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Trade China Literature Limited - 0772 CFD

24.0
2.44%
Market Trading Hours* (UTC) Opens on Monday at 01:30

Mon - Fri: 01:30 - 04:00 05:00 - 08:00

  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
Trading сonditions
Spread 0.7
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.022705 %
Charges from full value of position ($-4.31)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
-0.022705%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee 0.000787 %
Charges from full value of position ($0.15)
Trade size with leverage ~ $20,000.00
Money from leverage ~ $19,000.00

Go to platform
0.000787%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency HKD
Margin 5%
Stock exchange Hong Kong
Commission on trade 0%

*Information provided by Capital.com

China Literature Ltd ESG Risk Ratings

High Medium Low Negligible

‘B’ score indicates good relative ESG performance and above average degree of transparency in reporting material ESG data publicly.

More ESG coverage

Key Stats
Prev. Close* 24.6
Open* 24.2
1-Year Change* -36.32%
Day's Range* 23.7 - 24.3
52 wk Range 25.20-45.75
Average Volume (10 days) 3.74M
Average Volume (3 months) 67.82M
Market Cap 27.84B
P/E Ratio 33.66
Shares Outstanding 1.02B
Revenue 7.41B
EPS 0.81
Dividend (Yield %) N/A
Beta 1.32
Next Earnings Date Mar 18, 2024

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
Apr 19, 2024 23.8 -0.7 -2.86% 24.5 24.6 23.7
Apr 18, 2024 24.6 -0.6 -2.38% 25.2 25.4 24.5
Apr 17, 2024 25.4 0.1 0.40% 25.3 25.7 25.0
Apr 16, 2024 25.4 -0.4 -1.55% 25.8 26.0 25.2
Apr 15, 2024 26.1 0.0 0.00% 26.1 26.5 25.6
Apr 12, 2024 26.5 -0.8 -2.93% 27.3 27.8 26.5
Apr 11, 2024 27.5 1.5 5.77% 26.0 27.6 25.8
Apr 10, 2024 26.6 -0.2 -0.75% 26.8 27.2 26.4
Apr 9, 2024 27.0 1.3 5.06% 25.7 27.1 25.7
Apr 8, 2024 26.1 1.3 5.24% 24.8 26.4 24.4
Apr 5, 2024 24.9 -0.1 -0.40% 25.0 25.2 24.5
Apr 3, 2024 24.9 -0.9 -3.49% 25.8 26.1 24.8
Apr 2, 2024 25.7 -0.3 -1.15% 26.0 26.4 25.3
Mar 28, 2024 25.8 -0.5 -1.90% 26.3 26.5 25.7
Mar 27, 2024 26.0 0.5 1.96% 25.5 26.6 25.1
Mar 26, 2024 25.8 0.0 0.00% 25.8 26.0 25.0
Mar 25, 2024 25.8 -1.9 -6.86% 27.7 27.7 25.7
Mar 22, 2024 26.8 -0.2 -0.74% 27.0 27.2 25.9
Mar 21, 2024 27.2 -1.2 -4.23% 28.4 28.5 27.0
Mar 20, 2024 27.7 3.0 12.15% 24.7 28.2 24.5

China Literature Limited Events

Time (UTC) Country Event
Tuesday, May 21, 2024

Time (UTC)

07:00

Country

HK

Event

China Literature Ltd Annual Shareholders Meeting
China Literature Ltd Annual Shareholders Meeting

