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06881 CGS

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  • 7.100
  • -0.140-1.93%
Market Closed Apr 28 16:09 CST
77.63BMarket Cap7.16P/E (TTM)

CGS Key Stats

All
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q9)Sep 30, 2024
(Q6)Jun 30, 2024
(Q3)Mar 31, 2024
(FY)Dec 31, 2023
(Q9)Sep 30, 2023
(Q6)Jun 30, 2023
(Q3)Mar 31, 2023
(FY)Dec 31, 2022
(Q9)Sep 30, 2022
Cash flow from operating activities
Earning before tax
29.32%10.52B
----
-11.91%4.54B
----
2.04%8.13B
----
-8.90%5.16B
----
-37.68%7.97B
----
Profit adjustment
Interest (income) - adjustment
19.00%-3.13B
----
17.17%-1.69B
----
1.16%-3.87B
----
---2.04B
----
-31.96%-3.91B
----
Interest expense - adjustment
-0.76%10.21B
----
3.69%5.28B
----
12.70%10.29B
----
--5.09B
----
12.11%9.13B
----
Dividend (income)- adjustment
-8.41%-2.16B
----
1.94%-828.07M
----
3.32%-1.99B
----
---844.45M
----
-27.85%-2.06B
----
Attributable subsidiary (profit) loss
62.35%3.76M
----
38.56%10.04M
----
365.60%2.32M
----
--7.25M
----
98.13%-872K
----
Impairment and provisions:
-107.83%-1.58M
----
87.99%51.96M
----
266.84%20.12M
----
--27.64M
----
---12.06M
----
-Other impairments and provisions
-107.83%-1.58M
----
87.99%51.96M
----
266.84%20.12M
----
--27.64M
----
---12.06M
----
Revaluation surplus:
92.02%-360.86M
----
-103.93%-4.73B
----
-383.40%-4.52B
----
---2.32B
----
245.14%1.59B
----
-Derivative financial instruments fair value (increase)
166.04%2.45B
----
-447.79%-4.53B
----
-119.49%-3.71B
----
---827.25M
----
-373.60%-1.69B
----
-Other fair value changes
-245.12%-2.81B
----
86.52%-201.35M
----
-124.78%-813.74M
----
---1.49B
----
291.34%3.28B
----
Asset sale loss (gain):
-61.23%-1.95B
----
-181.01%-1.4B
----
-90.31%-1.21B
----
---498.59M
----
-83.00%-635.89M
----
-Loss (gain) on sale of property, machinery and equipment
73.85%-3.81M
----
98.80%-160K
----
-558.13%-14.56M
----
---13.28M
----
291.97%3.18M
----
-Loss (gain) from selling other assets
-62.88%-1.95B
----
-188.67%-1.4B
----
-87.09%-1.2B
----
---485.31M
----
-84.80%-639.07M
----
Depreciation and amortization:
5.73%1.16B
----
8.39%576.02M
----
13.25%1.1B
----
--531.43M
----
17.50%970.42M
----
-Depreciation
5.73%1.16B
----
8.39%576.02M
----
13.25%1.1B
----
--531.43M
----
17.50%970.42M
----
Exchange Loss (gain)
1,766.62%62.91M
----
3,686.03%37.14M
----
-75.51%3.37M
----
--981K
----
151.07%13.76M
----
Special items
1,215.82%440.81M
----
-128.33%-180.79M
----
-78.09%33.5M
----
---79.18M
----
454.38%152.9M
----
Operating profit before the change of operating capital
85.14%14.79B
----
-66.86%1.67B
----
-39.51%7.99B
----
-11.00%5.04B
----
-15.43%13.21B
----
Change of operating capital
Accounts receivable (increase)decrease
264.92%3.64B
----
-33.44%-3.31B
----
-121.03%-2.21B
----
-75.87%-2.48B
----
-357.50%-999.79M
----
Accounts payable increase (decrease)
371.33%30.5B
----
2,554.63%62.43B
----
-39.75%6.47B
----
-80.29%2.35B
----
-71.44%10.74B
----
Financial assets at fair value (increase)decrease
68.47%-10.25B
----
26.87%-35.81B
