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02560 CONCH MAT TECH

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  • 1.880
  • +0.010+0.53%
Not Open Apr 24 16:08 CST
1.09BMarket Cap8.03P/E (TTM)

CONCH MAT 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
(FY)Dec 31, 2021
(FY)Dec 31, 2020
Assets
Current assets
Inventory
-1.34%101.52M
4.40%135.94M
-13.24%102.9M
--130.22M
124.01%118.6M
34.54%52.94M
--39.35M
Accounts receivable
12.40%913.89M
28.31%878.65M
28.48%813.06M
--684.79M
75.93%632.81M
-14.00%359.7M
--418.25M
Cash and equivalents
-20.90%131.39M
-14.89%143.52M
26.07%166.1M
--168.63M
-38.52%131.76M
112.66%214.31M
--100.78M
Secured deposit
----
----
----
----
----
-84.44%129K
--829K
Financial assets at fair value-current assets
--40M
----
----
--10M
----
----
----
Total current assets
9.68%1.19B
16.55%1.16B
22.52%1.08B
--993.63M
40.84%883.17M
12.14%627.08M
--559.21M
Non-current assets
Property, plant and equipment
-0.29%1.01B
-1.99%998.83M
0.94%1.01B
--1.02B
30.73%1B
264.34%767.62M
--210.69M
Intangible assets
-18.25%11.32M
-16.73%12.59M
21.10%13.85M
--15.12M
-15.20%11.44M
-13.19%13.49M
--15.54M
Goodwill
0.00%28.69M
0.00%28.69M
0.00%28.69M
--28.69M
0.00%28.69M
0.00%28.69M
--28.69M
Deferred tax assets
16.47%28.07M
35.66%29.58M
5.13%24.1M
--21.8M
50.96%22.93M
41.71%15.19M
--10.72M
Special items of non-current assets
240.95%8.53M
-71.93%3.71M
-89.59%2.5M
--13.22M
-36.45%24.05M
-4.52%37.85M
--39.64M
Total non-current assets
0.72%1.27B
-1.13%1.26B
0.60%1.26B
--1.27B
21.53%1.26B
133.03%1.03B
--443.45M
Total assets
4.85%2.46B
6.63%2.42B
9.65%2.35B
--2.27B
28.82%2.14B
65.61%1.66B
--1B
Liabilities
Current liabilities
Accounts payable
-6.81%344.28M
-5.01%349.78M
7.63%369.42M
--368.23M
9.60%343.23M
33.38%313.17M
--234.8M
Tax payable
83.62%22.61M
139.71%14.96M
79.36%12.31M
--6.24M
25.69%6.86M
7.82%5.46M
--5.07M
Bank loans and overdrafts
2.65%720.21M
11.77%736.46M
-1.47%701.64M
--658.94M
128.23%712.08M
15.56%312M
--270M
Financial lease liabilities-current liabilities
145.46%4.36M
-11.76%1.7M
1.84%1.78M
--1.93M
4.25%1.74M
157.23%1.67M
--650K
Total current liabilities
0.49%1.1B
6.57%1.12B
2.17%1.1B
--1.05B
69.41%1.08B
23.46%634.75M
--514.12M
Net current assets
601.02%82.86M
162.22%36.57M
91.39%-16.54M
---58.77M
-2,403.11%-192.14M
-117.02%-7.68M
--45.09M
Total assets less current liabilities
8.70%1.36B
6.68%1.29B
17.21%1.25B
--1.21B
3.71%1.06B
109.96%1.03B
--488.54M
Non-current liabilities
Long-term bank loan
-19.20%198.49M
-29.95%222.07M
-37.29%245.64M
--317.02M
-11.20%391.7M
--441.09M
----
Financial lease liabilities-non-current liabilities
139.22%9.61M
118.05%8.73M
95.62%4.02M
--4.01M
-45.90%2.05M
136.28%3.8M
--1.61M
Deferred tax liability
-8.52%11.28M
-10.55%12.06M
-11.29%12.33M
--13.49M
-8.95%13.9M
-0.26%15.27M
--15.31M
Deferred income-non-current liabilities
8.62%39.55M
93.14%42.52M
278.60%36.41M
--22.01M
86.56%9.62M
162.21%5.16M
--1.97M
Total non-current liabilities
-13.23%258.94M
-19.96%285.38M
-28.49%298.41M
--356.52M
-10.32%417.28M
2,364.16%465.31M
--18.88M
Total liabilities
-2.44%1.36B
-0.14%1.41B
-6.40%1.4B
--1.41B
35.68%1.49B
106.39%1.1B
--533M
Total assets less total liabilities
15.60%1.1B
17.76%1.01B
46.71%948.47M
--856.53M
15.36%646.48M
19.32%560.41M
--469.66M
Total equity and non-current liabilities
8.70%1.36B
6.68%1.29B
17.21%1.25B
--1.21B
3.71%1.06B
109.96%1.03B
--488.54M
Equity
Share capital
0.00%434.92M
0.00%434.92M
20.29%434.92M
--434.92M
162.00%361.56M
0.00%138M
--138M
Reserve
29.22%555.71M
37.16%482.69M
87.48%430.04M
--351.92M
-41.68%229.38M
27.82%393.32M
--307.72M
Shareholders' Equity
14.53%990.63M
16.62%917.61M
46.37%864.96M
--786.84M
11.22%590.94M
19.21%531.32M
--445.72M
Non-controlling interest
26.64%105.76M
30.65%91.04M
50.37%83.51M
--69.69M
90.94%55.54M
21.51%29.09M
--23.94M
Total equity
15.60%1.1B
17.76%1.01B
46.71%948.47M
--856.53M
15.36%646.48M
19.32%560.41M
--469.66M
Total equity and total liabilities
4.85%2.46B
6.63%2.42B
9.65%2.35B
--2.27B
28.82%2.14B
65.61%1.66B
--1B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