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total revenue 7625.62 8668.24 8525.7 8347.77 5038.25
Revenue 7625.62 8668.24 8525.7 8347.77 5038.25
Cost of Revenue, Total 3595.52 4068.8 4291.62 4655.74 2480.27
Gross Profit 4030.1 4599.44 4234.08 3692.02 2557.98
Total Operating Expense 6996.79 6495.6 13000.4 7153.86 3923.3
Selling/General/Admin. Expenses, Total 2739.42 3244.5 2759.18 2542.67 1624.34
Research & Development 554.753 721.197 550.302 481.795 343.734
Depreciation / Amortization 60.909 58.96 62.468 59.758 51.507
Interest Expense (Income) - Net Operating 369.095 -175.731 -103.386 -418.76 -404.565
Unusual Expense (Income) 0.556 -1432.16 4944.68 -49.162 -133.661
Other Operating Expenses, Total -323.467 10.031 495.501 -118.181 -38.323
Operating Income 628.834 2172.64 -4474.67 1193.91 1114.95
Interest Income (Expense), Net Non-Operating 144.986 130.428 -64.052 -13.561 -33.728
Other, Net 0 -0.549 -3.422
Net Income Before Taxes 773.82 2303.07 -4538.72 1179.8 1077.8
Net Income After Taxes 607.628 1842.93 -4500.2 1112.13 912.398
Minority Interest 0.558 3.682 16.328 -16.181 -1.762
Net Income Before Extra. Items 608.186 1846.61 -4483.87 1095.95 910.636
Net Income 608.186 1846.61 -4483.87 1095.95 910.636
Income Available to Common Excl. Extra. Items 608.186 1846.61 -4483.87 1095.95 910.636
Income Available to Common Incl. Extra. Items 608.186 1846.61 -4483.87 1095.95 910.636
Diluted Net Income 608.186 1846.61 -4483.87 1095.95 909.086
Diluted Weighted Average Shares 1019.65 1016.96 999.997 1007.92 910.76
Diluted EPS Excluding Extraordinary Items 0.59647 1.81581 -4.48388 1.08734 0.99816
Dividends per Share - Common Stock Primary Issue
Diluted Normalized EPS 0.59689 0.6889 -1.26983 1.04136 0.87393
Dilution Adjustment -1.55
Jun 2023 Dec 2022 Jun 2022 Dec 2021 Jun 2021
Total revenue 3283.03 3538.41 4087.21 4326.1 4342.15
Revenue 3283.03 3538.41 4087.21 4326.1 4342.15
Cost of Revenue, Total 1678.26 1654.63 1940.89 2014.72 2054.08
Gross Profit 1604.76 1883.78 2146.33 2311.38 2288.06
Total Operating Expense 2972.08 3160.78 3836 3437.46 3058.15
Selling/General/Admin. Expenses, Total 1089.42 1299.39 1386.65 1727.52 1575.94
Research & Development 267.239 273.374 281.379 313.839 407.358
Interest Expense (Income) - Net Operating -40.97 47.064 322.031 -60.077 -115.654
Unusual Expense (Income) 25.304 37.384 77.466 -233.275 -1198.88
Other Operating Expenses, Total -47.176 -151.056 -172.411 -325.273 335.304
Operating Income 310.948 377.625 251.209 888.64 1284
Interest Income (Expense), Net Non-Operating 114.641 55.759 89.227 49.05 81.378
Other, Net
Net Income Before Taxes 425.589 433.384 340.436 937.69 1365.38
Net Income After Taxes 375.979 375.352 232.276 761.977 1080.95
Minority Interest 0.701 4.289 -3.731 1.89 1.792
Net Income Before Extra. Items 376.68 379.641 228.545 763.867 1082.74
Net Income 376.68 379.641 228.545 763.867 1082.74
Income Available to Common Excl. Extra. Items 376.68 379.641 228.545 763.867 1082.74
Income Available to Common Incl. Extra. Items 376.68 379.641 228.545 763.867 1082.74
Diluted Net Income 376.68 381.716 226.47 764.028 1082.58
Diluted Weighted Average Shares 1015.09 1024.91 1014.39 1018.96 1014.97
Diluted EPS Excluding Extraordinary Items 0.37108 0.37244 0.22326 0.74981 1.06661
Diluted Normalized EPS 0.3931 0.40403 0.27536 0.56378 0.13148
Dividends per Share - Common Stock Primary Issue 0 0 0
Dilution Adjustment 2.075 -2.075 0.161 -0.161
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Total Current Assets 12475.9 12730.3 11500.3 12190.5 14277.6
Cash and Short Term Investments 7513.75 7206.44 6256.91 6347.6 8850.59
Cash & Equivalents 5545.77 4528.41 2848.23 5931.85 8342.23
Short Term Investments 1967.99 2678.03 3408.68 415.752 508.365
Total Receivables, Net 2906.65 3337.29 3623.94 3634.86 2131.16
