Sample Name
Sample Code
Sample Name
Sample Code
Sample Name
Sample Code
4
Zhejiang Hongchang Electrical Technology
301008
5
Wuhan Lincontrol Automotive Electronics Co., Ltd.
688667
(FY)Dec 31, 2024 | (Q4)Dec 31, 2024 | (Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Current assets | ||||||||||
Cash, cash equivalents and short term investments | -12.35%86.81M | -12.35%86.81M | 6.60%93.12M | -7.53%77.95M | -25.77%95.87M | -22.86%99.04M | -22.86%99.04M | -25.94%87.36M | -17.50%84.3M | 84.71%129.15M |
-Cash and cash equivalents | -12.35%86.81M | -12.35%86.81M | 6.60%93.12M | -7.53%77.95M | -25.77%95.87M | -22.86%99.04M | -22.86%99.04M | -25.94%87.36M | -17.50%84.3M | 84.71%129.15M |
Receivables | -7.35%49.72M | -7.35%49.72M | -11.42%54.76M | 5.67%52.78M | 34.53%53.39M | 20.67%53.67M | 20.67%53.67M | 23.19%61.82M | -6.57%49.95M | -29.80%39.68M |
-Accounts receivable | -11.53%42.37M | -11.53%42.37M | -17.46%44.16M | -3.48%41.33M | 25.59%42M | 30.30%47.89M | 30.30%47.89M | 26.34%53.5M | 4.19%42.82M | -19.16%33.44M |
-Other receivables | 27.26%7.35M | 27.26%7.35M | 27.41%10.61M | 60.65%11.44M | 82.43%11.39M | -25.18%5.78M | -25.18%5.78M | 6.16%8.33M | -42.35%7.12M | -58.83%6.24M |
Inventory | 98.40%32.85M | 98.40%32.85M | 1.50%26.74M | 5.24%28.89M | -17.14%22.15M | -43.11%16.56M | -43.11%16.56M | -14.04%26.35M | -48.03%27.45M | -31.82%26.73M |
Prepaid assets | 34.27%12.87M | 34.27%12.87M | 8.81%10.94M | -19.29%9.18M | 9.37%11.31M | 15.87%9.58M | 15.87%9.58M | -13.97%10.05M | -27.53%11.37M | -16.99%10.34M |
Restricted cash | -12.87%3.27M | -12.87%3.27M | 266.01%4.23M | -63.65%2.02M | -83.17%901.09K | 15.78%3.75M | 15.78%3.75M | -70.09%1.15M | 21,711.12%5.54M | 10.49%5.35M |
Other current assets | -24.11%4.44M | -24.11%4.44M | 37.07%4.82M | 56.53%4.74M | 19.54%5.2M | 41.06%5.85M | 41.06%5.85M | 13.84%3.52M | 40.83%3.03M | 16.38%4.35M |
Total current assets | 0.09%191.99M | 0.09%191.99M | -1.13%196.24M | -2.98%181.35M | -11.01%195.56M | -13.79%191.83M | -13.79%191.83M | -10.87%198.48M | -20.17%186.93M | 6.34%219.76M |
Non current assets | ||||||||||
Net PPE | 45.96%736.6M | 45.96%736.6M | 4.37%543.72M | -4.91%502.48M | -1.15%498.91M | -3.03%504.66M | -3.03%504.66M | 1.80%520.93M | 2.36%528.43M | -2.97%504.73M |
-Gross PPE | 40.02%899.25M | 40.02%899.25M | 4.37%543.72M | -4.91%502.48M | -1.15%498.91M | 0.12%642.21M | 0.12%642.21M | 1.80%520.93M | 2.36%528.43M | -2.97%504.73M |
-Accumulated depreciation | -18.24%-162.65M | -18.24%-162.65M | ---- | ---- | ---- | -13.70%-137.55M | -13.70%-137.55M | ---- | ---- | ---- |
