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00069 SHANGRI-LA ASIA

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  • 4.220
  • 0.0000.00%
Market to Open Apr 16 09:00 CST
15.13BMarket Cap12.09P/E (TTM)

SHANGRI-LA ASIA Key Stats

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YOY yoy
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(FY)Dec 31, 2024
(Q6)Jun 30, 2024
(FY)Dec 31, 2023
(Q6)Jun 30, 2023
(FY)Dec 31, 2022
(Q6)Jun 30, 2022
(FY)Dec 31, 2021
(Q6)Jun 30, 2021
(FY)Dec 31, 2020
(Q6)Jun 30, 2020
Assets
Current assets
Inventory
-2.61%29.27M
1.22%29.19M
-4.22%30.05M
7.13%28.84M
8.36%31.38M
-8.75%26.92M
-5.34%28.96M
-8.88%29.5M
-9.90%30.59M
-7.07%32.37M
Developing and for sale properties
0.87%52.58M
-0.15%52.74M
1.85%52.13M
-2.33%52.81M
-31.74%51.18M
-32.39%54.07M
-13.35%74.98M
-9.29%79.98M
-4.46%86.53M
-33.68%88.16M
Accounts receivable
-3.97%226.74M
3.96%257.05M
12.96%236.12M
15.86%247.25M
4.10%209.03M
-2.54%213.41M
-13.39%200.8M
-7.15%218.97M
-20.51%231.84M
-20.03%235.85M
Related party payments receivable
26.51%160.16M
11.30%158.2M
17.28%126.6M
-7.83%142.14M
-27.06%107.94M
-7.04%154.22M
18.86%147.99M
-11.73%165.9M
10.38%124.5M
50.96%187.94M
Cash and equivalents
108.67%1.82B
161.68%1.85B
15.64%870.8M
15.03%705.51M
1.00%753M
-11.22%613.33M
-19.35%745.54M
-21.07%690.88M
1.64%924.46M
5.27%875.29M
Short-term deposit
----
----
----
57.26%59.34M
----
-28.13%37.73M
-40.77%39.33M
-31.50%52.5M
-38.05%66.39M
-19.92%76.65M
Fixed time deposit-current assets
17.65%113.92M
--69.84M
645.27%96.83M
----
--12.99M
----
----
----
----
----
Financial assets at fair value-current assets
2.90%10.95M
-16.82%10.02M
-23.37%10.64M
-31.12%12.05M
-19.52%13.88M
-19.04%17.49M
6.01%17.25M
49.28%21.61M
-10.53%16.27M
-37.14%14.47M
Derivative financial instruments-current assets
-24.38%24.66M
-43.99%32.82M
-44.02%32.61M
65.84%58.59M
1,985.68%58.25M
51,101.45%35.33M
--2.79M
-82.31%69K
----
--390K
Special items of current assets
----
----
----
----
----
----
--86.43M
--77.57M
----
----
Total current assets
67.29%2.44B
87.98%2.46B
17.62%1.46B
13.36%1.31B
-7.92%1.24B
-13.80%1.15B
-9.22%1.34B
-11.52%1.34B
-5.45%1.48B
-1.71%1.51B
Non-current assets
Property, plant and equipment
-5.75%3.77B
-4.41%3.87B
-4.16%4B
-5.52%4.05B
-10.00%4.17B
-11.55%4.28B
-9.01%4.63B
-0.86%4.84B
0.04%5.09B
-5.97%4.89B
Investment property
-1.06%1.78B
2.20%1.79B
4.55%1.8B
4.68%1.76B
-1.94%1.72B
-3.04%1.68B
0.61%1.76B
4.13%1.73B
5.41%1.75B
4.73%1.66B
Advance payment
-8.98%11.48M
-9.82%11.23M
-6.47%12.62M
-1.79%12.45M
-9.37%13.49M
-17.35%12.67M
-9.41%14.88M
0.95%15.34M
9.79%16.43M
1.00%15.19M
Associated company interest
-0.56%4.28B
6.85%4.3B
4.35%4.3B
-3.94%4.03B
-4.99%4.12B
-1.79%4.19B