Accounts Receivable - Trade, Net 2047.59 2747.24 3296.29 3366.08 1830.4
Total Inventory 1700.68 1744.66 1212.33 1713.71 2986.75
Prepaid Expenses 215.321 280.734 279.315 318.652 268.4
Other Current Assets, Total 139.501 161.19 127.844 175.706 40.737
Total Assets 22734.5 23297.3 21315.8 26250 27834.6
Property/Plant/Equipment, Total - Net 315.999 326.588 122.865 134.151 47.696
Property/Plant/Equipment, Total - Gross
Accumulated Depreciation, Total
Goodwill, Net 6632.81 6632.81 6637.47 10653.3 10653.3
Intangibles, Net 788.832 822.692 1038.59 1515.47 1487.83
Long Term Investments 1879 2256.38 1513.89 1420.74 1125.06
Other Long Term Assets, Total 641.924 528.536 502.607 335.793 243.06
Total Current Liabilities 3983.76 4511.51 4217.16 5913.65 6596.31
Accounts Payable 1203.87 1127.37 1039.65 1020.68 1131.07
Accrued Expenses 620.762 624.721 503.883 537.152 1063.5
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 483.381 865.349 604.831 1358.63 1385.44
Other Current Liabilities, Total 1675.74 1894.07 2068.79 2997.19 3016.29
Total Liabilities 4777.14 6110.86 6222.25 6853.44 9431.13
Total Long Term Debt 134.595 584.392 726.324 34.371 380
Long Term Debt 0 382.542 691.494 0 380
Deferred Income Tax 139.563 149.286 187.603 322.631 449.808
Minority Interest -2.616 0.516 5 14.244 11.567
Other Liabilities, Total 521.842 865.155 1086.16 568.544 1993.44
Total Equity 17957.3 17186.5 15093.5 19396.6 18403.5
Common Stock 0.644 0.649 0.645 0.642 0.649
Additional Paid-In Capital 16223.3 16412.7 16259.7 16161.8 16456.6
Retained Earnings (Accumulated Deficit) 1384.3 537.252 -1497.49 2871.12 1638.5
Other Equity, Total 387.333 265.242 330.678 363.011 307.799
Total Liabilities & Shareholders’ Equity 22734.5 23297.3 21315.8 26250 27834.6
Total Common Shares Outstanding 1015.24 1022.03 1015.78 1012.34 906.417
ESOP Debt Guarantee -18.766 -17.45 -0.009 -0.019 -0.021
Capital Lease Obligations 134.595 201.85 34.83 34.371
Unrealized Gain (Loss) -19.449 -11.966
Jun 2023 Dec 2022 Jun 2022 Dec 2021 Jun 2021
Total Current Assets 11583.9 12475.9 12547.2 12730.3 12475.2
Cash and Short Term Investments 7061.15 7513.75 7155.11 7206.44 6912.4
Cash & Equivalents 3359.91 5545.77 4735.72 4528.41 4583.55
Short Term Investments 3701.24 1967.99 2419.39 2678.03 2328.84
Total Receivables, Net 2585.8 2906.65 3267.26 3337.29 3688.11
Accounts Receivable - Trade, Net 1820.84 2048.93 2541.3 2747.24 3357.99
Total Inventory 1602.66 1700.68 1682.72 1744.66 1532.4
Prepaid Expenses 188.928 215.321 301.982 280.734 215.8
Other Current Assets, Total 145.413 139.501 140.132 161.19 126.536
Total Assets 22374.1 22734.5 22775.3 23297.3 22609.4
Property/Plant/Equipment, Total - Net 347.19 315.999 294.533 326.588 137.002
Goodwill, Net 6632.81 6632.81 6632.81 6632.81 6632.81
Intangibles, Net 780.425 788.832 804.171 822.692 851.045
Long Term Investments 2402.48 1879 2017.45 2256.38 2004.86
Other Long Term Assets, Total 622.238 641.924 479.184 528.536 508.467
Total Current Liabilities 3203.6 3983.76 4314.25 4511.51 4519.01
Accounts Payable 1032.44 1203.87 1188.88 1127.37 1078.41
Accrued Expenses 419.681 620.762 458.718 624.721 481.917
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 61.714 483.381 678.648 865.349 790.235
Other Current Liabilities, Total 1689.77 1675.74 1988.01 1894.07 2168.45
Total Liabilities 3810.6 4777.14 5145.01 6110.86 6230.36
Total Long Term Debt 441.34 134.595 164.122 584.392 523.519
Long Term Debt 262.472 0 0 382.542 487.606
Capital Lease Obligations 178.868 134.595 164.122 201.85 35.913
Deferred Income Tax 137.266 139.563 144.014 149.286 156.105
Minority Interest 0.089 -2.616 0.466 0.516 2.704
Other Liabilities, Total 28.306 521.842 522.153 865.155 1029.03
Total Equity 18563.5 17957.3 17630.3 17186.5 16379.1
Common Stock 0.646 0.644 0.649 0.649 0.647