----
22.70%-32.53B
----
-850.67%-48.97B
----
-3.13%-42.08B
----
Financial liabilities at fair value (increase)decrease
-83.60%1.18B
----
19.04%22.56B
----
-60.69%7.18B
----
61.89%18.95B
----
213.99%18.27B
----
Buy and sell back financial assets (increase) decrease
9.73%-2.16B
----
-181.07%-750.81M
----
-224.86%-2.39B
----
-59.13%926.12M
----
-80.96%1.91B
----
Special items for working capital changes
-359.56%-38.44B
----
-183.85%-32.71B
----
-124.78%-8.36B
----
46.45%39.02B
----
3,563.14%33.76B
----
Cash  from business operations
96.92%-734.19M
----
-5.17%14.06B
----
-168.49%-23.85B
----
-71.29%14.83B
----
25.62%34.82B
----
Other taxs
-137.53%-519.84M
----
-376.56%-400.07M
----
78.75%-218.85M
----
86.85%-83.95M
----
54.18%-1.03B
----
Interest paid - operating
14.93%-5.21B
----
10.16%-2.67B
----
-23.57%-6.13B
----
-27.76%-2.97B
----
-14.48%-4.96B
----
Adjustment items of business operations
----
306.11%58.06B
----
1,423.64%82.34B
----
-217.91%-28.17B
----
-69.00%5.4B
----
-47.07%23.89B
Net cash from operations
78.58%-6.47B
306.11%58.06B
-6.63%10.99B
1,423.64%82.34B
-204.74%-30.19B
-217.91%-28.17B
-75.82%11.77B
-69.00%5.4B
36.38%28.83B
-47.07%23.89B
Cash flow from investment activities
Dividend received - investment
-15.69%5.29B
-12.55%4.95B
-45.49%2.48B
-66.20%530.35M
9.82%6.27B
23.76%5.66B
108.31%4.54B
41.35%1.57B
23.10%5.71B
33.65%4.58B
Decrease in deposits (increase)
108.08%30.08M
----
-170.85%-124.19M
----
-568.34%-372.09M
----
-59.27%175.29M
----
191.39%79.45M
----
Sale of fixed assets
-42.30%13.44M
-80.70%8.53M
-78.78%2.99M
--2.96M
791.42%23.3M
4,919.21%44.21M
3,843.14%14.08M
----
-338.67%-3.37M
-36.51%880.8K
Purchase of fixed assets
-10.86%-770.64M
19.84%-322.17M
38.77%-188.19M
10.67%-109.13M
39.75%-695.16M
9.21%-401.9M
-26.89%-307.36M
6.63%-122.17M
-92.60%-1.15B
-11.37%-442.68M
Recovery of cash from investments
-83.41%39.92B
----
35.31%146.29B
----
-8.17%240.66B
----
233.08%108.11B
----
138.54%262.06B
----
Cash on investment
79.08%-48.54B
82.98%-27.5M
-26.17%-151.3B
78.32%-25.5M
20.40%-232.04B
-473.65%-161.54M
-52.92%-119.92B
-1,709.89%-117.64M
-113.03%-291.51B
90.84%-28.16M
Other items in the investment business
----
-243.27%-7.94B
----
-128.14%-35.69B
---1.22B
94.97%-2.31B
----
35.83%-15.64B
----
-42.16%-45.99B
Net cash from investment operations
-132.12%-4.05B
-217.54%-3.33B
61.38%-2.85B
-146.55%-35.29B
150.88%12.62B
106.76%2.83B
83.08%-7.38B
38.85%-14.31B
-4.68%-24.81B
-41.36%-41.89B
Net cash before financing
40.11%-10.52B
316.00%54.73B
85.32%8.14B
628.25%47.06B
-537.65%-17.57B
-40.78%-25.34B
-13.62%4.39B
-49.17%-8.91B
256.46%4.01B
-216.10%-18B
Cash flow from financing activities
New borrowing
109.31%3.45B
16.50%2.14B
----
-60.17%129.61M
263.34%1.65B
78.84%1.83B
23.10%569.51M
2,065.54%325.39M
227.61%453.59M
1,050.84%1.02B
Refund
72.86%-51.44M
2.74%-55.38B
-2,072.84%-850.58M
12.13%-17.37B
-170.41%-189.55M
21.00%-56.95B
-9.40%-39.15M
33.60%-19.77B
59.06%-70.1M
7.57%-72.08B
Issuance of bonds
-12.24%90.27B
-36.59%40.6B
-24.63%29.35B
-15.89%14B
-2.37%102.86B
