CN Stock MarketDetailed Quotes

688226 Wetown Electric Group

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  • 28.63
  • -0.62-2.12%
Market Closed Apr 30 15:00 CST
5.37BMarket Cap73.79P/E (TTM)

Wetown Electric Group Key Stats

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YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2025
(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
Assets
Current assets
Money funds
63.57%520.68M
193.04%896.39M
12.54%245.41M
13.51%289.06M
46.33%318.31M
53.22%305.89M
30.15%218.06M
88.76%254.66M
63.32%217.53M
-17.46%199.64M
Transactional financial assets
--180M
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-63.31%30.08M
235.44%100.63M
Notes receivable and accounts receivable
2.58%1.93B
4.26%1.77B
44.78%2.33B
89.91%2.18B
85.75%1.88B
66.35%1.7B
75.74%1.61B
23.72%1.15B
26.36%1.01B
35.07%1.02B
-Notes receivable
29.14%232.22M
38.91%293.58M
-27.08%153.49M
-18.24%114.8M
78.70%179.83M
111.51%211.36M
120.60%210.48M
32.44%140.42M
12.31%100.63M
30.67%99.93M
-Accounts receivable
-0.22%1.7B
-0.66%1.48B
55.60%2.17B
105.01%2.06B
86.53%1.7B
61.45%1.49B
70.52%1.4B
22.59%1.01B
28.13%912.48M
35.56%921.15M
Other receivables (including interest and dividends)
12.73%14.64M
294.67%41.96M
34.38%19.09M
-0.37%14.25M
16.24%12.98M
-3.92%10.63M
24.76%14.2M
9.58%14.3M
-12.27%11.17M
28.97%11.06M
-Other receivable
----
294.67%41.96M
----
-0.37%14.25M
----
-3.92%10.63M
----
9.58%14.3M
----
28.97%11.06M
Advance payment
76.06%68.25M
32.40%33.25M
18.25%76.1M
5.55%45.26M
53.64%38.76M
73.47%25.11M
105.55%64.35M
92.09%42.88M
6.93%25.23M
19.53%14.48M
Inventories
9.92%414.69M
62.65%466.39M
2.07%317.41M
-16.87%323.1M
144.20%377.26M
97.54%286.74M
118.01%310.98M
176.20%388.66M
16.17%154.49M
9.99%145.16M
Receivable financing
-69.08%32.03M
-52.54%30.92M
-77.49%20.77M
-83.29%17.92M
20.96%103.59M
6.80%65.14M
63.67%92.27M
55.12%107.23M
25.84%85.64M
69.26%60.99M
Other current assets
255.52%105.73M
317.76%123.36M
372.09%43.37M
194.33%33.97M
382.89%29.74M
390.86%29.53M
99.78%9.19M
57.58%11.54M
11.05%6.16M
-30.58%6.02M
Adjustment items of current assets
--0.01
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Total current assets
18.44%3.28B
39.04%3.38B
31.77%3.07B
47.28%2.91B
78.10%2.77B
54.75%2.43B
60.39%2.33B
35.75%1.98B
22.01%1.55B
27.07%1.57B
Non Current assets
Other equity investment
3,571.43%25.7M
0.00%700K
0.00%700K
0.00%700K
0.00%700K
0.00%700K
0.00%700K
0.00%700K
0.00%700K
0.00%700K
Fixed assets
----
111.84%519.7M
----
80.65%293.18M
----
64.03%245.33M
----
21.32%162.29M
----
8.21%149.57M
Constru in process
----
459.46%709.34M
----
653.28%158.57M
----
577.30%126.79M
----
273.64%21.05M
----
372.58%18.72M
Intangible assets
5.31%185.06M
6.70%186.62M
103.22%184.15M
90.58%174.13M
229.48%175.72M
223.67%174.9M
