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Q2 2024 | Q3 2024 | Q4 2024 | Q1 2025 | Q2 2025 |
 | ASSETS |
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 | A. CURRENT ASSETS AND SHORT-TERM INVESTMENTS |
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1,045,212 | 1,001,563 | 926,434 | 921,385 | 920,587 |
 | I. Cash and cash equivalents |
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1,198 | 1,142 | 1,159 | 1,296 | 2,378 |
 | 1. Cash |
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1,198 | 1,142 | 1,159 | 1,296 | 2,378 |
 | 2. Cash equivalents |
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 | II. Short-term financial investments |
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 | 1. Trading securities |
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 | 2. Provision for diminution in value of trading securities |
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 | 3. Investments holding until maturity |
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 | III. Short-term receivables |
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850,896 | 806,437 | 731,155 | 725,926 | 723,977 |
 | 1. Short-term receivables of customers |
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391,111 | 412,627 | 341,059 | 344,627 | 340,108 |
 | 2. Prepayments to suppliers |
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267,697 | 227,757 | 227,652 | 228,437 | 228,696 |
 | 3. Short-term intercompany receivables |
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 | 4. Receivables according to the progress of construction contracts |
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 | 5. Receivables on short-term loans |
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17,000 | 17,000 | 17,000 | 17,000 | 17,000 |
 | 6. Other short-term receivables |
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204,815 | 178,368 | 174,759 | 165,184 | 167,495 |
 | 7. Provision for doubtful short-term receivables |
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-29,727 | -29,315 | -29,315 | -29,322 | -29,322 |
 | IV. Inventories |
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168,898 | 168,898 | 168,898 | 168,898 | 168,898 |
 | 1. Inventories |
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168,898 | 168,898 | 168,898 | 168,898 | 168,898 |
 | 2. Provision for decline in value of inventories |
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 | V. Other current assets |
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24,220 | 25,086 | 25,222 | 25,265 | 25,334 |
 | 1. Short-term prepaid expenses |
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3,979 | 4,671 | 4,667 | 4,617 | 4,558 |
 | 2. Deductible VAT |
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20,138 | 20,003 | 20,143 | 20,264 | 20,392 |
 | 3. Taxes and the State Receivables |
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103 | 384 | 384 | 384 | 384 |
 | 4. Repurchasing and reselling transactions in government bonds |
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 | 5. Other current assets |
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| 28 | 28 | | |
 | B. FIXED ASSETS AND LONG-TERM INVESTMENTS |
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167,513 | 161,323 | 156,730 | 156,608 | 155,798 |
 | I. Long-term receivables |
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9 | 9 | 9 | 9 | 9 |
 | 1. Long-term customer's receivables |
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 | 2. Business capital in the subsidiary units |
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 | 3. Internal long-term receivables |
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 | 4. Receivables on long-term loans |
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 | 5. Other long-term receivables |
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9 | 9 | 9 | 9 | 9 |
 | 6. Provision for doubtful long-term receivables |
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 | II. Fixed assets |
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81,589 | 77,987 | 73,393 | 73,272 | 72,567 |
 | 1. Tangible fixed assets |
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81,589 | 77,987 | 73,393 | 73,272 | 72,567 |
 | - Cost |
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274,582 | 274,582 | 274,582 | 274,582 | 274,582 |
 | - Accumulated depreciation |
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-192,993 | -196,595 | -201,188 | -201,310 | -202,015 |
 | 2. Fixed assets of financial leasing |
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 | - Cost |
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 | - Accumulated depreciation |
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 | 3. Intangible fixed assets |
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 | - Cost |
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 | - Accumulated depreciation |
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 | III. Real Estate Investments |
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 | - Cost |
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 | - Accumulated depreciation |
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 | IV. Long-term assets in progress |
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3,056 | 2,932 | 2,932 | 2,932 | 2,932 |
 | 1. Costs of long-term production, business in progress |
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 | 2. Costs of construction in progress |
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3,056 | 2,932 | 2,932 | 2,932 | 2,932 |
 | IV. Long-term financial investments |
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68,146 | 68,156 | 68,156 | 68,156 | 68,156 |
 | 1. Investment in subsidiaries |
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 | 2. Investments in associated companies, joint ventures |
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36,423 | 36,433 | 36,433 | 36,433 | 36,433 |
 | 3. Other investments in equity instruments |
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31,723 | 31,723 | 31,723 | 31,723 | 31,723 |
 | 4. Provision for diminution in value of financial long-term investments |
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 | 5. Investments holding until maturity |
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 | V. Total other long-term assets |
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14,713 | 12,239 | 12,239 | 12,239 | 12,134 |
 | 1. Long-term prepaid expenses |
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13,038 | 12,239 | 12,239 | 12,239 | 12,134 |
