Chengdu Huasun Group Inc.,Ltd. Fundamental Rankings
This page is comprehensive fundamental data for Chengdu Huasun Group Inc.,Ltd.. Fundamentals are
ordered by how Chengdu Huasun Group Inc.,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
Disposal of fixed assets and others 79,690,000 0.02087 10 2015-06-30 historic Net cash flows from investing activities 72,935,913 0.0191 68 2015-06-30 historic Selling expenses 77,866,303 0.02039 172 2015-06-30 historic Diluted eps 0 0.0 275 2015-06-30 historic Notes receivable 47,024,380 0.01231 382 2015-06-30 historic Net change in cash 41,356,703 0.01083 409 2015-06-30 historic Cash from other investing activities 473,700 1.2E-4 431 2015-06-30 historic Short term borrowings 185,000,000 0.04844 536 2015-06-30 historic Cash paid for taxes 33,490,346 0.00877 582 2015-06-30 historic Net cashflow from financing activities 23,677,217 0.0062 599 2015-06-30 historic Payroll payable 9,326,032 0.00244 602 2015-06-30 historic Interests payable 294,705 8.0E-5 623 2015-06-30 historic Long term equity investment 10,690,046 0.0028 628 2015-06-30 historic Deferred tax assets 8,250,954 0.00216 638 2015-06-30 historic Fixed assets 318,775,105 0.08347 643 2015-06-30 historic Financial expenses 4,971,073 0.0013 660 2015-06-30 historic Cash paid for other financing activities 104,400 3.0E-5 689 2015-06-30 historic Other receivables 13,353,051 0.0035 734 2015-06-30 historic Other payables 22,898,977 0.006 748 2015-06-30 historic Prepayment 21,184,459 0.00555 767 2015-06-30 historic Net cash and cash equivalents ending balance 171,362,386 0.04487 773 2015-06-30 historic Cash paid for dividends, profits or interests 16,218,383 0.00425 798 2015-06-30 historic Intangible assets 43,791,041 0.01147 799 2015-06-30 historic Cash inflows from financing activities 117,000,000 0.03064 846 2015-06-30 historic Accounts payable 73,962,550 0.01937 861 2015-06-30 historic Total cost of goods sold 239,377,566 0.06268 865 2015-06-30 historic Total liabilities 399,837,762 0.1047 878 2015-06-30 historic Non-operating loss 129,234 3.0E-5 900 2015-06-30 historic Cash outflows from operating activities 256,216,270 0.06709 904 2015-06-30 historic Revenue 245,259,514 0.06422 916 2015-06-30 historic Total non-current assets 400,734,269 0.10494 923 2015-06-30 historic Inventories 89,014,091 0.02331 964 2015-06-30 historic Purchases of fixed assets and others 9,227,786 0.00242 986 2015-06-30 historic Total liabilities and equity 1,024,854,646 0.26837 1006 2015-06-30 historic Cash inflows from operating activities 200,959,843 0.05262 1008 2015-06-30 historic Operating profit 5,881,174 0.00154 1023 2015-06-30 historic Total profit 7,022,832 0.00184 1064 2015-06-30 historic Total comprehensive income 4,258,848 0.00112 1065 2015-06-30 historic Net income 4,258,848 0.00112 1067 2015-06-30 historic Capital reserve 38,231,613 0.01001 1247 2015-06-30 historic