66.48%90.62M
65.24%91.36M
-5.02%53.33M
4.73%54.04M
Goodwill
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----
----
----
----
----
-35.73%1.91M
-35.73%1.91M
-35.73%1.91M
-35.73%1.91M
Long deferred expense
17.83%23.18M
215.21%25.67M
193.75%19.92M
224.45%19.23M
338.31%19.67M
60.29%8.14M
18.34%6.78M
71.69%5.93M
55.35%4.49M
42.16%5.08M
Deferred tax assets
61.40%42.03M
65.38%42.7M
38.08%28.72M
37.92%28.53M
56.59%26.04M
40.74%25.82M
38.91%20.8M
39.56%20.68M
37.06%16.63M
49.39%18.34M
Usufruct assets
38.58%19.24M
42.42%20.03M
149.95%11.82M
136.16%13.13M
173.87%13.88M
136.36%14.07M
-30.81%4.73M
171.02%5.56M
105.91%5.07M
107.22%5.95M
Other non current assets
-84.18%11.16M
-86.21%7.42M
0.22%139.61M
-34.12%79.64M
-25.23%70.56M
29.40%53.81M
1,277.90%139.3M
1,787.03%120.9M
6,408.02%94.36M
3,557.01%41.59M
Total non current assets
119.77%1.58B
127.76%1.53B
68.09%935.59M
81.78%787.59M
104.91%719.56M
124.41%670.97M
130.71%556.6M
90.42%433.26M
57.53%351.16M
34.56%298.99M
Total assets
39.34%4.86B
58.24%4.91B
38.78%4B
53.48%3.7B
83.04%3.49B
65.89%3.1B
70.41%2.88B
43.13%2.41B
27.30%1.91B
28.21%1.87B
Liabilities
Current liabilities
Short term loan
-8.06%942.46M
1.47%823.58M
20.13%1.06B
57.66%1.09B
126.32%1.03B
85.43%811.66M
119.80%883.42M
61.68%689.81M
58.35%452.96M
90.35%437.71M
Notes payable and accounts payable
64.76%1.15B
130.67%1.35B
99.67%1.05B
128.87%864.03M
281.91%698.74M
112.94%585.89M
163.87%523.71M
104.14%377.52M
17.57%182.96M
49.13%275.15M
-Notes payable
212.15%363.93M
153.90%357.2M
157.39%392.82M
222.93%242.36M
189.88%116.59M
161.56%140.69M
172.79%152.62M
38.85%75.05M
12.48%40.22M
52.07%53.79M
-Accounts payable
35.25%787.34M
123.34%994.31M
75.93%652.87M
105.53%621.67M
307.85%582.15M
101.12%445.21M
160.37%371.09M
131.11%302.47M
19.09%142.74M
48.44%221.36M
Contract liabilities
20.30%45.78M
10.61%85.13M
-8.19%48.54M
-39.06%42.46M
-37.89%38.06M
209.38%76.96M
78.02%52.87M
182.70%69.67M
162.35%61.28M
21.28%24.88M
Salaries payable
-10.67%20.06M
-10.40%32.69M
8.57%30.04M
67.82%27.35M
94.47%22.46M
74.20%36.49M
101.89%27.67M
45.72%16.29M
52.11%11.55M
47.48%20.95M
Taxs payable
-32.42%10.92M
-30.82%12.37M
94.45%19.06M
174.72%17.88M
126.84%16.16M
53.25%17.88M
-12.67%9.8M
-34.38%6.51M
11.76%7.12M
113.28%11.67M
Other payable (including interest and dividends)
75.51%11.58M
110.54%12.2M
8.00%6.59M
48.06%6.38M
-48.06%6.6M
10.83%5.8M
-9.70%6.1M
-36.16%4.31M
146.30%12.71M
0.92%5.23M
-Other payable
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110.54%12.2M
----
48.06%6.38M
----
10.83%5.8M
----
-36.16%4.31M
----
0.92%5.23M
Non current liabilities due within one year
-53.38%25.02M
48.09%138.93M
355.20%115.67M
198.54%87.08M
301.01%53.67M
237.00%93.81M
27.67%25.41M
30.49%29.17M
-45.69%13.38M
89.05%27.84M
Other current liabilities
2.55%182.19M
