End-of-day quote
Shenzhen S.E.
23:00:00 14/05/2024 BST
5-day change
1st Jan Change
8.54
CNY
+0.83%
+2.77%
-3.61%
Fiscal Period: December
2018
2019
2020
2021
2022
2023
Capitalization
1
5,137
5,284
6,734
6,497
6,475
4,922
Enterprise Value (EV)
1
1,748
4,184
6,153
8,017
8,874
7,307
P/E ratio
9.23
x
6.86
x
9.08
x
6.92
x
12.8
x
11.4
x
Yield
3.27%
3.83%
3.37%
5.83%
3.11%
3.52%
Capitalization / Revenue
1.84
x
1.33
x
1.64
x
1.45
x
1.75
x
1.66
x
EV / Revenue
0.63
x
1.06
x
1.5
x
1.78
x
2.39
x
2.46
x
EV / EBITDA
2.35
x
3.53
x
5.23
x
5.98
x
12.7
x
77.7
x
EV / FCF
1.49
x
-2.39
x
-43.7
x
-5.02
x
-23.5
x
-19.7
x
FCF Yield
67.1%
-41.9%
-2.29%
-19.9%
-4.25%
-5.07%
Price to Book
1.64
x
1.78
x
1.95
x
1.55
x
1.57
x
1.13
x
Nbr of stocks (in thousands)
595,979
595,979
595,979
595,979
595,979
595,979
Reference price
2
9.180
9.410
12.17
11.66
11.59
8.860
Announcement Date
29/03/19
17/03/20
30/03/21
29/03/22
24/03/23
29/03/24
Fiscal Period: December
2018
2019
2020
2021
2022
2023
Net sales
1
2,787
3,962
4,104
4,492
3,709
2,965
EBITDA
1
744.1
1,184
1,177
1,342
698.7
93.98
EBIT
1
716.4
1,135
1,132
1,289
609.1
38.7
Operating Margin
25.7%
28.65%
27.57%
28.71%
16.42%
1.31%
Earnings before Tax (EBT)
1
777.5
1,005
1,034
1,314
750.7
707.5
Net income
1
592.7
817.8
798.6
1,004
537.7
464
Net margin
21.27%
20.64%
19.46%
22.35%
14.5%
15.65%
EPS
2
0.9945
1.372
1.340
1.685
0.9022
0.7786
Free Cash Flow
1
1,174
-1,754
-140.7
-1,598
-377.1
-370.5
FCF margin
42.1%
-44.27%
-3.43%
-35.57%
-10.17%
-12.5%
FCF Conversion (EBITDA)
157.71%
-
-
-
-
-
FCF Conversion (Net income)
197.99%
-
-
-
-
-
Dividend per Share
2
0.3000
0.3600
0.4100
0.6800
0.3610
0.3120
Announcement Date
29/03/19
17/03/20
30/03/21
29/03/22
24/03/23
29/03/24
Fiscal Period: December
2018
2019
2020
2021
2022
2023
Net Debt
1
-
-
-
1,520
2,398
2,385
Net Cash position
1
3,388
1,100
582
-
-
-
Leverage (Debt/EBITDA)
-
-
-
1.133
x
3.432
x
25.38
x
Free Cash Flow
1
1,174
-1,754
-141
-1,598
-377
-371
ROE (net income / shareholders' equity)
18.9%
20.8%
20.8%
23.7%
11.6%
9.81%
ROA (Net income/ Total Assets)
7.99%
7.97%
6.16%
6.02%
2.49%
0.15%
Assets
1
7,423
10,259
12,974
16,687
21,636
314,800
Book Value Per Share
2
5.600
5.280
6.260
7.530
7.400
7.820
Cash Flow per Share
2
5.690
5.530
7.060
3.640
2.550
4.610
Capex
1
17.2
62.2
48.5
22.6
17.7
7.64
Capex / Sales
0.62%
1.57%
1.18%
0.5%
0.48%
0.26%
Announcement Date
29/03/19
17/03/20
30/03/21
29/03/22
24/03/23
29/03/24
1st Jan change
Capi.
-3.61% 659M -0.89% 27.83B +12.03% 22.1B -22.02% 10.6B +10.07% 9.89B -16.46% 9.8B -5.52% 6.71B -5.14% 5.87B +38.63% 4.49B +5.37% 2.61B
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