MY Stock MarketDetailed Quotes

0097 VITROX

Watchlist
  • 3.020
  • +0.320+11.85%
15min DelayMarket Closed Apr 25 16:59 CST
5.71BMarket Cap59.22P/E (TTM)

VITROX Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
6.25%357.2M
-12.56%340.13M
-12.56%340.13M
-25.15%319.16M
-16.43%351.78M
-19.12%336.18M
5.02%388.99M
5.02%388.99M
31.53%426.42M
40.72%420.91M
-Cash and cash equivalents
6.25%357.2M
-12.56%340.13M
-12.56%340.13M
-25.15%319.16M
-16.43%351.78M
-19.12%336.18M
5.02%388.99M
5.02%388.99M
31.53%426.42M
40.72%420.91M
-Including:Cash
----
----
----
----
----
----
-59.04%79.54M
-59.04%79.54M
----
----
-Including:Cash equivalents
----
----
----
----
----
----
75.61%309.46M
75.61%309.46M
----
----
Receivables
9.56%232.04M
24.00%237M
24.00%237M
13.45%217.02M
-3.76%202.71M
8.03%211.8M
-24.44%191.13M
-24.44%191.13M
-32.60%191.3M
-30.11%210.64M
-Accounts receivable
9.56%232.04M
25.88%237M
25.88%237M
13.45%217.02M
-3.76%202.71M
8.03%211.8M
-25.49%188.28M
-25.49%188.28M
-32.60%191.3M
-30.11%210.64M
-Gross accounts receivable
----
----
----
----
----
----
-25.13%195.56M
-25.13%195.56M
----
----
-Bad debt provision
----
----
----
----
----
----
14.44%-7.29M
14.44%-7.29M
----
----
-Other receivables
----
----
----
----
----
----
971.80%2.85M
971.80%2.85M
----
----
Inventory
-1.46%209.13M
1.44%201.43M
1.44%201.43M
8.80%210.75M
4.30%212.6M
2.36%212.24M
-2.04%198.58M
-2.04%198.58M
-10.96%193.71M
-7.96%203.84M
Prepaid assets
54.67%44.33M
96.90%43.51M
96.90%43.51M
222.05%33.89M
182.96%34.18M
122.45%28.66M
67.69%22.1M
67.69%22.1M
-47.46%10.52M
-37.26%12.08M
Tax assets-Current
-77.16%371K
--842K
--842K
143.96%1.55M
16.35%2M
-11.06%1.62M
--0
--0
-66.54%637K
-5.08%1.72M
Hedging assets-current
--385K
--0
--0
--5.45M
--0
--0
186.88%809K
186.88%809K
--0
--0
Total current assets
6.70%843.46M
2.66%822.91M
2.66%822.91M
-4.23%787.83M
-5.41%803.27M
-5.19%790.51M
-4.72%801.6M
-4.72%801.6M
-2.94%822.59M
0.73%849.19M
Non current assets
Net PPE
2.84%301.37M
3.59%300.66M
3.59%300.66M
5.69%295.19M
12.48%294.02M
17.53%293.04M
28.47%290.23M
28.47%290.23M
28.79%279.29M
29.54%261.4M
-Gross PP&E
2.84%301.37M
-12.32%300.66M
-12.32%300.66M
5.69%295.19M
12.48%294.02M
17.53%293.04M
27.10%342.91M
27.10%342.91M
28.79%279.29M
29.54%261.4M
-Accumulated depreciation
----
----
----
----
----
----
-20.04%-52.68M
-20.04%-52.68M
----
----
Investment properties
19.31%55.6M
19.31%55.6M
19.31%55.6M
4.48%46.6M
4.48%46.6M
4.48%46.6M
4.48%46.6M
4.48%46.6M
9.85%44.6M
9.85%44.6M
Prepaid assets-non current
----
--0
--0
--20.53M
--17.31M
--13.08M
--3.72M
--3.72M
----
----
Total investment
10.46%19.17M
13.47%19.95M
13.47%19.95M
0.35%20.19M