3.19%4.34B
12.60%4.27B
7.53%4.21B
-4.16%3.79B
Financial assets at fair value-non-current assets
-6.71%10.79M
-7.82%10.89M
-10.38%11.56M
-7.61%11.82M
2.19%12.9M
22.86%12.79M
26.92%12.63M
5.93%10.41M
0.83%9.95M
-1.34%9.83M
Derivative financial instruments-non-current assets
-40.48%25.1M
-30.13%46.3M
-43.75%42.17M
13.56%66.26M
3,746.84%74.98M
24,623.73%58.35M
--1.95M
-86.29%236K
----
--1.72M
Intangible assets
-1.46%103.13M
-3.80%100.23M
-3.81%104.66M
-1.34%104.19M
-1.11%108.8M
-6.15%105.6M
-4.66%110.02M
5.79%112.51M
6.49%115.4M
2.25%106.36M
Deferred tax assets
-4.30%73.33M
-8.45%72.55M
-11.45%76.63M
-1.15%79.24M
17.76%86.53M
36.25%80.17M
41.56%73.48M
39.84%58.84M
87.44%51.91M
68.33%42.07M
Total non-current assets
-3.01%11.06B
0.65%11.24B
0.10%11.41B
-3.14%11.17B
-6.05%11.4B
-6.29%11.53B
-3.17%12.13B
4.56%12.3B
3.06%12.53B
-3.77%11.77B
Total assets
4.94%13.5B
9.80%13.69B
1.81%12.86B
-1.64%12.47B
-6.24%12.63B
-7.03%12.68B
-3.81%13.47B
2.73%13.64B
2.08%14.01B
-3.54%13.28B
Liabilities
Current liabilities
Accounts payable
-6.22%599.33M
6.42%541.87M
10.33%639.05M
3.85%509.18M
-5.80%579.22M
-8.86%490.29M
2.23%614.87M
10.77%537.97M
-9.74%601.48M
-21.09%485.67M
Tax payable
-21.26%19.09M
27.82%21.85M
296.52%24.24M
5,242.19%17.1M
45.37%6.11M
-93.66%320K
-28.50%4.21M
-31.57%5.05M
-80.47%5.88M
-68.04%7.38M
Amounts payable to associated parties-current liabilities
14.31%51.42M
2.31%53.14M
-13.13%44.98M
-6.24%51.94M
3.52%51.78M
12.56%55.4M
10.25%50.02M
4.35%49.22M
14.77%45.37M
-17.91%47.17M
Bank loans and overdrafts
-54.18%232.15M
-18.64%484.53M
-46.81%506.6M
-5.34%595.55M
-10.32%952.44M
-33.47%629.13M
72.29%1.06B
126.45%945.61M
64.24%616.44M
-14.70%417.58M
Derivative financial instrument-current liabilities
-74.32%2.1M
122.10%11.81M
158.28%8.19M
70.33%5.32M
-83.85%3.17M
-89.52%3.12M
-44.45%19.62M
-3.82%29.79M
475.06%35.33M
484.16%30.97M
Financial lease liabilities-current liabilities
2.36%42.78M
-1.17%40.8M
-6.57%41.79M
5.71%41.29M
-6.95%44.73M
-32.79%39.06M
-27.04%48.07M
15.25%58.12M
27.69%65.89M
-3.03%50.43M
Special items of current liabilities
526.11%640.32M
----
--102.27M
--99.52M
----
----
--12.39M
--124K
----
----
Total current liabilities
15.42%1.69B
-11.27%1.26B
-14.98%1.47B
7.01%1.42B
-11.54%1.73B
-25.94%1.33B
26.66%1.95B
46.84%1.8B
14.67%1.54B
-18.22%1.22B
Net current assets
6,073.79%740.75M
1,113.95%1.19B
97.47%-12.4M
34.03%-117.6M
19.54%-489.21M
61.24%-178.27M
-902.25%-608.02M
-260.01%-459.92M
-127.34%-60.67M
598.74%287.43M
Total assets less current liabilities
3.59%11.8B
12.51%12.43B
4.47%11.39B
-2.66%11.05B
-5.34%10.91B
-4.16%11.35B
-7.58%11.52B
-1.75%11.84B
0.72%12.47B
-1.75%12.05B
Non-current liabilities
Long-term bank loan
20.49%4.71B
26.05%4.89B