-27.15%64.03B
-29.35%38.94B
-51.12%16.65B
-22.30%105.35B
27.82%87.89B
Interest paid - financing
-4.77%-4.34B
----
-22.47%-1.73B
----
-4.16%-4.14B
----
20.03%-1.41B
----
12.46%-3.98B
----
Dividends paid - financing
-39.28%-4.28B
-16.06%-7.3B
-57.43%-785.75M
8.96%-1.32B
18.58%-3.07B
7.36%-6.29B
-12.75%-499.12M
12.60%-1.45B
-52.64%-3.77B
-34.91%-6.79B
Issuance expenses and redemption of securities expenses
4.18%-76.13B
----
3.04%-34.08B
----
16.40%-79.45B
----
33.80%-35.15B
----
23.74%-95.04B
----
Other items of the financing business
----
10.31%-483.86M
----
27.81%-356.06M
----
26.37%-539.5M
----
-24.45%-493.2M
----
-20.65%-732.77M
Net cash from financing operations
-51.14%8.32B
-1,078.44%-20.43B
-500.67%-8.42B
-3.68%-4.92B
592.85%17.03B
-77.57%2.09B
32,413.12%2.1B
-312.56%-4.75B
-14.48%2.46B
292.04%9.31B
Effect of rate
44.82%136.85M
-88.70%16.94M
-88.84%17.75M
78.32%-21.02M
-85.79%94.49M
-80.10%149.95M
159.38%159.03M
-101.20%-96.96M
979.77%665.02M
989.17%753.65M
Net Cash
-308.67%-2.2B
247.52%34.3B
-104.33%-280.99M
408.59%42.14B
-108.32%-538.62M
-167.60%-23.25B
27.54%6.49B
-265.19%-13.65B
1,998.41%6.47B
-181.54%-8.69B
Begining period cash
-1.66%26.33B
-8.24%123.59B
-1.66%26.33B
-8.24%123.59B
36.34%26.78B
9.93%134.69B
36.34%26.78B
9.93%134.69B
1.20%19.64B
30.16%122.52B
Cash at the end
-7.84%24.27B
41.51%157.9B
-22.02%26.07B
37.02%165.7B
-1.66%26.33B
-2.61%111.59B
34.84%33.43B
1.86%120.93B
36.34%26.78B
9.44%114.58B
Cash balance analysis
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
IAS
CAS (2007)
(FY)Dec 31, 2024(Q9)Sep 30, 2024(Q6)Jun 30, 2024(Q3)Mar 31, 2024(FY)Dec 31, 2023(Q9)Sep 30, 2023(Q6)Jun 30, 2023(Q3)Mar 31, 2023(FY)Dec 31, 2022(Q9)Sep 30, 2022
Cash flow from operating activities
Earning before tax 29.32%10.52B-----11.91%4.54B----2.04%8.13B-----8.90%5.16B-----37.68%7.97B----
Profit adjustment
Interest (income) - adjustment 19.00%-3.13B----17.17%-1.69B----1.16%-3.87B-------2.04B-----31.96%-3.91B----
Interest expense - adjustment -0.76%10.21B----3.69%5.28B----12.70%10.29B------5.09B----12.11%9.13B----
Dividend (income)- adjustment -8.41%-2.16B----1.94%-828.07M----3.32%-1.99B-------844.45M-----27.85%-2.06B----
Attributable subsidiary (profit) loss 62.35%3.76M----38.56%10.04M----365.60%2.32M------7.25M----98.13%-872K----
Impairment and provisions: -107.83%-1.58M----87.99%51.96M----266.84%20.12M------27.64M-------12.06M----
-Other impairments and provisions -107.83%-1.58M----87.99%51.96M----266.84%20.12M------27.64M-------12.06M----
Revaluation surplus: 92.02%-360.86M-----103.93%-4.73B-----383.40%-4.52B-------2.32B----245.14%1.59B----
-Derivative financial instruments fair value (increase) 166.04%2.45B-----447.79%-4.53B-----119.49%-3.71B-------827.25M-----373.60%-1.69B----
-Other fair value changes -245.12%-2.81B----86.52%-201.35M-----124.78%-813.74M-------1.49B----291.34%3.28B----
Asset sale loss (gain): -61.23%-1.95B-----181.01%-1.4B-----90.31%-1.21B-------498.59M-----83.00%-635.89M----
-Loss (gain) on sale of property, machinery and equipment 73.85%-3.81M----98.80%-160K-----558.13%-14.56M-------13.28M----291.97%3.18M----