Goodwill and other intangible assets | -15.74%4.11M | -15.74%4.11M | -17.11%4.24M | -16.82%4.45M | --4.67M | --4.88M | --4.88M | --5.12M | --5.36M | ---- |
-Goodwill | 0.00%3.1M | 0.00%3.1M | 0.00%3.1M | 0.00%3.1M | --3.1M | --3.1M | --3.1M | --3.1M | --3.1M | ---- |
-Other intangible assets | -43.24%1.01M | -43.24%1.01M | -43.52%1.14M | -40.03%1.35M | --1.56M | --1.78M | --1.78M | --2.01M | --2.25M | ---- |
Investments and advances | -1.61%3.75M | -1.61%3.75M | 22.41%4.97M | 20.24%4.64M | -27.24%4.17M | -27.84%3.81M | -27.84%3.81M | -9.71%4.06M | -8.17%3.86M | 42.74%5.73M |
Total non current assets | 45.02%744.46M | 45.02%744.46M | 4.30%552.93M | -4.85%511.57M | -0.53%507.75M | -2.35%513.35M | -2.35%513.35M | 2.69%530.11M | 3.30%537.64M | -2.62%510.47M |
Total assets | 32.80%936.46M | 32.80%936.46M | 2.82%749.17M | -4.37%692.92M | -3.69%703.31M | -5.76%705.18M | -5.76%705.18M | -1.40%728.59M | -3.98%724.57M | -0.09%730.23M |
Liabilities | ||||||||||
Current liabilities | ||||||||||
Payables | 215.21%48.97M | 215.21%48.97M | 5.23%24.08M | -25.01%19.95M | -21.87%16.83M | -22.10%15.54M | -22.10%15.54M | 72.65%22.88M | -15.01%26.61M | -20.62%21.55M |
-accounts payable | 660.83%47.76M | 660.83%47.76M | 28.32%11.96M | -17.36%12.02M | 12.37%11.03M | -37.09%6.28M | -37.09%6.28M | -28.60%9.32M | -43.95%14.55M | -55.10%9.81M |
-Dividends payable | 5.64%1.21M | 5.64%1.21M | 30.88%1.28M | 38.09%1.12M | 51.15%966.79K | 83.07%1.15M | 83.07%1.15M | 394.38%977.59K | 309.05%808.86K | 223.47%639.63K |
-Other payable | ---- | ---- | -13.86%10.84M | -39.42%6.82M | -56.38%4.84M | -13.12%8.11M | -13.12%8.11M | --12.58M | 118.22%11.25M | 117.79%11.09M |
Current accrued expenses | ---- | ---- | 22.02%24.98M | -2.33%20.42M | -11.55%17.09M | 11.48%21.45M | 11.48%21.45M | -34.88%20.47M | -38.86%20.91M | -34.69%19.32M |
Current debt and capital lease obligation | -15.24%44.69M | -15.24%44.69M | -47.06%30.78M | -31.12%33.53M | 73.06%51.64M | 64.00%52.72M | 64.00%52.72M | 99.25%58.14M | 67.61%48.68M | -5.62%29.84M |
-Current debt | -46.10%16.58M | -46.10%16.58M | -47.51%16.54M | -62.65%12.05M | 124.31%30M | 94.85%30.75M | 94.85%30.75M | 143.92%31.51M | 150.24%32.26M | -14.05%13.37M |
-Current capital lease obligation | 27.95%28.11M | 27.95%28.11M | -46.53%14.24M | 30.79%21.48M | 31.44%21.64M | 34.25%21.97M | 34.25%21.97M | 63.77%26.63M | 1.67%16.42M | 2.55%16.47M |
Current deferred liabilities | -1.17%15.45M | -1.17%15.45M | 16.55%16.08M | -30.59%10.06M | -16.11%13.77M | -25.16%15.63M | -25.16%15.63M | -19.94%13.8M | -40.44%14.5M | -36.60%16.42M |