10.79%3.91B
1.26%3.88B
3.71%3.53B
9.87%3.83B
-15.62%3.4B
-14.67%3.49B
0.83%4.03B
5.05%4.09B
Other loans-non-current liabilities
--38.45M
----
----
----
----
----
----
----
----
----
Financial lease liabilities-non-current liabilities
-4.62%506.06M
-2.36%519.48M
2.24%530.56M
1.78%532.01M
-9.07%518.96M
-11.35%522.73M
-5.14%570.73M
4.48%589.64M
2.23%601.64M
-3.68%564.34M
Deferred tax liability
5.06%321.3M
6.71%320.43M
3.49%305.82M
1.99%300.28M
-2.73%295.49M
-5.68%294.43M
-7.93%303.77M
-9.05%312.16M
-7.84%329.92M
-2.22%343.24M
Convertible notes and bonds
-33.99%771.29M
25.31%1.28B
3.16%1.17B
-6.50%1.02B
0.71%1.13B
-3.23%1.09B
4.92%1.12B
10.69%1.13B
23.49%1.07B
18.07%1.02B
Derivative financial instruments-non-current liabilities
54.41%21.1M
8.99%11.36M
77.47%13.67M
13.34%10.42M
-69.81%7.7M
-80.73%9.19M
-64.37%25.51M
-36.49%47.71M
356.85%71.58M
362.90%75.12M
Special items of non-current liabilities
----
----
----
----
----
0.00%46.55M
0.00%46.55M
0.00%46.55M
0.00%46.55M
30.14%46.55M
Total non-current liabilities
7.43%6.37B
22.25%7.02B
8.10%5.93B
-0.91%5.74B
0.18%5.48B
3.29%5.8B
-11.05%5.47B
-8.54%5.61B
4.74%6.15B
6.84%6.14B
Total liabilities
9.02%8.06B
15.59%8.28B
2.57%7.39B
0.57%7.17B
-2.90%7.21B
-3.80%7.13B
-3.50%7.42B
0.67%7.41B
6.59%7.69B
1.66%7.36B
Total assets less total liabilities
-0.56%5.44B
1.97%5.41B
0.80%5.47B
-4.48%5.31B
-10.34%5.42B
-10.86%5.55B
-4.19%6.05B
5.29%6.23B
-2.91%6.31B
-9.32%5.92B
Total equity and non-current liabilities
3.59%11.8B
12.51%12.43B
4.47%11.39B
-2.66%11.05B
-5.34%10.91B
-4.16%11.35B
-7.58%11.52B
-1.75%11.84B
0.72%12.47B
-1.75%12.05B
Equity
Share capital
0.00%3.2B
0.00%3.2B
0.00%3.2B
0.00%3.2B
0.00%3.2B
0.00%3.2B
0.00%3.2B
0.00%3.2B
0.00%3.2B
0.00%3.2B
Other reserves
-31.11%279.98M
-3.03%312.87M
-28.55%406.45M
-56.51%322.64M
-47.00%568.85M
-26.27%741.8M
8.86%1.07B
147.53%1.01B
50.82%985.88M
-39.71%406.44M
Retained profit
5.25%1.72B
3.11%1.67B
9.42%1.63B
8.90%1.62B
-6.44%1.49B
-18.52%1.48B
-15.23%1.59B
-11.52%1.82B
-19.74%1.88B
-12.10%2.06B
Special items of shareholders' rights and interests
13.10%-13.6M
-75.62%-17.67M
-156.01%-15.65M
-1,816.95%-10.06M
-113.82%-6.11M
82.99%-525K
32.99%-2.86M
38.47%-3.09M
28.74%-4.27M
-30.11%-5.02M
Shareholders' Equity
-0.74%5.18B
0.64%5.16B
-0.60%5.22B
-5.47%5.13B
-10.41%5.25B
-9.94%5.43B
-3.25%5.86B
6.44%6.03B
-2.07%6.06B
-8.89%5.66B
Non-controlling interest
3.27%253.64M
40.79%247.2M
44.08%245.62M
37.55%175.58M
-8.14%170.47M
-37.90%127.65M
-26.70%185.57M
-20.12%205.54M
-19.49%253.16M
-17.84%257.31M
Total equity
-0.56%5.44B
1.97%5.41B
0.80%5.47B
-4.48%5.31B
-10.34%5.42B
-10.86%5.55B
-4.19%6.05B
5.29%6.23B
-2.91%6.31B
-9.32%5.92B
Total equity and total liabilities
4.94%13.5B
9.80%13.69B
