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Tarena International Inc

Tarena International Inc (TEDU)

1.13
0.00
(0.00%)
Closed April 27 4:00PM
0.00
0.00
(0.00%)

Income Statement

Balance Sheet

Cash Flow

Quarter End Sep 2021Dec 2021Mar 2022Jun 2022Sep 2022Dec 2022Mar 2023Jun 2023
USD ($)CNY (元)CNY (元)CNY (元)CNY (元)CNY (元)CNY (元)CNY (元)
Total Assets 1.84B1.64B1.53B1.48B1.37B1.34B1.3B1.23B
Total Current Assets 589.63M619.33M595.3M615.99M540.32M667.55M659.36M632.71M
Cash and Equivalents 216.1M423.77M409.8M419.09M335.56M356.24M362.65M280.08M
Total Non-Current Assets 1.25B1.32B931.86M862.23M828.95M792.78M635.7M593.68M
Total Liabilities 3.25B3.23B3.1B3B2.86B2.84B2.85B2.78B
Total Current Liabilities 2.91B2.94B2.85B2.77B2.65B2.66B2.69B2.62B
Total Non-Current Liabilities 340.52M294.12M249.58M229.95M214.43M187.24M157.02M156.99M
Common Equity 429k429k429k432k433k433k435k436k
Retained Earnings -2.34B-2.52B-2.49B-2.45B-2.42B-2.44B-2.49B-2.48B
Year End December 30 2022 20152016201720182019202020212022
USD ($)CNY (元)CNY (元)CNY (元)CNY (元)CNY (元)CNY (元)CNY (元)
Total Assets 254.7M2.09B2.28B1.88B2.51B1.96B1.64B1.34B
Total Current Assets 204.34M1.45B1.49B925.57M801.26M536.25M619.33M667.55M
Cash and Equivalents 79.15M810.67M686.69M530.98M537.7M320.18M423.77M356.24M
Total Non-Current Assets 206.14M1.6B1.65B571.64M-403.06M-1.14B-1.59B-1.51B
Total Liabilities 48.55M486.79M628.46M1.31B2.92B3.1B3.23B2.84B
Total Current Liabilities 47.12M479.75M624.13M1.3B2.37B2.67B2.94B2.66B
Total Non-Current Liabilities 1.44M7.04M4.33M5.98M545.75M429.39M294.12M187.24M
Total Equity 206.14M1.6B1.65B571.64M-403.06M-1.14B-1.59B-1.51B
Common Equity 55k388k401k405k411k423k429k433k
Retained Earnings 73.96M638.17M759.89M-243.16M-1.28B-2.05B-2.52B-2.44B

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