13.17%220.89M
-33.60%119.55M
23.23%111.17M
152.64%177.66M
147.72%195.18M
202.75%180.05M
0.39%90.21M
-4.52%70.32M
11.36%78.79M
Adjustment items of current assets
---0.01
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Total current liabilities
17.21%2.39B
46.81%2.68B
43.14%2.45B
74.80%2.24B
150.96%2.04B
106.72%1.82B
130.59%1.71B
65.36%1.28B
39.46%812.27M
61.78%882.21M
Current liabilities
Deferred tax liabilities
41.52%5.93M
27.11%4.9M
183.10%3.94M
188.62%3.86M
1,027.78%4.19M
153.47%3.86M
--1.39M
--1.34M
-60.77%371.78K
226.40%1.52M
Long term deferred income
-75.68%172.89K
-63.64%307.38K
-54.90%441.87K
-48.28%576.36K
-43.08%710.85K
-38.89%845.34K
-35.44%979.83K
-32.56%1.11M
-30.11%1.25M
-28.00%1.38M
Lease liabilities
43.13%18.31M
88.96%18.74M
249.26%9.74M
347.84%12.75M
245.25%12.79M
445.35%9.92M
-7.60%2.79M
888.94%2.85M
530.36%3.7M
96.71%1.82M
Total non current liabilities
107.81%670.19M
151.50%491.27M
158.83%382.52M
102.69%313.54M
148.31%322.5M
365.52%195.34M
334.11%147.79M
1,456.21%154.69M
3,809.36%129.88M
117.28%41.96M
Total liabilities
29.59%3.06B
56.94%3.17B
52.35%2.83B
77.80%2.56B
150.59%2.36B
118.47%2.02B
139.53%1.86B
82.95%1.44B
60.84%942.15M
63.68%924.17M
Shareholders equity
Paid-in capital
19.90%187.65M
19.17%186.51M
0.32%156.51M
0.32%156.51M
0.32%156.51M
0.32%156.51M
0.00%156M
0.00%156M
0.00%156M
0.00%156M
Capital reserve funds
124.45%984.97M
125.99%984.33M
0.81%429.9M
4.28%441.61M
4.36%438.83M
4.33%435.57M
2.41%426.44M
1.70%423.49M
0.98%420.5M
0.26%417.49M
Surplus reserve funds
10.07%38.57M
10.07%38.57M
22.84%35.04M
22.84%35.04M
22.83%35.04M
22.83%35.04M
19.59%28.53M
19.59%28.53M
19.60%28.53M
19.60%28.53M
Retained profit
7.50%470.47M
13.63%457.18M
27.36%474.87M
36.13%444.61M
35.40%437.63M
29.82%402.34M
26.37%372.86M
17.88%326.62M
15.83%323.2M
17.31%309.92M
Other composite income
48.61%7.21M
-109.54%-299.26K
170.15%6.62M
415.43%4.5M
94.19%4.85M
134.26%3.14M
149.05%2.45M
115.97%872.25K
-54.89%2.5M
-55.61%1.34M
Shareholders equity without minority interests
57.42%1.69B
61.37%1.67B
11.83%1.1B
15.69%1.08B
15.27%1.07B
13.06%1.03B
11.28%986.28M
7.79%935.5M
5.67%930.74M
5.77%913.28M
Minority interests
105.27%112.86M
46.07%71.87M
73.11%70.03M
63.87%59.55M
65.78%54.98M
55.04%49.2M
32.40%40.46M
21.93%36.34M
7.87%33.17M
6.28%31.73M
Total shareholder equity
59.75%1.8B
60.67%1.74B
14.24%1.17B
17.49%1.14B
17.01%1.13B
14.47%1.08B
11.98%1.03B
8.26%971.84M
5.74%963.9M
5.79%945.01M
Adjustment items of liabilities and equity
--0.01
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--0.01
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Total liabilityies and equity
39.34%4.86B
58.24%4.91B
38.78%4B
53.48%3.7B
83.04%3.49B
65.89%3.1B
70.41%2.88B
43.13%2.41B
27.30%1.91B
28.21%1.87B
Currency Unit
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
