Company Information
2026/03
CNY(K¥)
%Chg2025/12
CNY(K¥)
2024/12
CNY(K¥)
2023/12
CNY(K¥)
2022/12
CNY(K¥)

Non-current Assets
Long-term Equity Investments279-65.77%81520,96435,26155,948
Investment Properties51,145-1.91%52,14265,00161,76218,424
Fixed Assets32,033-2.64%32,90049,45274,830108,927
Construction in Progress0-100.00%6,1526,15226,8600
Intangible Assets73-99.67%22,39228,25929,8942,709
Goodwill0--097712,74319,639
Other Non-current Assets207,745-1.54%210,984250,172135,010100,724
291,274-10.48%325,385420,975376,361306,371

Current Assets
Cash & Bank Balances129,084-27.69%178,508164,884155,364225,673
Accounts Receivable281,421-4.83%295,701338,277397,472395,185
Inventories34,442-11.06%38,72749,32658,34664,459
Other Current Assets238,80118.31%201,842252,024570,163490,934
683,747-4.34%714,778804,5101,181,3451,176,251

Current Liabilities
Short-term Loans77,935-9.13%85,764142,129168,759313
Notes Payable11,331-48.02%21,7985,1454040
Accounts Payable99,005-15.58%117,272108,880142,50265,235
Other Current Liabilities182,491-10.73%204,415231,854234,950250,910
370,761-13.63%429,249488,008546,615316,459
Net Current Assets312,9869.62%285,528316,502634,730859,793
Total Assets Less Current Liabilities604,260-1.09%610,913737,4781,011,0911,166,164

Non-current Liabilities
Long-term Loans0--0000
Bonds Payable0--0000
Other Non-current Liabilities38,827-5.40%41,04334,40429,26916,111
38,827-5.40%41,04334,40429,26916,111

Total Equity
    Share Capital60,000-0.54%60,32860,50760,00060,000
    Reserves503,108-0.73%506,815634,560913,1631,086,745
Shareholders' Equity563,108-0.71%567,144695,066973,1631,146,745
Non-controlling Interests2,324-14.78%2,7278,0078,6593,307
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 : Eligible Stock for SH-HK Northbound trade (For all investors/ For institutional professional investors only)
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 : Eligible Stock for SH-HK Ex-Northbound trade (sell only)
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N
 : Eligible Stock for SZ-HK Northbound trade (For all investors/ For institutional professional investors only)
N
 : Eligible Stock for SZ-HK Ex-Northbound trade (sell only)
Information provided by: etnet
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