1.81%12.86B
-1.64%12.47B
-6.24%12.63B
-7.03%12.68B
-3.81%13.47B
2.73%13.64B
2.08%14.01B
-3.54%13.28B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
HKAS
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Unqualified Opinion
--
Auditor
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
PricewaterhouseCoopers
--
(FY)Dec 31, 2024(Q6)Jun 30, 2024(FY)Dec 31, 2023(Q6)Jun 30, 2023(FY)Dec 31, 2022(Q6)Jun 30, 2022(FY)Dec 31, 2021(Q6)Jun 30, 2021(FY)Dec 31, 2020(Q6)Jun 30, 2020
Assets
Current assets
Inventory -2.61%29.27M1.22%29.19M-4.22%30.05M7.13%28.84M8.36%31.38M-8.75%26.92M-5.34%28.96M-8.88%29.5M-9.90%30.59M-7.07%32.37M
Developing and for sale properties 0.87%52.58M-0.15%52.74M1.85%52.13M-2.33%52.81M-31.74%51.18M-32.39%54.07M-13.35%74.98M-9.29%79.98M-4.46%86.53M-33.68%88.16M
Accounts receivable -3.97%226.74M3.96%257.05M12.96%236.12M15.86%247.25M4.10%209.03M-2.54%213.41M-13.39%200.8M-7.15%218.97M-20.51%231.84M-20.03%235.85M
Related party payments receivable 26.51%160.16M11.30%158.2M17.28%126.6M-7.83%142.14M-27.06%107.94M-7.04%154.22M18.86%147.99M-11.73%165.9M10.38%124.5M50.96%187.94M
Cash and equivalents 108.67%1.82B161.68%1.85B15.64%870.8M15.03%705.51M1.00%753M-11.22%613.33M-19.35%745.54M-21.07%690.88M1.64%924.46M5.27%875.29M
Short-term deposit ------------57.26%59.34M-----28.13%37.73M-40.77%39.33M-31.50%52.5M-38.05%66.39M-19.92%76.65M
Fixed time deposit-current assets 17.65%113.92M--69.84M645.27%96.83M------12.99M--------------------
Financial assets at fair value-current assets 2.90%10.95M-16.82%10.02M-23.37%10.64M-31.12%12.05M-19.52%13.88M-19.04%17.49M6.01%17.25M49.28%21.61M-10.53%16.27M-37.14%14.47M
Derivative financial instruments-current assets -24.38%24.66M-43.99%32.82M-44.02%32.61M65.84%58.59M1,985.68%58.25M51,101.45%35.33M--2.79M-82.31%69K------390K
Special items of current assets --------------------------86.43M--77.57M--------
Total current assets 67.29%2.44B87.98%2.46B17.62%1.46B13.36%1.31B-7.92%1.24B-13.80%1.15B-9.22%1.34B-11.52%1.34B-5.45%1.48B-1.71%1.51B
Non-current assets
Property, plant and equipment -5.75%3.77B-4.41%3.87B-4.16%4B-5.52%4.05B-10.00%4.17B-11.55%4.28B-9.01%4.63B-0.86%4.84B0.04%5.09B-5.97%4.89B
Investment property -1.06%1.78B2.20%1.79B4.55%1.8B4.68%1.76B-1.94%1.72B-3.04%1.68B0.61%1.76B4.13%1.73B5.41%1.75B4.73%1.66B
Advance payment -8.98%11.48M-9.82%11.23M-6.47%12.62M-1.79%12.45M-9.37%13.49M-17.35%12.67M-9.41%14.88M0.95%15.34M9.79%16.43M1.00%15.19M
Associated company interest -0.56%4.28B6.85%4.3B4.35%4.3B-3.94%4.03B-4.99%4.12B-1.79%4.19B3.19%4.34B12.60%4.27B7.53%4.21B-4.16%3.79B
Financial assets at fair value-non-current assets -6.71%10.79M-7.82%10.89M-10.38%11.56M-7.61%11.82M2.19%12.9M22.86%12.79M26.92%12.63M5.93%10.41M0.83%9.95M-1.34%9.83M
