48%14.94M315.08%30.09M703.15%45.94M34.07%-13.99M-764.59%-7.62M-7,900.74%-21.22M-403.79%-881K
Net Cash -194.07%-1.45B-194.60%-1.18B462.65%1.54B880.09%1.25B-87.35%-424.27M76.25%-160.55M-114.21%-226.46M-407.02%-676.07M411.75%1.59B-59.37%220.21M
Begining period cash 114.48%2.89B114.48%2.89B-22.61%1.35B-22.61%1.35B-12.12%1.74B-12.12%1.74B382.00%1.98B382.00%1.98B311.85%411.52M311.85%411.52M
Cash at the end -49.97%1.45B-34.64%1.71B114.48%2.89B60.66%2.62B-22.61%1.35B25.28%1.63B-12.12%1.74B106.05%1.3B382.00%1.98B-1.77%630.84M
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIASIASIASIAS
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.