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ZJLMF

ZHEJIANG LEAPMOTOR TECHNOLOGY C

Price Chart
Latest Quote

$5.25

-0.05 (-0.94%)
Current Price
Previous Close $5.30
Open $5.25
Day High $5.25
Day Low $5.25
Volume 500
Fetched: 2026-06-06T00:07:01
Stock Information
Note: Financial values converted from CNY to USD
Exchange PNK
Recent Price History
Date Close Volume
2026-06-05 $5.25 500
2026-06-04 $5.45 500
2026-06-03 $5.14 0
2026-06-02 $5.14 0
2026-06-01 $5.14 0
2026-05-29 $5.14 8,725
2026-05-28 $5.32 622
2026-05-27 $5.65 1,550
2026-05-26 $5.05 1,520
2026-05-22 $4.96 2,000
2026-05-21 $5.42 400
2026-05-20 $5.56 0
2026-05-19 $5.56 3,878
2026-05-18 $6.10 1,310
2026-05-15 $5.90 0
2026-05-14 $5.90 1,630
2026-05-13 $5.98 4,577
2026-05-12 $6.37 0
2026-05-11 $6.37 1,340
Period:
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $8,152,183,797 $4,342,792,764 $2,456,007,030 $2,106,713,219
Cost Of Revenue $8,152,183,797 $4,342,792,764 $2,456,007,030 $2,106,713,219
Total Revenue $9,539,170,415 $4,739,855,033 $2,467,865,442 $1,825,053,321
Operating Revenue $9,539,170,415 $4,739,855,033 $2,467,865,442 $1,825,053,321
Expenses
Interest Expense $15,609,867 $5,824,872 $10,642,361 $5,454,250
Total Expenses $9,526,071,490 $5,227,124,050 $3,116,709,186 $2,590,421,028
Other Non Operating Income Expenses $-576,784 $-560,132 $99,618 $-398,179
Net Non Operating Interest Income Expense $43,285,045 $45,484,605 $23,156,839 $15,658,792
Interest Expense Non Operating $15,609,867 $5,824,872 $10,642,361 $5,454,250
Operating Expense $1,373,887,693 $884,331,287 $660,702,156 $483,707,809
Other Operating Expenses $3,864,336 $696,297 $-3,684 -
Selling And Marketing Expense $538,495,675 $315,108,664 $264,547,798 $164,103,353
General And Administrative Expense $286,058,429 $167,558,016 $126,366,429 $124,095,102
Rent Expense Supplemental - - $9,546,412 $5,448,503
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $79,339,803 $-415,684,854 $-621,328,604 $-752,867,818
Net Interest Income $43,285,045 $45,484,605 $23,156,839 $15,658,792
Interest Income $58,894,911 $51,309,477 $33,799,199 $21,113,042
Normalized Income $58,451,639 $-431,482,720 $-626,091,052 $-755,298,888
Net Income From Continuing And Discontinued Operation $79,339,803 $-415,684,854 $-621,328,604 $-752,867,818
Total Operating Income As Reported $26,138,757 $-467,303,796 $-645,076,521 $-770,244,436
Net Income Common Stockholders $79,339,803 $-415,684,854 $-621,328,604 $-752,867,818
Net Income $79,339,803 $-415,684,854 $-621,328,604 $-752,867,818
Net Income Including Noncontrolling Interests $79,339,803 $-415,684,854 $-621,328,604 $-752,867,818
Net Income Continuous Operations $79,339,803 $-415,684,854 $-621,328,604 $-752,867,818
Pretax Income $79,339,803 $-415,673,064 $-621,317,404 $-752,860,744
Special Income Charges $-303,276 $-6,457,654 $-87,829 $45,830
Interest Income Non Operating $58,894,911 $51,309,477 $33,799,199 $21,113,042
Operating Income $13,098,925 $-487,269,017 $-648,843,744 $-765,367,707
Gross Profit $1,386,986,618 $397,062,270 $11,858,412 $-281,659,897
Depreciation And Amortization In Income Statement - - - -
Depreciation Income Statement - - - -
Other
Tax Effect Of Unusual Items $0 $5,265,956 $1,587,483 $810,357
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $247,387,658 $-332,074,873 $-528,428,772 $-689,393,853