CNY
Accounting Standards
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
CAS (2007)
Audit Opinions
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Unqualified opinion
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Unqualified opinion
Auditor
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Suya Jincheng Certified Public Accountants Co., Ltd. (Special General Partnership)
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Suya Jincheng Certified Public Accountants Co., Ltd. (Special General Partnership)
(Q3)Mar 31, 2025(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
Assets
Current assets
Money funds 63.57%520.68M193.04%896.39M12.54%245.41M13.51%289.06M46.33%318.31M53.22%305.89M30.15%218.06M88.76%254.66M63.32%217.53M-17.46%199.64M
Transactional financial assets --180M-----------------------------63.31%30.08M235.44%100.63M
Notes receivable and accounts receivable 2.58%1.93B4.26%1.77B44.78%2.33B89.91%2.18B85.75%1.88B66.35%1.7B75.74%1.61B23.72%1.15B26.36%1.01B35.07%1.02B
-Notes receivable 29.14%232.22M38.91%293.58M-27.08%153.49M-18.24%114.8M78.70%179.83M111.51%211.36M120.60%210.48M32.44%140.42M12.31%100.63M30.67%99.93M
-Accounts receivable -0.22%1.7B-0.66%1.48B55.60%2.17B105.01%2.06B86.53%1.7B61.45%1.49B70.52%1.4B22.59%1.01B28.13%912.48M35.56%921.15M
Other receivables (including interest and dividends) 12.73%14.64M294.67%41.96M34.38%19.09M-0.37%14.25M16.24%12.98M-3.92%10.63M24.76%14.2M9.58%14.3M-12.27%11.17M28.97%11.06M
-Other receivable ----294.67%41.96M-----0.37%14.25M-----3.92%10.63M----9.58%14.3M----28.97%11.06M
Advance payment 76.06%68.25M32.40%33.25M18.25%76.1M5.55%45.26M53.64%38.76M73.47%25.11M105.55%64.35M92.09%42.88M6.93%25.23M19.53%14.48M
Inventories 9.92%414.69M62.65%466.39M2.07%317.41M-16.87%323.1M144.20%377.26M97.54%286.74M118.01%310.98M176.20%388.66M16.17%154.49M9.99%145.16M
Receivable financing -69.08%32.03M-52.54%30.92M-77.49%20.77M-83.29%17.92M20.96%103.59M6.80%65.14M63.67%92.27M55.12%107.23M25.84%85.64M69.26%60.99M
Other current assets 255.52%105.73M317.76%123.36M372.09%43.37M194.33%33.97M382.89%29.74M390.86%29.53M99.78%9.19M57.58%11.54M11.05%6.16M-30.58%6.02M
Adjustment items of current assets --0.01------------------------------------
Total current assets 18.44%3.28B39.04%3.38B31.77%3.07B47.28%2.91B78.10%2.77B54.75%2.43B60.39%2.33B35.75%1.98B22.01%1.55B27.07%1.57B
Non Current assets
Other equity investment 3,571.43%25.7M0.00%700K0.00%700K0.00%700K0.00%700K0.00%700K0.00%700K0.00%700K0.00%700K0.00%700K
Fixed assets ----111.84%519.7M----80.65%293.18M----64.03%245.33M----21.32%162.29M----8.21%149.57M
Constru in process ----459.46%709.34M----653.28%158.57M----577.30%126.79M----273.64%21.05M----372.58%18.72M