-16.57%17.33M
-17.71%17.36M
-31.17%17.58M
-31.17%17.58M
-3.30%20.12M
-2.11%20.77M
-Long-term equity investment
10.46%19.17M
13.47%19.95M
13.47%19.95M
0.35%20.19M
-16.57%17.33M
-17.71%17.36M
-31.17%17.58M
-31.17%17.58M
-3.30%20.12M
-2.11%20.77M
Goodwill and other intangible assets
57.48%8.92M
57.48%8.92M
57.48%8.92M
9,585.71%8.81M
6,126.37%5.67M
6,126.37%5.67M
6,126.37%5.67M
6,126.37%5.67M
0.00%91K
0.00%91K
-Goodwill
--3.26M
--3.26M
--3.26M
--3.15M
----
----
----
----
----
----
-Other intangible assets
0.00%5.67M
0.00%5.67M
0.00%5.67M
6,126.37%5.67M
6,126.37%5.67M
6,126.37%5.67M
6,126.37%5.67M
6,126.37%5.67M
0.00%91K
0.00%91K
Deferred tax assets-non current
-11.99%903K
-11.99%903K
-11.99%903K
47.19%1.02M
46.15%1.03M
46.15%1.03M
46.15%1.03M
46.15%1.03M
586.14%693K
595.05%702K
Total non current assets
2.44%385.96M
5.81%386.03M
5.81%386.03M
13.79%392.34M
16.61%381.95M
19.30%376.76M
22.90%364.82M
22.90%364.82M
23.83%344.8M
24.17%327.56M
Total assets
5.32%1.23B
3.65%1.21B
3.65%1.21B
1.10%1.18B
0.72%1.19B
1.54%1.17B
2.48%1.17B
2.48%1.17B
3.68%1.17B
6.32%1.18B
Liabilities
Current liabilities
Financial liabilities
-11.37%12.99M
12.27%15.38M
12.27%15.38M
-22.89%12.14M
-14.35%14.13M
4.61%14.66M
4.92%13.7M
4.92%13.7M
-21.26%15.74M
-3.03%16.5M
-Financial or other derivative investment liabilities
--0
--2.21M
--2.21M
----
-94.27%152K
-38.49%593K
----
----
-57.15%1.78M
29.11%2.65M
-Current debt and capital lease obligation
-7.63%12.99M
-3.88%13.17M
-3.88%13.17M
-13.05%12.14M
0.96%13.98M
7.79%14.07M
4.92%13.7M
4.92%13.7M
-11.84%13.96M
-7.44%13.84M
-Including:Current debt
-7.08%12.86M
-3.55%12.99M
-3.55%12.99M
-13.09%11.96M
0.07%13.75M
6.88%13.84M
4.14%13.47M
4.14%13.47M
-12.41%13.76M
-7.28%13.74M
-Including:Current capital Lease obligation
-40.69%137K
-22.84%179K
-22.84%179K
-10.29%183K
121.57%226K
120.00%231K
85.60%232K
85.60%232K
58.14%204K
-25.00%102K
Payables
-2.63%106.79M
-12.45%113.42M
-12.45%113.42M
-22.57%101.58M
-27.69%125.95M
-23.93%109.67M
-22.73%129.55M
-22.73%129.55M
-30.21%131.19M
-23.13%174.19M
-accounts payable
-3.44%103.66M
121.38%101.41M
121.38%101.41M
-22.50%99.48M
-23.10%101.28M
-24.24%107.36M
1.43%45.81M
1.43%45.81M
-31.11%128.36M
-32.22%131.71M
-Total tax payable
35.28%3.13M
0.31%2.56M
0.31%2.56M
-25.78%2.1M
18.99%3.86M
-6.42%2.32M
2.62%2.55M
2.62%2.55M
71.15%2.82M
297.06%3.24M
-Dividends payable
--0
-19.95%9.46M
-19.95%9.46M
--0
-46.95%20.81M
--0
0.08%11.82M
0.08%11.82M
--0
24.71%39.23M
-Other payable
----
----
----
----
----
----
-35.88%69.38M
-35.88%69.38M
----
----
Accrued and deferred income
48.46%21.83M
73.11%19.18M
73.11%19.18M
17.94%21.61M
-23.05%12.5M
-33.18%14.71M