Total Unusual Items $20,888,164 $21,063,822 $6,349,931 $3,241,427
Total Unusual Items Excluding Goodwill $20,888,164 $21,063,822 $6,349,931 $3,241,427
Reconciled Depreciation $173,326,152 $98,837,142 $88,596,202 $61,254,068
EBITDA (Bullshit earnings) $268,275,822 $-311,011,050 $-522,078,841 $-686,152,426
EBIT $94,949,670 $-409,848,193 $-610,675,043 $-747,406,494
Diluted NI Availto Com Stockholders $79,339,803 $-415,684,854 $-621,328,604 $-752,867,818
Otherunder Preferred Stock Dividend $0 $0 $0 $0
Tax Provision $0 $11,789 $11,200 $7,073
Other Special Charges $303,276 $6,457,654 $87,829 $-309,760
Research And Development $632,544,065 $426,826,190 $282,908,663 $207,878,826
Selling General And Administration $824,554,105 $482,666,680 $390,914,228 $288,198,455
Write Off - - $-3,684 $263,930
Rent And Landing Fees - - - -
Fetched: 2026-05-14
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $1,946,851,455 $1,350,989,921 $1,709,575,793 $1,092,438,085
Total Assets $9,257,156,106 $5,547,756,079 $4,193,020,155 $2,839,394,474
Total Non Current Assets $3,412,435,897 $1,649,578,891 $881,780,851 $829,579,820
Non Current Prepaid Assets $1,252,597 $1,443,876 $2,470,122 $3,751,602
Investmentin Financial Assets $1,510,111,916 $615,358,136 $116,963,108 $49,842,760
Goodwill And Other Intangible Assets $133,608,505 $133,067,530 $132,213,111 $124,622,077
Other Intangible Assets $133,608,505 $133,067,530 $132,213,111 $124,622,077
Current Assets $5,844,720,209 $3,898,177,188 $3,311,239,304 $2,009,814,655
Restricted Cash $463,962,014 $184,745,565 $412,602,138 $268,532,678
Prepaid Assets $67,415,372 $28,082,198 $25,392,946 $9,842,762
Inventory $670,284,967 $298,061,553 $253,388,925 $257,718,785
Other Receivables $4,113,382 $52,752,911 $4,100,709 $5,562,563
Taxes Receivable $182,841,323 $40,696,000 $35,920,952 $43,328,370
Accounts Receivable $766,912,380 $240,559,824 $135,323,089 $248,265,950
Allowance For Doubtful Accounts Receivable $-4,789,490 $-885,365 $-257,003 $-234,899
Gross Accounts Receivable $771,701,870 $241,445,190 $135,580,093 $248,500,849
Cash Cash Equivalents And Short Term Investments $3,689,190,771 $3,053,279,136 $2,444,510,545 $1,172,964,024
Cash And Cash Equivalents $1,618,783,567 $939,929,509 $1,728,788,867 $1,024,034,192
Cash Financial $1,618,783,567 $939,929,509 $1,728,788,867 $1,024,034,192
Other Current Assets - - $62,169,200 $56,770,654
Other Non Current Assets - - - $12,685,715
Debt
Total Debt $655,119,698 $398,853,484 $404,752,332 $325,663,196
Long Term Debt And Capital Lease Obligation $523,856,351 $190,893,755 $156,400,027 $153,584,188
Long Term Debt $339,932,341 $159,237,086 $127,314,130 $77,112,243
Current Debt And Capital Lease Obligation $131,263,348 $207,959,729 $248,352,305 $172,079,008
Current Debt $96,303,212 $182,414,261 $186,640,966 $113,254,242
Liabilities
Total Liabilities Net Minority Interest $7,176,696,147 $4,063,698,628 $2,351,231,250 $1,622,334,312
Total Non Current Liabilities Net Minority Interest $865,184,085 $383,285,616 $294,952,312 $258,125,216
Current Liabilities $6,311,512,061 $3,680,413,012 $2,056,278,939 $1,364,209,096
Payables $5,798,702,587 $3,187,347,417 $1,661,398,988 $1,087,616,470
Other Payable $874,825,105 $366,975,474 $197,143,625 $201,277,049
Total Tax Payable $46,337,256 $34,682,354 $13,177,028 $4,104,098