 | 2. Deferred income tax assets |
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1,674 | | | | |
 | 3. Other long-term assets |
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 | VI. Goodwills |
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 | TOTAL ASSETS |
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1,212,724 | 1,162,886 | 1,083,164 | 1,077,993 | 1,076,384 |
 | CAPITAL RESOURCES |
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 | A. LIABILITIES |
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1,301,138 | 1,256,544 | 1,148,759 | 1,142,153 | 1,138,845 |
 | I. Current liabilities |
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1,301,138 | 1,256,102 | 1,148,308 | 1,141,693 | 1,138,381 |
 | 1. Borrowings and short-term financial leased liabilities |
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731,930 | 728,280 | 612,011 | 609,928 | 608,378 |
 | 2. Long-term borrowings are due to pay |
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 | 3. Short-term payables to sellers |
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105,313 | 105,172 | 98,285 | 97,460 | 96,241 |
 | 4. Advances from customers |
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45,983 | 45,983 | 45,983 | 45,632 | 45,569 |
 | 5. Taxes and other payables to the State Budget |
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7,120 | 7,128 | 7,210 | 4,186 | 4,302 |
 | 6. Payables to employees |
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938 | 930 | 1,408 | 632 | 556 |
 | 7. Short-term accrued expenses |
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339,748 | 355,828 | 371,152 | 371,993 | 371,993 |
 | 8. Short-term intercompany payables |
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 | 9. Payables to the scheduled progress of construction contracts |
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 | 10. Short-term unrealized Revenue |
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 | 11. Other short-term payables |
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70,084 | 12,728 | 12,207 | 11,809 | 11,290 |
 | 12. Provision for short term payables |
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 | 13. Bonus and welfare fund |
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22 | 53 | 53 | 53 | 53 |
 | 14. Price stabilization fund |
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 | 15. Repurchasing and reselling transactions in government bonds |
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 | II. Long-term liabilities |
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| 442 | 451 | 460 | 464 |
 | 1. Long-term payables to sellers |
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 | 2. Long-term accrued expenses |
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 | 3. Intercompany payables on business capital |
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 | 4. Long-term intra-company payables |
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 | 5. Other long-term payables |
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| 442 | 451 | 460 | 464 |
 | 6. Borrowings and long-term financial leased liabilities |
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 | 7. Convertible bonds |
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 | 8. Deferred income tax payables |
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 | 9. Provision for job loss allowance |
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 | 10. Provision for long-term payables |
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 | 11. Long-term unrealized revenue |
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 | 12. Development fund of science and technology |
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 | B. OWNER'S EQUITY |
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-88,414 | -93,658 | -65,595 | -64,160 | -62,461 |
 | I. ShareHolder's equity |
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-88,414 | -93,658 | -65,595 | -64,160 | -62,461 |
 | 1. Owner's investment capital |
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265,858 | 265,858 | 265,858 | 265,858 | 265,858 |
 | 2. Share capital surplus |
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1,397 | 1,397 | 1,397 | 1,397 | 1,397 |
 | 3. Bond conversion option |
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 | 4. Other owner's capital |
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 | 5. Treasury shares |
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-3,695 | -7,754 | -7,754 | -7,754 | -7,754 |
 | 6. Differences upon asset revaluation |
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 | 7. Differences upon foreign exchange rate |
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 | 8. Investment and development funds |
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4,377 | 4,377 | 4,377 | 4,377 | 4,377 |
 | 9. Financial reserve funds |
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 | 10. Other funds belonging to owner's equity |
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 | 11. After tax undistributed profit |
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-358,093 | -361,467 | -333,404 | -331,969 | -330,270 |
 | - After tax undistributed profit accumulated to the end of prior period |
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-325,705 | -325,705 | -325,705 | -333,027 | -333,027 |
 | - Profit after tax undistributed this period |
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-32,388 | -35,762 | -7,699 | 1,058 | 2,757 |
 | 12. Investment capital resource for basic construction |
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 | 13. Assistance fund for arrangement of enterprises |
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 | 14. interest of shareholders who not control |
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1,741 | 3,930 | 3,930 | 3,930 | 3,930 |
 | II. Funding resources and other funds |
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 | 1. Funding resources |
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 | 2. Funding resources that form fixed assets |
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 | 3. Retrenchment provision fund |
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 | TOTAL CAPITAL RESOURCES |
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1,212,724 | 1,162,886 | 1,083,164 | 1,077,993 | 1,076,384 |
There is no report.
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