-44.59%11.08M
-44.59%11.08M
2.43%18.32M
8.12%16.24M
Current liabilities
1.86%141.62M
-4.11%147.98M
-4.11%147.98M
-18.11%135.32M
-26.26%152.58M
-22.84%139.04M
-23.11%154.33M
-23.11%154.33M
-26.83%165.25M
-20.00%206.92M
Non current liabilities
Non current financial liabilities
-32.82%31.7M
-28.44%35.18M
-28.44%35.18M
-34.55%35.08M
-22.90%43.7M
-16.60%47.19M
-17.80%49.17M
-17.80%49.17M
-13.18%53.6M
-8.99%56.67M
-Long term debt and capital lease obligation
-32.82%31.7M
-28.44%35.18M
-28.44%35.18M
-34.55%35.08M
-22.90%43.7M
-16.60%47.19M
-17.80%49.17M
-17.80%49.17M
-13.18%53.6M
-8.99%56.67M
-Including:Long term debt
-33.17%31.42M
-28.73%34.88M
-28.73%34.88M
-34.42%34.98M
-22.97%43.56M
-16.68%47.02M
-17.94%48.94M
-17.94%48.94M
-13.37%53.34M
-8.96%56.55M
-Including:Long term capital lease obligation
63.37%281K
34.21%306K
34.21%306K
-60.98%103K
9.02%133K
16.22%172K
31.03%228K
31.03%228K
58.08%264K
-23.75%122K
Non current deferred liabilities
24.68%6.17M
24.68%6.17M
24.68%6.17M
11.32%4.97M
41.57%4.95M
41.57%4.95M
41.57%4.95M
41.57%4.95M
68.15%4.46M
31.85%3.5M
Non current accrued and deferred income
1,028.36%6.05M
-2.41%526K
-2.41%526K
-2.58%529K
-2.56%532K
-2.37%536K
-3.92%539K
-3.92%539K
-5.24%543K
-5.21%546K
Total non current liabilities
-16.62%43.93M
-23.37%41.88M
-23.37%41.88M
-30.76%40.58M
-19.00%49.18M
-13.11%52.68M
-14.43%54.66M
-14.43%54.66M
-9.79%58.6M
-7.31%60.72M
Total liabilities
-3.22%185.54M
-9.15%189.87M
-9.15%189.87M
-21.42%175.9M
-24.62%201.76M
-20.39%191.72M
-21.01%208.99M
-21.01%208.99M
-23.02%223.86M
-17.43%267.64M
Shareholders'equity
Share capital
5.81%63.59M
6.04%63.59M
6.04%63.59M
6.16%63.59M
6.31%63.59M
7.17%60.1M
7.19%59.97M
7.19%59.97M
7.10%59.9M
7.00%59.81M
-common stock
5.81%63.59M
6.04%63.59M
6.04%63.59M
6.16%63.59M
6.31%63.59M
7.17%60.1M
7.19%59.97M
7.19%59.97M
7.10%59.9M
7.00%59.81M
Retained earnings
7.48%959.84M
7.11%935.68M
7.11%935.68M
----
8.77%900.35M
7.69%893.06M
9.70%873.58M
9.70%873.58M
13.36%861M
16.80%827.74M
Fixed asset revaluation reserve
0.00%14.16M
0.00%14.16M
0.00%14.16M
----
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
0.00%14.16M
Other reserves
-76.45%382K
-64.71%468K
-64.71%468K
77,370.34%942.81M
9.35%1.47M
30.39%1.62M
37.41%1.33M
37.41%1.33M
-20.72%1.22M
-20.80%1.35M
Other equity interest
3.29%8.58M
-23.10%7.59M
-23.10%7.59M
----
-18.06%5.81M
-6.13%8.3M
42.26%9.87M
42.26%9.87M
72.89%8.48M
146.80%7.09M
Total stockholders'equity
7.09%1.05B
6.53%1.02B
6.53%1.02B
6.53%1.01B
8.27%985.38M
7.43%977.24M
9.67%958.91M
9.67%958.91M
13.00%944.75M
16.19%910.16M
Noncontrolling interests
-57.79%-2.66M
-63.59%-2.41M
-63.59%-2.41M
-74.49%-2.13M