Current liabilities | 3.58%109.11M | 3.58%109.11M | -16.80%95.91M | -24.15%83.97M | 14.02%99.34M | 14.23%105.33M | 14.23%105.33M | 26.55%115.29M | -6.89%110.7M | -23.73%87.12M |
Non current liabilities | ||||||||||
Long term debt and capital lease obligation | 66.59%352.68M | 66.59%352.68M | 18.67%258.02M | -7.93%215.51M | -20.83%205.91M | -20.81%211.71M | -20.81%211.71M | -19.15%217.43M | -15.20%234.07M | -8.12%260.08M |
-Long term debt | 64.68%112.72M | 64.68%112.72M | 64.92%117.01M | 6.85%78.47M | -31.01%65.93M | -30.74%68.45M | -30.74%68.45M | -26.43%70.95M | -26.26%73.44M | -6.97%95.56M |
-Long term capital lease obligation | 67.49%239.96M | 67.49%239.96M | -3.73%141.01M | -14.69%137.04M | -14.92%139.98M | -14.98%143.27M | -14.98%143.27M | -15.09%146.47M | -8.96%160.63M | -8.78%164.52M |
Other non current liabilities | ---- | ---- | -11.27%16.42M | -8.79%16.63M | -5.44%18.75M | -10.20%17.94M | -10.20%17.94M | -13.01%18.5M | -3.26%18.23M | 15.64%19.83M |
Total non current liabilities | 53.58%352.68M | 53.58%352.68M | 16.32%274.44M | -7.99%232.14M | -19.74%224.66M | -20.07%229.65M | -20.07%229.65M | -18.70%235.93M | -14.44%252.3M | -6.77%279.91M |
Total liabilities | 37.86%461.79M | 37.86%461.79M | 5.45%370.35M | -12.92%316.11M | -11.73%324M | -11.73%334.98M | -11.73%334.98M | -7.89%351.22M | -12.27%363M | -11.44%367.04M |
Shareholders'equity | ||||||||||
Share capital | 39.80%6.5K | 39.80%6.5K | 0.95%4.69K | 0.95%4.69K | 0.80%4.69K | 1.26%4.65K | 1.26%4.65K | 1.22%4.65K | 1.07%4.65K | 1.07%4.65K |
-common stock | 39.80%6.5K | 39.80%6.5K | 0.95%4.69K | 0.95%4.69K | 0.80%4.69K | 1.26%4.65K | 1.26%4.65K | 1.22%4.65K | 1.07%4.65K | 1.07%4.65K |
-Preferred stock | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 | --0 |
Retained earnings | 6.37%169.16M | 6.37%169.16M | 1.77%165.42M | 11.24%165M | 10.57%166.01M | 5.09%159.03M | 5.09%159.03M | 15.52%162.54M | 18.43%148.33M | 44.99%150.14M |
Paid-in capital | 56.90%258.66M | 56.90%258.66M | 1.83%167.17M | 1.61%166.52M | 1.45%165.99M | 1.20%164.85M | 1.20%164.85M | 0.89%164.16M | 0.93%163.89M | 0.96%163.62M |
Total stockholders'equity | 32.09%427.82M | 32.09%427.82M | 1.80%332.59M | 6.18%331.53M | 5.81%332M | 3.07%323.89M | 3.07%323.89M | 7.68%326.71M | 8.55%312.23M | 18.12%313.77M |
Noncontrolling interests | 1.15%46.84M | 1.15%46.84M | -8.77%46.22M | -8.24%45.28M | -4.29%47.3M | -15.02%46.31M | -15.02%46.31M | -6.49%50.67M | -7.27%49.35M | -2.63%49.42M |
Total equity | 28.22%474.66M | 28.22%474.66M | 0.38%378.81M | 4.21%376.81M | 4.44%379.31M | 0.40%370.2M | 0.40%370.2M | 5.53%377.38M | 6.08%361.57M | 14.79%363.19M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- |