Additional Paid-In Capital 16310.6 16223.3 16403 16412.7 16459.7
Retained Earnings (Accumulated Deficit) 2270.99 1384.3 879.973 537.252 -361.024
Other Equity, Total 387.333 382.682 265.242 276.147
Total Liabilities & Shareholders’ Equity 22374.1 22734.5 22775.3 23297.3 22609.4
Total Common Shares Outstanding 1018.26 1015.24 1023.03 1022.03 1018.81
ESOP Debt Guarantee -18.766 -18.766 -17.45 -17.45 -12.208
Unrealized Gain (Loss) -19.449 -18.537 -11.966 15.843
Note Receivable - Long Term 5
  • Annual
  • Quarterly
2022 2021 2020 2019 2018
Net income/Starting Line 607.628 1842.93 -4500.2 1112.13 912.398
Cash From Operating Activities 1576.79 1118.47 1110.26 782.504 917.678
Cash From Operating Activities 116.538 99.339 85.971 83.757 17.874
Amortization 261.206 395.462 215.948 174.729 146.177
Non-Cash Items 786.779 -735.634 5791.36 172.767 -125.965
Cash Taxes Paid 268.277 525.167 140.675 159.541 129.92
Cash Interest Paid 49.593 63.681 67.415 174.848 46.249
Changes in Working Capital -195.364 -483.626 -482.822 -760.883 -32.806
Cash From Investing Activities 528.102 936.225 -4188.55 -1294.97 -176.628
Capital Expenditures -323.65 -239.122 -288.309 -216.587 -183.123
Other Investing Cash Flow Items, Total 851.752 1175.35 -3900.24 -1078.38 6.495
Cash From Financing Activities -1145.36 -349.987 -92.338 -1929.77 -179.524
Financing Cash Flow Items -70.397 -191.145 22.676 -1155.71 -106.897
Issuance (Retirement) of Stock, Net -211.832 0 -245.835 0
Issuance (Retirement) of Debt, Net -863.135 -158.842 -115.014 -528.222 -72.627
Foreign Exchange Effects 57.829 -24.525 87.013 31.855 278.272
Net Change in Cash 1017.35 1680.18 -3083.62 -2410.38 839.798
Dec 2022 Jun 2022 Dec 2021 Jun 2021 Dec 2020
Cash From Operating Activities 1576.79 706.767 1118.47 430.027 1110.26
Cash Taxes Paid 268.277 262.825 525.167 374.95 140.675
Cash Interest Paid 49.593 35.642 63.681 32.474 67.415
Changes in Working Capital 1576.79 706.767 1118.47 430.027 1110.26
Cash From Investing Activities 528.102 106.106 936.225 1449.71 -4188.55
Capital Expenditures -323.65 -136.603 -239.122 -117.778 -288.309
Other Investing Cash Flow Items, Total 851.752 242.709 1175.35 1567.48 -3900.24
Cash From Financing Activities -1145.36 -674.036 -349.987 -124.709 -92.338
Financing Cash Flow Items -70.397 -51.941 -191.145 -69.744 22.676
Issuance (Retirement) of Stock, Net -211.832 0
Issuance (Retirement) of Debt, Net -863.135 -622.095 -158.842 -54.965 -115.014
Foreign Exchange Effects 57.829 68.468 -24.525 -19.703 87.013
Net Change in Cash 1017.35 207.305 1680.18 1735.32 -3083.62

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China Literature Company profile

About China Literature Ltd

CHINA LITERATURE LIMITED is a company principally engaged in the operation of online literature platform. The Company’s platform provides online readers with easy access to Company’s vast and diverse content library and enables a greater number of writers to create and publish original literary content online. Additionally, the Company able to extend the monetization lifecycle of Company’s content for our writers through Company’s intellectual property operation by managing and licensing Company’s content for adaptation into other entertainment formats.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, China Literature Ltd revenues increased 2% to RMB8.67B. Net income totaled RMB1.85B vs. loss of RMB4.48B. Revenues reflect Online reading -on third party platform increase of 88% to RMB651.1M, Online reading -on Tencent products increase of 19% to RMB808.9M. Net Income reflects Impairment loss of goodwill decrease from RMB4.02B (expense) to RMB0K.

Industry: Digital Publishing

濱江大道5169號陸家嘴濱江中心n3棟
浦東新區
SHANGHAI
SHANGHAI
CN

Income Statement

  • Annual
  • Quarterly

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