-83.22%-1.92M
-88.49%-1.69M
-94.45%-1.47M
-94.45%-1.47M
-34.84%-1.22M
-62.89%-1.05M
Total equity
7.00%1.04B
6.44%1.02B
6.44%1.02B
6.44%1B
8.18%983.46M
7.35%975.56M
9.60%957.43M
9.60%957.43M
12.98%943.53M
16.15%909.11M
Accounting Standards
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
NonUS-GAAP
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 6.25%357.2M-12.56%340.13M-12.56%340.13M-25.15%319.16M-16.43%351.78M-19.12%336.18M5.02%388.99M5.02%388.99M31.53%426.42M40.72%420.91M
-Cash and cash equivalents 6.25%357.2M-12.56%340.13M-12.56%340.13M-25.15%319.16M-16.43%351.78M-19.12%336.18M5.02%388.99M5.02%388.99M31.53%426.42M40.72%420.91M
-Including:Cash -------------------------59.04%79.54M-59.04%79.54M--------
-Including:Cash equivalents ------------------------75.61%309.46M75.61%309.46M--------
Receivables 9.56%232.04M24.00%237M24.00%237M13.45%217.02M-3.76%202.71M8.03%211.8M-24.44%191.13M-24.44%191.13M-32.60%191.3M-30.11%210.64M
-Accounts receivable 9.56%232.04M25.88%237M25.88%237M13.45%217.02M-3.76%202.71M8.03%211.8M-25.49%188.28M-25.49%188.28M-32.60%191.3M-30.11%210.64M
-Gross accounts receivable -------------------------25.13%195.56M-25.13%195.56M--------
-Bad debt provision ------------------------14.44%-7.29M14.44%-7.29M--------
-Other receivables ------------------------971.80%2.85M971.80%2.85M--------
Inventory -1.46%209.13M1.44%201.43M1.44%201.43M8.80%210.75M4.30%212.6M2.36%212.24M-2.04%198.58M-2.04%198.58M-10.96%193.71M-7.96%203.84M
Prepaid assets 54.67%44.33M96.90%43.51M96.90%43.51M222.05%33.89M182.96%34.18M122.45%28.66M67.69%22.1M67.69%22.1M-47.46%10.52M-37.26%12.08M
Tax assets-Current -77.16%371K--842K--842K143.96%1.55M16.35%2M-11.06%1.62M--0--0-66.54%637K-5.08%1.72M
Hedging assets-current --385K--0--0--5.45M--0--0186.88%809K186.88%809K--0--0
Total current assets 6.70%843.46M2.66%822.91M2.66%822.91M-4.23%787.83M-5.41%803.27M-5.19%790.51M-4.72%801.6M-4.72%801.6M-2.94%822.59M0.73%849.19M
Non current assets
Net PPE 2.84%301.37M3.59%300.66M3.59%300.66M5.69%295.19M12.48%294.02M17.53%293.04M28.47%290.23M28.47%290.23M28.79%279.29M29.54%261.4M
-Gross PP&E 2.84%301.37M-12.32%300.66M-12.32%300.66M5.69%295.19M12.48%294.02M17.53%293.04M27.10%342.91M27.10%342.91M28.79%279.29M29.54%261.4M
-Accumulated depreciation -------------------------20.04%-52.68M-20.04%-52.68M--------
Investment properties 19.31%55.6M19.31%55.6M19.31%55.6M4.48%46.6M4.48%46.6M4.48%46.6M4.48%46.6M4.48%46.6M9.85%44.6M9.85%44.6M
Prepaid assets-non current ------0--0--20.53M--17.31M--13.08M--3.72M--3.72M--------
Total investment 10.46%19.17M13.47%19.95M13.47%19.95M0.35%20.19M-16.57%17.33M-17.71%17.36M-31.17%17.58M-31.17%17.58M-3.30%20.12M-2.11%20.77M