-Loss (gain) from selling other assets -62.88%-1.95B-----188.67%-1.4B-----87.09%-1.2B-------485.31M-----84.80%-639.07M----
Depreciation and amortization: 5.73%1.16B----8.39%576.02M----13.25%1.1B------531.43M----17.50%970.42M----
-Depreciation 5.73%1.16B----8.39%576.02M----13.25%1.1B------531.43M----17.50%970.42M----
Exchange Loss (gain) 1,766.62%62.91M----3,686.03%37.14M-----75.51%3.37M------981K----151.07%13.76M----
Special items 1,215.82%440.81M-----128.33%-180.79M-----78.09%33.5M-------79.18M----454.38%152.9M----
Operating profit before the change of operating capital 85.14%14.79B-----66.86%1.67B-----39.51%7.99B-----11.00%5.04B-----15.43%13.21B----
Change of operating capital
Accounts receivable (increase)decrease 264.92%3.64B-----33.44%-3.31B-----121.03%-2.21B-----75.87%-2.48B-----357.50%-999.79M----
Accounts payable increase (decrease) 371.33%30.5B----2,554.63%62.43B-----39.75%6.47B-----80.29%2.35B-----71.44%10.74B----
Financial assets at fair value (increase)decrease 68.47%-10.25B----26.87%-35.81B----22.70%-32.53B-----850.67%-48.97B-----3.13%-42.08B----
Financial liabilities at fair value (increase)decrease -83.60%1.18B----19.04%22.56B-----60.69%7.18B----61.89%18.95B----213.99%18.27B----
Buy and sell back financial assets (increase) decrease 9.73%-2.16B-----181.07%-750.81M-----224.86%-2.39B-----59.13%926.12M-----80.96%1.91B----
Special items for working capital changes -359.56%-38.44B-----183.85%-32.71B-----124.78%-8.36B----46.45%39.02B----3,563.14%33.76B----
Cash  from business operations 96.92%-734.19M-----5.17%14.06B-----168.49%-23.85B-----71.29%14.83B----25.62%34.82B----
Other taxs -137.53%-519.84M-----376.56%-400.07M----78.75%-218.85M----86.85%-83.95M----54.18%-1.03B----
Interest paid - operating 14.93%-5.21B----10.16%-2.67B-----23.57%-6.13B-----27.76%-2.97B-----14.48%-4.96B----
Adjustment items of business operations ----306.11%58.06B----1,423.64%82.34B-----217.91%-28.17B-----69.00%5.4B-----47.07%23.89B
Net cash from operations 78.58%-6.47B306.11%58.06B-6.63%10.99B1,423.64%82.34B-204.74%-30.19B-217.91%-28.17B-75.82%11.77B-69.00%5.4B36.38%28.83B-47.07%23.89B
Cash flow from investment activities
Dividend received - investment -15.69%5.29B-12.55%4.95B-45.49%2.48B-66.20%530.35M9.82%6.27B23.76%5.66B108.31%4.54B41.35%1.57B23.10%5.71B33.65%4.58B
Decrease in deposits (increase) 108.08%30.08M-----170.85%-124.19M-----568.34%-372.09M-----59.27%175.29M----191.39%79.45M----
Sale of fixed assets -42.30%13.44M-80.70%8.53M-78.78%2.99M--2.96M791.42%23.3M4,919.21%44.21M3,843.14%14.08M-----338.67%-3.37M-36.51%880.8K
Purchase of fixed assets -10.86%-770.64M19.84%-322.17M38.77%-188.19M10.67%-109.13M39.75%-695.16M9.21%-401.9M-26.89%-307.36M6.63%-122.17M-92.60%-1.15B-11.37%-442.68M
Recovery of cash from investments -83.41%39.92B----35.31%146.29B-----8.17%240.66B----233.08%108.11B----138.54%262.06B----
Cash on investment 79.08%-48.54B82.98%-27.5M-26.17%-151.3B78.32%-25.5M20.40%-232.04B-473.65%-161.54M-52.92%-119.92B-1,709.89%-117.64M-113.03%-291.51B90.84%-28.16M