Intangible assets 5.31%185.06M6.70%186.62M103.22%184.15M90.58%174.13M229.48%175.72M223.67%174.9M66.48%90.62M65.24%91.36M-5.02%53.33M4.73%54.04M
Goodwill -------------------------35.73%1.91M-35.73%1.91M-35.73%1.91M-35.73%1.91M
Long deferred expense 17.83%23.18M215.21%25.67M193.75%19.92M224.45%19.23M338.31%19.67M60.29%8.14M18.34%6.78M71.69%5.93M55.35%4.49M42.16%5.08M
Deferred tax assets 61.40%42.03M65.38%42.7M38.08%28.72M37.92%28.53M56.59%26.04M40.74%25.82M38.91%20.8M39.56%20.68M37.06%16.63M49.39%18.34M
Usufruct assets 38.58%19.24M42.42%20.03M149.95%11.82M136.16%13.13M173.87%13.88M136.36%14.07M-30.81%4.73M171.02%5.56M105.91%5.07M107.22%5.95M
Other non current assets -84.18%11.16M-86.21%7.42M0.22%139.61M-34.12%79.64M-25.23%70.56M29.40%53.81M1,277.90%139.3M1,787.03%120.9M6,408.02%94.36M3,557.01%41.59M
Total non current assets 119.77%1.58B127.76%1.53B68.09%935.59M81.78%787.59M104.91%719.56M124.41%670.97M130.71%556.6M90.42%433.26M57.53%351.16M34.56%298.99M
Total assets 39.34%4.86B58.24%4.91B38.78%4B53.48%3.7B83.04%3.49B65.89%3.1B70.41%2.88B43.13%2.41B27.30%1.91B28.21%1.87B
Liabilities
Current liabilities
Short term loan -8.06%942.46M1.47%823.58M20.13%1.06B57.66%1.09B126.32%1.03B85.43%811.66M119.80%883.42M61.68%689.81M58.35%452.96M90.35%437.71M
Notes payable and accounts payable 64.76%1.15B130.67%1.35B99.67%1.05B128.87%864.03M281.91%698.74M112.94%585.89M163.87%523.71M104.14%377.52M17.57%182.96M49.13%275.15M
-Notes payable 212.15%363.93M153.90%357.2M157.39%392.82M222.93%242.36M189.88%116.59M161.56%140.69M172.79%152.62M38.85%75.05M12.48%40.22M52.07%53.79M
-Accounts payable 35.25%787.34M123.34%994.31M75.93%652.87M105.53%621.67M307.85%582.15M101.12%445.21M160.37%371.09M131.11%302.47M19.09%142.74M48.44%221.36M
Contract liabilities 20.30%45.78M10.61%85.13M-8.19%48.54M-39.06%42.46M-37.89%38.06M209.38%76.96M78.02%52.87M182.70%69.67M162.35%61.28M21.28%24.88M
Salaries payable -10.67%20.06M-10.40%32.69M8.57%30.04M67.82%27.35M94.47%22.46M74.20%36.49M101.89%27.67M45.72%16.29M52.11%11.55M47.48%20.95M
Taxs payable -32.42%10.92M-30.82%12.37M94.45%19.06M174.72%17.88M126.84%16.16M53.25%17.88M-12.67%9.8M-34.38%6.51M11.76%7.12M113.28%11.67M
Other payable (including interest and dividends) 75.51%11.58M110.54%12.2M8.00%6.59M48.06%6.38M-48.06%6.6M10.83%5.8M-9.70%6.1M-36.16%4.31M146.30%12.71M0.92%5.23M
-Other payable ----110.54%12.2M----48.06%6.38M----10.83%5.8M-----36.16%4.31M----0.92%5.23M
Non current liabilities due within one year -53.38%25.02M48.09%138.93M355.20%115.67M198.54%87.08M301.01%53.67M237.00%93.81M27.67%25.41M30.49%29.17M-45.69%13.38M89.05%27.84M
Other current liabilities 2.55%182.19M13.17%220.89M-33.60%119.55M23.23%111.17M152.64%177.66M147.72%195.18M202.75%180.05M0.39%90.21M-4.52%70.32M11.36%78.79M
Adjustment items of current assets ---0.01------------------------------------