Accounts Payable $4,877,540,226 $2,785,689,589 $1,451,078,335 $882,235,323
Equity
Common Stock Equity $2,080,459,960 $1,484,057,451 $1,841,788,905 $1,217,060,162
Total Equity Gross Minority Interest $2,080,459,960 $1,484,057,451 $1,841,788,905 $1,217,060,162
Stockholders Equity $2,080,459,960 $1,484,057,451 $1,841,788,905 $1,217,060,162
Other Equity Interest $309,250,930 $291,513,564 $222,663,599 $119,834,061
Retained Earnings $-2,384,205,062 $-2,463,544,865 $-2,047,860,012 $-1,426,531,408
Long Term Equity Investment $34,093,486 $24,105,276 $6,522,642 $4,476,193
Preferred Securities Outside Stock Equity - - - -
Other
Ordinary Shares Number $209,524,540 $197,021,179 $197,021,179 $168,394,170
Share Issued $209,524,540 $197,021,179 $197,021,179 $168,394,170
Tangible Book Value $1,946,851,455 $1,350,989,921 $1,709,575,793 $1,092,438,085
Invested Capital $2,516,695,513 $1,825,708,798 $2,155,744,001 $1,407,426,647
Working Capital $-466,791,852 $217,764,176 $1,254,960,365 $645,605,559
Capital Lease Obligations $218,884,145 $57,202,137 $90,797,236 $135,296,711
Total Capitalization $2,420,392,301 $1,643,294,537 $1,969,103,034 $1,294,172,406
Additional Paid In Capital $3,961,099,273 $3,471,236,937 $3,471,236,937 $2,355,363,348
Capital Stock $209,524,591 $197,021,166 $197,021,166 $168,394,161
Common Stock $209,524,591 $197,021,166 $197,021,166 $168,394,161
Non Current Deferred Revenue $171,354,122 $93,380,534 $84,307,309 $78,320,631
Long Term Capital Lease Obligation $183,924,009 $31,656,669 $29,085,897 $76,471,945
Long Term Provisions $169,973,613 $99,011,327 $54,244,976 $26,220,397
Current Capital Lease Obligation $34,960,136 $25,545,468 $61,711,339 $58,824,766
Current Provisions $55,463,974 $28,002,179 $19,936,632 $13,329,256
Available For Sale Securities $1,510,111,916 $615,358,136 $116,963,108 $49,842,760
Investmentsin Associatesat Cost $34,093,486 $24,105,276 $6,522,642 $4,476,193
Net PPE $1,733,369,394 $875,604,073 $623,611,868 $543,732,121
Accumulated Depreciation $-325,342,384 $-198,633,921 $-155,032,633 $-95,126,507
Gross PPE $2,058,711,777 $1,074,237,995 $778,644,501 $638,858,628
Construction In Progress $355,559,155 $352,857,229 $201,156,505 $125,057,981
Other Properties $71,255,099 $52,963,937 $29,720,596 $24,527,770
Machinery Furniture Equipment $1,049,060,348 $476,235,698 $397,247,507 $335,613,828
Buildings And Improvements $582,837,175 $192,181,130 $150,519,893 $153,659,049
Properties $0 $0 $0 $0
Other Inventories $20,870,775 - - -
Finished Goods $262,968,052 $145,768,571 $148,854,234 $106,821,787
Raw Materials $386,446,140 $152,292,982 $104,534,691 $150,896,999
Other Short Term Investments $2,070,407,204 $2,113,349,626 $715,721,679 $148,929,832
Other Investments - - - $49,842,760
Treasury Stock - - - -
Fetched: 2026-05-14
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $1,152,935,584 $931,339,197 $-46,108,988 $-562,626,740
Operating Activities
Operating Cash Flow $1,860,173,348 $1,248,293,306 $159,385,040 $-353,639,881
Investing Activities
Capital Expenditure $-707,237,764 $-316,954,108 $-205,494,028 $-208,986,859
Investing Cash Flow $-1,633,693,306 $-1,963,335,193 $-716,245,854 $-190,355,285
Net Other Investing Changes $41,771,465 $5,245,435 - $17,394,302
Financing Activities
Issuance Of Capital Stock $441,078,242 $0 $1,146,168,759 $838,162,468