-Long-term equity investment 10.46%19.17M13.47%19.95M13.47%19.95M0.35%20.19M-16.57%17.33M-17.71%17.36M-31.17%17.58M-31.17%17.58M-3.30%20.12M-2.11%20.77M
Goodwill and other intangible assets 57.48%8.92M57.48%8.92M57.48%8.92M9,585.71%8.81M6,126.37%5.67M6,126.37%5.67M6,126.37%5.67M6,126.37%5.67M0.00%91K0.00%91K
-Goodwill --3.26M--3.26M--3.26M--3.15M------------------------
-Other intangible assets 0.00%5.67M0.00%5.67M0.00%5.67M6,126.37%5.67M6,126.37%5.67M6,126.37%5.67M6,126.37%5.67M6,126.37%5.67M0.00%91K0.00%91K
Deferred tax assets-non current -11.99%903K-11.99%903K-11.99%903K47.19%1.02M46.15%1.03M46.15%1.03M46.15%1.03M46.15%1.03M586.14%693K595.05%702K
Total non current assets 2.44%385.96M5.81%386.03M5.81%386.03M13.79%392.34M16.61%381.95M19.30%376.76M22.90%364.82M22.90%364.82M23.83%344.8M24.17%327.56M
Total assets 5.32%1.23B3.65%1.21B3.65%1.21B1.10%1.18B0.72%1.19B1.54%1.17B2.48%1.17B2.48%1.17B3.68%1.17B6.32%1.18B
Liabilities
Current liabilities
Financial liabilities -11.37%12.99M12.27%15.38M12.27%15.38M-22.89%12.14M-14.35%14.13M4.61%14.66M4.92%13.7M4.92%13.7M-21.26%15.74M-3.03%16.5M
-Financial or other derivative investment liabilities --0--2.21M--2.21M-----94.27%152K-38.49%593K---------57.15%1.78M29.11%2.65M
-Current debt and capital lease obligation -7.63%12.99M-3.88%13.17M-3.88%13.17M-13.05%12.14M0.96%13.98M7.79%14.07M4.92%13.7M4.92%13.7M-11.84%13.96M-7.44%13.84M
-Including:Current debt -7.08%12.86M-3.55%12.99M-3.55%12.99M-13.09%11.96M0.07%13.75M6.88%13.84M4.14%13.47M4.14%13.47M-12.41%13.76M-7.28%13.74M
-Including:Current capital Lease obligation -40.69%137K-22.84%179K-22.84%179K-10.29%183K121.57%226K120.00%231K85.60%232K85.60%232K58.14%204K-25.00%102K
Payables -2.63%106.79M-12.45%113.42M-12.45%113.42M-22.57%101.58M-27.69%125.95M-23.93%109.67M-22.73%129.55M-22.73%129.55M-30.21%131.19M-23.13%174.19M
-accounts payable -3.44%103.66M121.38%101.41M121.38%101.41M-22.50%99.48M-23.10%101.28M-24.24%107.36M1.43%45.81M1.43%45.81M-31.11%128.36M-32.22%131.71M
-Total tax payable 35.28%3.13M0.31%2.56M0.31%2.56M-25.78%2.1M18.99%3.86M-6.42%2.32M2.62%2.55M2.62%2.55M71.15%2.82M297.06%3.24M
-Dividends payable --0-19.95%9.46M-19.95%9.46M--0-46.95%20.81M--00.08%11.82M0.08%11.82M--024.71%39.23M
-Other payable -------------------------35.88%69.38M-35.88%69.38M--------
Accrued and deferred income 48.46%21.83M73.11%19.18M73.11%19.18M17.94%21.61M-23.05%12.5M-33.18%14.71M-44.59%11.08M-44.59%11.08M2.43%18.32M8.12%16.24M
Current liabilities 1.86%141.62M-4.11%147.98M-4.11%147.98M-18.11%135.32M-26.26%152.58M-22.84%139.04M-23.11%154.33M-23.11%154.33M-26.83%165.25M-20.00%206.92M