Total current liabilities 17.21%2.39B46.81%2.68B43.14%2.45B74.80%2.24B150.96%2.04B106.72%1.82B130.59%1.71B65.36%1.28B39.46%812.27M61.78%882.21M
Current liabilities
Deferred tax liabilities 41.52%5.93M27.11%4.9M183.10%3.94M188.62%3.86M1,027.78%4.19M153.47%3.86M--1.39M--1.34M-60.77%371.78K226.40%1.52M
Long term deferred income -75.68%172.89K-63.64%307.38K-54.90%441.87K-48.28%576.36K-43.08%710.85K-38.89%845.34K-35.44%979.83K-32.56%1.11M-30.11%1.25M-28.00%1.38M
Lease liabilities 43.13%18.31M88.96%18.74M249.26%9.74M347.84%12.75M245.25%12.79M445.35%9.92M-7.60%2.79M888.94%2.85M530.36%3.7M96.71%1.82M
Total non current liabilities 107.81%670.19M151.50%491.27M158.83%382.52M102.69%313.54M148.31%322.5M365.52%195.34M334.11%147.79M1,456.21%154.69M3,809.36%129.88M117.28%41.96M
Total liabilities 29.59%3.06B56.94%3.17B52.35%2.83B77.80%2.56B150.59%2.36B118.47%2.02B139.53%1.86B82.95%1.44B60.84%942.15M63.68%924.17M
Shareholders equity
Paid-in capital 19.90%187.65M19.17%186.51M0.32%156.51M0.32%156.51M0.32%156.51M0.32%156.51M0.00%156M0.00%156M0.00%156M0.00%156M
Capital reserve funds 124.45%984.97M125.99%984.33M0.81%429.9M4.28%441.61M4.36%438.83M4.33%435.57M2.41%426.44M1.70%423.49M0.98%420.5M0.26%417.49M
Surplus reserve funds 10.07%38.57M10.07%38.57M22.84%35.04M22.84%35.04M22.83%35.04M22.83%35.04M19.59%28.53M19.59%28.53M19.60%28.53M19.60%28.53M
Retained profit 7.50%470.47M13.63%457.18M27.36%474.87M36.13%444.61M35.40%437.63M29.82%402.34M26.37%372.86M17.88%326.62M15.83%323.2M17.31%309.92M
Other composite income 48.61%7.21M-109.54%-299.26K170.15%6.62M415.43%4.5M94.19%4.85M134.26%3.14M149.05%2.45M115.97%872.25K-54.89%2.5M-55.61%1.34M
Shareholders equity without minority interests 57.42%1.69B61.37%1.67B11.83%1.1B15.69%1.08B15.27%1.07B13.06%1.03B11.28%986.28M7.79%935.5M5.67%930.74M5.77%913.28M
Minority interests 105.27%112.86M46.07%71.87M73.11%70.03M63.87%59.55M65.78%54.98M55.04%49.2M32.40%40.46M21.93%36.34M7.87%33.17M6.28%31.73M
Total shareholder equity 59.75%1.8B60.67%1.74B14.24%1.17B17.49%1.14B17.01%1.13B14.47%1.08B11.98%1.03B8.26%971.84M5.74%963.9M5.79%945.01M
Adjustment items of liabilities and equity --0.01------------------------------0.01----
Total liabilityies and equity 39.34%4.86B58.24%4.91B38.78%4B53.48%3.7B83.04%3.49B65.89%3.1B70.41%2.88B43.13%2.41B27.30%1.91B28.21%1.87B
Currency Unit CNYCNYCNYCNYCNYCNYCNYCNYCNYCNY
Accounting Standards CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)CAS (2007)
Audit Opinions ----------Unqualified opinion------Unqualified opinion
Auditor ----------Suya Jincheng Certified Public Accountants Co., Ltd. (Special General Partnership)------Suya Jincheng Certified Public Accountants Co., Ltd. (Special General Partnership)

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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