Bosun Tools Co.,Ltd. Fundamental Rankings
This page is comprehensive fundamental data for Bosun Tools Co.,Ltd.. Fundamentals are
ordered by how Bosun Tools Co.,Ltd. ranks compared to other companies (ordered high to low).
All money values are in CNY. All data is powered by Quandl .
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Indicator
Value
n/price
Rank
Date
Historic
Fair value change gain 2,283,580 7.5E-4 64 2015-06-30 historic Disposal of fixed assets and others 1,221,069 4.0E-4 164 2015-06-30 historic Long term equity investment 56,291,547 0.01854 289 2015-06-30 historic Cash paid for other financing activities 6,334,585 0.00209 364 2015-06-30 historic Non-operating loss 654,467 2.2E-4 370 2015-06-30 historic Selling expenses 27,536,790 0.00907 403 2015-06-30 historic Intangible assets 78,181,455 0.02575 426 2015-06-30 historic Goodwill 6,074,471 0.002 449 2015-06-30 historic Net cash flows from investing activities -12,465,320 -0.00411 473 2015-06-30 historic Net change in cash 19,329,659 0.00637 488 2015-06-30 historic Other receivables 20,043,204 0.0066 513 2015-06-30 historic Cash paid for dividends, profits or interests 24,324,303 0.00801 536 2015-06-30 historic Investment income from associate and joint venture -1,119,263 -3.7E-4 562 2015-06-30 historic Financial expenses 4,980,256 0.00164 607 2015-06-30 historic Fixed assets 267,303,654 0.08803 618 2015-06-30 historic Capital reserve 308,769,191 0.10169 622 2015-06-30 historic Short term borrowings 101,161,582 0.03332 651 2015-06-30 historic Accounts payable 96,645,255 0.03183 656 2015-06-30 historic Inventories 153,184,465 0.05045 666 2015-06-30 historic Payroll payable 6,401,878 0.00211 677 2015-06-30 historic Deferred tax assets 5,806,897 0.00191 686 2015-06-30 historic Cash inflows from financing activities 138,260,548 0.04553 728 2015-06-30 historic Refunds of taxes 139,133 5.0E-5 741 2015-06-30 historic Total non-current assets 463,604,235 0.15268 757 2015-06-30 historic Total cost of goods sold 230,312,910 0.07585 784 2015-06-30 historic Net cashflow from financing activities -2,951,491 -9.7E-4 798 2015-06-30 historic Revenue 244,396,372 0.08049 818 2015-06-30 historic Net income 15,772,744 0.00519 819 2015-06-30 historic Total profit 19,364,339 0.00638 822 2015-06-30 historic Purchases of fixed assets and others 12,697,944 0.00418 823 2015-06-30 historic Operating profit 15,247,780 0.00502 836 2015-06-30 historic Cash inflows from operating activities 243,506,178 0.0802 838 2015-06-30 historic Total liabilities and equity 1,033,685,468 0.34043 850 2015-06-30 historic Total comprehensive income 14,242,500 0.00469 851 2015-06-30 historic Cash outflows from operating activities 208,383,862 0.06863 896 2015-06-30 historic Cash paid for taxes 14,861,910 0.00489 898 2015-06-30 historic Other payables 9,989,493 0.00329 922 2015-06-30 historic Other current assets 1,481,048 4.9E-4 942 2015-06-30 historic Total liabilities 243,985,865 0.08035 979 2015-06-30 historic Notes receivable 729,780 2.4E-4 980 2015-06-30 historic Prepayment 5,750,824 0.00189 1088 2015-06-30 historic Net cash and cash equivalents ending balance 62,854,666 0.0207 1095 2015-06-30 historic Diluted eps 0 0.0 1244 2015-06-30 historic