Derivative financial instruments-non-current assets -40.48%25.1M-30.13%46.3M-43.75%42.17M13.56%66.26M3,746.84%74.98M24,623.73%58.35M--1.95M-86.29%236K------1.72M
Intangible assets -1.46%103.13M-3.80%100.23M-3.81%104.66M-1.34%104.19M-1.11%108.8M-6.15%105.6M-4.66%110.02M5.79%112.51M6.49%115.4M2.25%106.36M
Deferred tax assets -4.30%73.33M-8.45%72.55M-11.45%76.63M-1.15%79.24M17.76%86.53M36.25%80.17M41.56%73.48M39.84%58.84M87.44%51.91M68.33%42.07M
Total non-current assets -3.01%11.06B0.65%11.24B0.10%11.41B-3.14%11.17B-6.05%11.4B-6.29%11.53B-3.17%12.13B4.56%12.3B3.06%12.53B-3.77%11.77B
Total assets 4.94%13.5B9.80%13.69B1.81%12.86B-1.64%12.47B-6.24%12.63B-7.03%12.68B-3.81%13.47B2.73%13.64B2.08%14.01B-3.54%13.28B
Liabilities
Current liabilities
Accounts payable -6.22%599.33M6.42%541.87M10.33%639.05M3.85%509.18M-5.80%579.22M-8.86%490.29M2.23%614.87M10.77%537.97M-9.74%601.48M-21.09%485.67M
Tax payable -21.26%19.09M27.82%21.85M296.52%24.24M5,242.19%17.1M45.37%6.11M-93.66%320K-28.50%4.21M-31.57%5.05M-80.47%5.88M-68.04%7.38M
Amounts payable to associated parties-current liabilities 14.31%51.42M2.31%53.14M-13.13%44.98M-6.24%51.94M3.52%51.78M12.56%55.4M10.25%50.02M4.35%49.22M14.77%45.37M-17.91%47.17M
Bank loans and overdrafts -54.18%232.15M-18.64%484.53M-46.81%506.6M-5.34%595.55M-10.32%952.44M-33.47%629.13M72.29%1.06B126.45%945.61M64.24%616.44M-14.70%417.58M
Derivative financial instrument-current liabilities -74.32%2.1M122.10%11.81M158.28%8.19M70.33%5.32M-83.85%3.17M-89.52%3.12M-44.45%19.62M-3.82%29.79M475.06%35.33M484.16%30.97M
Financial lease liabilities-current liabilities 2.36%42.78M-1.17%40.8M-6.57%41.79M5.71%41.29M-6.95%44.73M-32.79%39.06M-27.04%48.07M15.25%58.12M27.69%65.89M-3.03%50.43M
Special items of current liabilities 526.11%640.32M------102.27M--99.52M----------12.39M--124K--------
Total current liabilities 15.42%1.69B-11.27%1.26B-14.98%1.47B7.01%1.42B-11.54%1.73B-25.94%1.33B26.66%1.95B46.84%1.8B14.67%1.54B-18.22%1.22B
Net current assets 6,073.79%740.75M1,113.95%1.19B97.47%-12.4M34.03%-117.6M19.54%-489.21M61.24%-178.27M-902.25%-608.02M-260.01%-459.92M-127.34%-60.67M598.74%287.43M
Total assets less current liabilities 3.59%11.8B12.51%12.43B4.47%11.39B-2.66%11.05B-5.34%10.91B-4.16%11.35B-7.58%11.52B-1.75%11.84B0.72%12.47B-1.75%12.05B
Non-current liabilities
Long-term bank loan 20.49%4.71B26.05%4.89B10.79%3.91B1.26%3.88B3.71%3.53B9.87%3.83B-15.62%3.4B-14.67%3.49B0.83%4.03B5.05%4.09B
Other loans-non-current liabilities --38.45M------------------------------------
Financial lease liabilities-non-current liabilities -4.62%506.06M-2.36%519.48M2.24%530.56M1.78%532.01M-9.07%518.96M-11.35%522.73M-5.14%570.73M4.48%589.64M2.23%601.64M-3.68%564.34M