IAS
IAS
IAS
IAS
IAS
IAS
Audit Opinions
--
--
Unqualified Opinion
--
Unqualified Opinion
Unqualified Opinion
Unqualified Opinion
Auditor
--
--
KPMG
--
KPMG
KPMG
KPMG
(FY)Dec 31, 2024(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020
Assets
Current assets
Inventory -1.34%101.52M4.40%135.94M-13.24%102.9M--130.22M124.01%118.6M34.54%52.94M--39.35M
Accounts receivable 12.40%913.89M28.31%878.65M28.48%813.06M--684.79M75.93%632.81M-14.00%359.7M--418.25M
Cash and equivalents -20.90%131.39M-14.89%143.52M26.07%166.1M--168.63M-38.52%131.76M112.66%214.31M--100.78M
Secured deposit ---------------------84.44%129K--829K
Financial assets at fair value-current assets --40M----------10M------------
Total current assets 9.68%1.19B16.55%1.16B22.52%1.08B--993.63M40.84%883.17M12.14%627.08M--559.21M
Non-current assets
Property, plant and equipment -0.29%1.01B-1.99%998.83M0.94%1.01B--1.02B30.73%1B264.34%767.62M--210.69M
Intangible assets -18.25%11.32M-16.73%12.59M21.10%13.85M--15.12M-15.20%11.44M-13.19%13.49M--15.54M
Goodwill 0.00%28.69M0.00%28.69M0.00%28.69M--28.69M0.00%28.69M0.00%28.69M--28.69M
Deferred tax assets 16.47%28.07M35.66%29.58M5.13%24.1M--21.8M50.96%22.93M41.71%15.19M--10.72M
Special items of non-current assets 240.95%8.53M-71.93%3.71M-89.59%2.5M--13.22M-36.45%24.05M-4.52%37.85M--39.64M
Total non-current assets 0.72%1.27B-1.13%1.26B0.60%1.26B--1.27B21.53%1.26B133.03%1.03B--443.45M
Total assets 4.85%2.46B6.63%2.42B9.65%2.35B--2.27B28.82%2.14B65.61%1.66B--1B
Liabilities
Current liabilities
Accounts payable -6.81%344.28M-5.01%349.78M7.63%369.42M--368.23M9.60%343.23M33.38%313.17M--234.8M
Tax payable 83.62%22.61M139.71%14.96M79.36%12.31M--6.24M25.69%6.86M7.82%5.46M--5.07M
Bank loans and overdrafts 2.65%720.21M11.77%736.46M-1.47%701.64M--658.94M128.23%712.08M15.56%312M--270M
Financial lease liabilities-current liabilities 145.46%4.36M-11.76%1.7M1.84%1.78M--1.93M4.25%1.74M157.23%1.67M--650K
Total current liabilities 0.49%1.1B6.57%1.12B2.17%1.1B--1.05B69.41%1.08B23.46%634.75M--514.12M
Net current assets 601.02%82.86M162.22%36.57M91.39%-16.54M---58.77M-2,403.11%-192.14M-117.02%-7.68M--45.09M
Total assets less current liabilities 8.70%1.36B6.68%1.29B17.21%1.25B--1.21B3.71%1.06B109.96%1.03B--488.54M
Non-current liabilities
Long-term bank loan -19.20%198.49M-29.95%222.07M-37.29%245.64M--317.02M-11.20%391.7M--441.09M----
Financial lease liabilities-non-current liabilities 139.22%9.61M118.05%8.73M95.62%4.02M--4.01M-45.90%2.05M136.28%3.8M--1.61M
Deferred tax liability -8.52%11.28M-10.55%12.06M-11.29%12.33M--13.49M-8.95%13.9M-0.26%15.27M--15.31M
Deferred income-non-current liabilities 8.62%39.55M93.14%42.52M278.60%36.41M--22.01M86.56%9.62M162.21%5.16M--1.97M
Total non-current liabilities -13.23%258.94M-19.96%285.38M-28.49%298.41M--356.52M-10.32%417.28M2,364.16%465.31M--18.88M
Total liabilities -2.44%1.36B-0.14%1.41B-6.40%1.4B--1.41B35.68%1.49B106.39%1.1B--533M
Total assets less total liabilities 15.60%1.1B17.76%1.01B46.71%948.47M--856.53M15.36%646.48M19.32%560.41M--469.66M
Total equity and non-current liabilities 8.70%1.36B6.68%1.29B17.21%1.25B--1.21B3.71%1.06B109.96%1.03B--488.54M
Equity
Share capital 0.00%434.92M0.00%434.92M20.29%434.92M--434.92M162.00%361.56M0.00%138M--138M
Reserve 29.22%555.71M37.16%482.69M87.48%430.04M--351.92M-41.68%229.38M27.82%393.32M--307.72M
Shareholders' Equity 14.53%990.63M16.62%917.61M46.37%864.96M--786.84M11.22%590.94M19.21%531.32M--445.72M
Non-controlling interest 26.64%105.76M30.65%91.04M50.37%83.51M--69.69M90.94%55.54M21.51%29.09M--23.94M
Total equity 15.60%1.1B17.76%1.01B46.71%948.47M--856.53M15.36%646.48M19.32%560.41M--469.66M
Total equity and total liabilities 4.85%2.46B6.63%2.42B9.65%2.35B--2.27B28.82%2.14B65.61%1.66B--1B
Currency Unit CNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASIASIASIASIASIASIAS
Audit Opinions ----Unqualified Opinion--Unqualified OpinionUnqualified OpinionUnqualified Opinion
Auditor ----KPMG--KPMGKPMGKPMG

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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