Financing Cash Flow $456,405,611 $-74,190,597 $1,260,215,821 $936,561,054
Net Other Financing Charges $-27,999,232 $-46,183,997 $43,708,275 -
Net Common Stock Issuance $441,078,242 $0 $1,146,168,759 $838,162,468
Common Stock Issuance $441,078,242 $0 $1,146,168,759 $838,162,468
Dividends Received Cfi $722,085 $0 - -
Other
Repayment Of Debt $-41,209,417 $-320,873,264 $-197,096,616 $-49,868,990
Issuance Of Debt $127,608,859 $306,222,740 $298,604,443 $184,777,396
End Cash Position $1,618,783,567 $939,929,509 $1,728,788,867 $1,024,034,192
Beginning Cash Position $939,929,509 $1,728,788,867 $1,024,034,192 $639,261,817
Effect Of Exchange Rate Changes $-4,031,595 $373,127 $1,399,667 $-7,793,513
Changes In Cash $682,885,653 $-789,232,484 $703,355,007 $392,565,888
Interest Paid Cff $-22,111,730 $-5,736,306 $-11,771,467 $-5,138,006
Net Issuance Payments Of Debt $86,399,441 $-14,650,525 $101,507,827 $134,908,406
Net Long Term Debt Issuance $86,399,441 $-14,650,525 $101,507,827 $134,908,406
Long Term Debt Payments $-41,209,417 $-320,873,264 $-197,096,616 $-49,868,990
Long Term Debt Issuance $127,608,859 $306,222,740 $298,604,443 $184,777,396
Interest Received Cfi $18,113,882 $13,374,496 $1,436,803 $1,149,000
Net Investment Purchase And Sale $-984,415,132 $-1,654,579,702 $-519,723,959 $-3,836,926
Sale Of Investment $6,469,948,664 $3,822,504,105 $218,424,516 $732,173,438
Purchase Of Investment $-7,454,363,796 $-5,477,083,806 $-738,148,474 $-736,010,364
Net Business Purchase And Sale $-7,220,855 $-15,616,498 $-1,444,171 $0
Purchase Of Business $-7,220,855 $-15,616,498 $-1,444,171 $0
Net Intangibles Purchase And Sale $-7,886,942 $-7,508,657 $-12,978,381 $-6,994,945
Purchase Of Intangibles $-7,886,942 $-7,508,657 $-12,978,381 $-6,994,945
Net PPE Purchase And Sale $-694,777,811 $-304,250,267 $-183,536,146 $-198,066,716
Sale Of PPE $4,573,011 $5,195,184 $8,979,501 $3,925,198
Purchase Of PPE $-699,350,822 $-309,445,451 $-192,515,647 $-201,991,914
Taxes Refund Paid $0 $-15,768 $-10,168 $-2,358
Interest Received Cfo $26,666,027 $41,573,997 $26,494,200 $16,434,960
Change In Working Capital $1,440,383,365 $1,487,142,377 $580,714,244 $214,586,263
Change In Other Current Assets $-410,675,202 $351,818,016 $-178,948,693 $-89,583,691
Change In Payable $2,564,384,542 $1,555,583,111 $623,801,378 $604,631,188
Change In Inventory $-376,792,152 $-26,596,029 $32,203,980 $-151,139,561
Change In Receivables $-314,837,072 $-382,484,543 $115,241,156 $-134,446,861
Other Non Cash Items $-47,163,086 $-55,648,032 $-27,907,424 $-20,635,434
Stock Based Compensation $79,413,191 $68,849,965 $102,829,538 $80,074,415
Provisionand Write Offof Assets $120,120,832 $64,010,076 $46,215,533 $40,889,195
Depreciation And Amortization $173,326,152 $98,837,142 $88,596,202 $61,254,068
Amortization Cash Flow $5,835,629 $5,191,058 $4,011,995 $3,050,885
Depreciation $167,490,523 $93,646,085 $84,584,207 $58,203,183
Gain Loss On Investment Securities $-21,191,440 $-27,521,477 $-6,437,760 $-3,195,597
Net Foreign Currency Exchange Gain Loss $4,031,595 $-373,127 $-1,399,667 $7,719,978
Gain Loss On Sale Of PPE $303,276 $6,457,654 $87,829 $-309,760
Net Income From Continuing Operations $79,339,803 $-415,673,064 $-621,317,404 $-752,860,744
Sale Of Business - - - $0
Sale Of Intangibles - - - -
Fetched: 2026-05-14