Other items in the investment business -----243.27%-7.94B-----128.14%-35.69B---1.22B94.97%-2.31B----35.83%-15.64B-----42.16%-45.99B
Net cash from investment operations -132.12%-4.05B-217.54%-3.33B61.38%-2.85B-146.55%-35.29B150.88%12.62B106.76%2.83B83.08%-7.38B38.85%-14.31B-4.68%-24.81B-41.36%-41.89B
Net cash before financing 40.11%-10.52B316.00%54.73B85.32%8.14B628.25%47.06B-537.65%-17.57B-40.78%-25.34B-13.62%4.39B-49.17%-8.91B256.46%4.01B-216.10%-18B
Cash flow from financing activities
New borrowing 109.31%3.45B16.50%2.14B-----60.17%129.61M263.34%1.65B78.84%1.83B23.10%569.51M2,065.54%325.39M227.61%453.59M1,050.84%1.02B
Refund 72.86%-51.44M2.74%-55.38B-2,072.84%-850.58M12.13%-17.37B-170.41%-189.55M21.00%-56.95B-9.40%-39.15M33.60%-19.77B59.06%-70.1M7.57%-72.08B
Issuance of bonds -12.24%90.27B-36.59%40.6B-24.63%29.35B-15.89%14B-2.37%102.86B-27.15%64.03B-29.35%38.94B-51.12%16.65B-22.30%105.35B27.82%87.89B
Interest paid - financing -4.77%-4.34B-----22.47%-1.73B-----4.16%-4.14B----20.03%-1.41B----12.46%-3.98B----
Dividends paid - financing -39.28%-4.28B-16.06%-7.3B-57.43%-785.75M8.96%-1.32B18.58%-3.07B7.36%-6.29B-12.75%-499.12M12.60%-1.45B-52.64%-3.77B-34.91%-6.79B
Issuance expenses and redemption of securities expenses 4.18%-76.13B----3.04%-34.08B----16.40%-79.45B----33.80%-35.15B----23.74%-95.04B----
Other items of the financing business ----10.31%-483.86M----27.81%-356.06M----26.37%-539.5M-----24.45%-493.2M-----20.65%-732.77M
Net cash from financing operations -51.14%8.32B-1,078.44%-20.43B-500.67%-8.42B-3.68%-4.92B592.85%17.03B-77.57%2.09B32,413.12%2.1B-312.56%-4.75B-14.48%2.46B292.04%9.31B
Effect of rate 44.82%136.85M-88.70%16.94M-88.84%17.75M78.32%-21.02M-85.79%94.49M-80.10%149.95M159.38%159.03M-101.20%-96.96M979.77%665.02M989.17%753.65M
Net Cash -308.67%-2.2B247.52%34.3B-104.33%-280.99M408.59%42.14B-108.32%-538.62M-167.60%-23.25B27.54%6.49B-265.19%-13.65B1,998.41%6.47B-181.54%-8.69B
Begining period cash -1.66%26.33B-8.24%123.59B-1.66%26.33B-8.24%123.59B36.34%26.78B9.93%134.69B36.34%26.78B9.93%134.69B1.20%19.64B30.16%122.52B
Cash at the end -7.84%24.27B41.51%157.9B-22.02%26.07B37.02%165.7B-1.66%26.33B-2.61%111.59B34.84%33.43B1.86%120.93B36.34%26.78B9.44%114.58B
Cash balance analysis
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards IASCAS (2007)IASCAS (2007)IASCAS (2007)IASCAS (2007)IASCAS (2007)

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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Warren Buffett Portfolio Warren Buffett Portfolio

Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry. Buffett's holdings are the latest portfolio from Berkshire Hathaway. Regarded as a top investor, his trades often signal the market and influence the industry.

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2025 Buffett shareholders' meeting: What's the new buzz in value investing?
🎙️Discussion 1. In the face of market changes, do you prefer to stick with growth stocks or switch to value stocks? 2. Based on the current Show More