Deferred tax liability 5.06%321.3M6.71%320.43M3.49%305.82M1.99%300.28M-2.73%295.49M-5.68%294.43M-7.93%303.77M-9.05%312.16M-7.84%329.92M-2.22%343.24M
Convertible notes and bonds -33.99%771.29M25.31%1.28B3.16%1.17B-6.50%1.02B0.71%1.13B-3.23%1.09B4.92%1.12B10.69%1.13B23.49%1.07B18.07%1.02B
Derivative financial instruments-non-current liabilities 54.41%21.1M8.99%11.36M77.47%13.67M13.34%10.42M-69.81%7.7M-80.73%9.19M-64.37%25.51M-36.49%47.71M356.85%71.58M362.90%75.12M
Special items of non-current liabilities --------------------0.00%46.55M0.00%46.55M0.00%46.55M0.00%46.55M30.14%46.55M
Total non-current liabilities 7.43%6.37B22.25%7.02B8.10%5.93B-0.91%5.74B0.18%5.48B3.29%5.8B-11.05%5.47B-8.54%5.61B4.74%6.15B6.84%6.14B
Total liabilities 9.02%8.06B15.59%8.28B2.57%7.39B0.57%7.17B-2.90%7.21B-3.80%7.13B-3.50%7.42B0.67%7.41B6.59%7.69B1.66%7.36B
Total assets less total liabilities -0.56%5.44B1.97%5.41B0.80%5.47B-4.48%5.31B-10.34%5.42B-10.86%5.55B-4.19%6.05B5.29%6.23B-2.91%6.31B-9.32%5.92B
Total equity and non-current liabilities 3.59%11.8B12.51%12.43B4.47%11.39B-2.66%11.05B-5.34%10.91B-4.16%11.35B-7.58%11.52B-1.75%11.84B0.72%12.47B-1.75%12.05B
Equity
Share capital 0.00%3.2B0.00%3.2B0.00%3.2B0.00%3.2B0.00%3.2B0.00%3.2B0.00%3.2B0.00%3.2B0.00%3.2B0.00%3.2B
Other reserves -31.11%279.98M-3.03%312.87M-28.55%406.45M-56.51%322.64M-47.00%568.85M-26.27%741.8M8.86%1.07B147.53%1.01B50.82%985.88M-39.71%406.44M
Retained profit 5.25%1.72B3.11%1.67B9.42%1.63B8.90%1.62B-6.44%1.49B-18.52%1.48B-15.23%1.59B-11.52%1.82B-19.74%1.88B-12.10%2.06B
Special items of shareholders' rights and interests 13.10%-13.6M-75.62%-17.67M-156.01%-15.65M-1,816.95%-10.06M-113.82%-6.11M82.99%-525K32.99%-2.86M38.47%-3.09M28.74%-4.27M-30.11%-5.02M
Shareholders' Equity -0.74%5.18B0.64%5.16B-0.60%5.22B-5.47%5.13B-10.41%5.25B-9.94%5.43B-3.25%5.86B6.44%6.03B-2.07%6.06B-8.89%5.66B
Non-controlling interest 3.27%253.64M40.79%247.2M44.08%245.62M37.55%175.58M-8.14%170.47M-37.90%127.65M-26.70%185.57M-20.12%205.54M-19.49%253.16M-17.84%257.31M
Total equity -0.56%5.44B1.97%5.41B0.80%5.47B-4.48%5.31B-10.34%5.42B-10.86%5.55B-4.19%6.05B5.29%6.23B-2.91%6.31B-9.32%5.92B
Total equity and total liabilities 4.94%13.5B9.80%13.69B1.81%12.86B-1.64%12.47B-6.24%12.63B-7.03%12.68B-3.81%13.47B2.73%13.64B2.08%14.01B-3.54%13.28B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards HKASHKASHKASHKASHKASHKASHKASHKASHKASHKAS
Audit Opinions Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--Unqualified Opinion--
Auditor PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--PricewaterhouseCoopers--

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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