Non current liabilities
Non current financial liabilities -32.82%31.7M-28.44%35.18M-28.44%35.18M-34.55%35.08M-22.90%43.7M-16.60%47.19M-17.80%49.17M-17.80%49.17M-13.18%53.6M-8.99%56.67M
-Long term debt and capital lease obligation -32.82%31.7M-28.44%35.18M-28.44%35.18M-34.55%35.08M-22.90%43.7M-16.60%47.19M-17.80%49.17M-17.80%49.17M-13.18%53.6M-8.99%56.67M
-Including:Long term debt -33.17%31.42M-28.73%34.88M-28.73%34.88M-34.42%34.98M-22.97%43.56M-16.68%47.02M-17.94%48.94M-17.94%48.94M-13.37%53.34M-8.96%56.55M
-Including:Long term capital lease obligation 63.37%281K34.21%306K34.21%306K-60.98%103K9.02%133K16.22%172K31.03%228K31.03%228K58.08%264K-23.75%122K
Non current deferred liabilities 24.68%6.17M24.68%6.17M24.68%6.17M11.32%4.97M41.57%4.95M41.57%4.95M41.57%4.95M41.57%4.95M68.15%4.46M31.85%3.5M
Non current accrued and deferred income 1,028.36%6.05M-2.41%526K-2.41%526K-2.58%529K-2.56%532K-2.37%536K-3.92%539K-3.92%539K-5.24%543K-5.21%546K
Total non current liabilities -16.62%43.93M-23.37%41.88M-23.37%41.88M-30.76%40.58M-19.00%49.18M-13.11%52.68M-14.43%54.66M-14.43%54.66M-9.79%58.6M-7.31%60.72M
Total liabilities -3.22%185.54M-9.15%189.87M-9.15%189.87M-21.42%175.9M-24.62%201.76M-20.39%191.72M-21.01%208.99M-21.01%208.99M-23.02%223.86M-17.43%267.64M
Shareholders'equity
Share capital 5.81%63.59M6.04%63.59M6.04%63.59M6.16%63.59M6.31%63.59M7.17%60.1M7.19%59.97M7.19%59.97M7.10%59.9M7.00%59.81M
-common stock 5.81%63.59M6.04%63.59M6.04%63.59M6.16%63.59M6.31%63.59M7.17%60.1M7.19%59.97M7.19%59.97M7.10%59.9M7.00%59.81M
Retained earnings 7.48%959.84M7.11%935.68M7.11%935.68M----8.77%900.35M7.69%893.06M9.70%873.58M9.70%873.58M13.36%861M16.80%827.74M
Fixed asset revaluation reserve 0.00%14.16M0.00%14.16M0.00%14.16M----0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M0.00%14.16M
Other reserves -76.45%382K-64.71%468K-64.71%468K77,370.34%942.81M9.35%1.47M30.39%1.62M37.41%1.33M37.41%1.33M-20.72%1.22M-20.80%1.35M
Other equity interest 3.29%8.58M-23.10%7.59M-23.10%7.59M-----18.06%5.81M-6.13%8.3M42.26%9.87M42.26%9.87M72.89%8.48M146.80%7.09M
Total stockholders'equity 7.09%1.05B6.53%1.02B6.53%1.02B6.53%1.01B8.27%985.38M7.43%977.24M9.67%958.91M9.67%958.91M13.00%944.75M16.19%910.16M
Noncontrolling interests -57.79%-2.66M-63.59%-2.41M-63.59%-2.41M-74.49%-2.13M-83.22%-1.92M-88.49%-1.69M-94.45%-1.47M-94.45%-1.47M-34.84%-1.22M-62.89%-1.05M
Total equity 7.00%1.04B6.44%1.02B6.44%1.02B6.44%1B8.18%983.46M7.35%975.56M9.60%957.43M9.60%957.43M12.98%943.53M16.15%909.11M
Accounting Standards NonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAPNonUS-GAAP

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.