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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
002366 Taihai Manoir Nuclear Equipment
6.480
+0.090+1.41%
YOY
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(Q3)2023/03/31(FY)2022/12/31(Q9)2022/09/30(Q6)2022/06/30
Per Share Indicator
Net Asset Per Share
4,078.77% 2.1923 11,139.20% 2.1968 -119.09% -0.1446 -111.91% -0.0929
Basic Earning Per Share
75.00% -0.01 149.48% 0.48 31.58% -0.13 56.71% -0.0736
Diluted  Earning Per Share
75.00% -0.01 149.48% 0.48 31.58% -0.13 56.71% -0.0736
Earning Per Share
85.11% -0.0053 120.80% 0.201 32.41% -0.1272 55.45% -0.0736
Diluted Earning Per Share(TTM)
122.14% 0.2106 120.80% 0.201 41.59% -0.9052 48.58% -0.8746
Capital Surplus Funds Per Share
176.25% 2.3592 176.25% 2.3592 0.00% 0.854 0.00% 0.854
Undivided Profit Per Share
72.79% -0.3963 72.48% -0.391 -140.80% -1.5481 -141.09% -1.4945
Operating Cash Flow Per Share
7,325.00% 0.1485 -111.55% -0.0091 -77.66% 0.0021 51.64% -0.0059
Enterprise FCF Per Share
402.82% 0.1505 329.71% 0.1036 79.17% -0.0352 149.59% 0.0306
Shareholder FCF Per Share
229.98% 0.0685 117.57% 0.0126 88.54% -0.0214 130.70% 0.0229
EBIT Per Share
74.93% -0.0092 123.31% 0.214 40.09% -0.0973 60.49% -0.0586
Profitability
ROE Weighted
99.75% -0.240% -- 228.540% -- -- -- --
ROE
-- -0.240% -- 9.151% -- -- -- --
ROA
67.40% -0.210% 138.98% 6.255% 24.01% -2.301% 48.04% -1.368%
ROIC
62.32% -0.394% 147.64% 10.990% 24.31% -2.816% 50.77% -1.681%
Net Profit Ratio
53.44% -18.338% 135.41% 74.751% 32.66% -39.128% 45.87% -42.404%
Gross Income Ratio
93.68% -1.916% -9.18% -10.711% 41.87% -19.443% 53.04% -22.462%
EBIT To Total Operating Revenue
35.43% -25.149% 145.77% 89.207% 40.00% -28.777% 53.61% -31.540%
Period Costs Rate
6.71% 11.310% 1.39% 34.211% -29.85% 18.810% -34.95% 19.793%
Operating Expense Rate
146.24% 3.312% 148.02% 3.036% -7.84% 1.177% 4.54% 1.482%
Admini Expense Rate
45.53% 11.640% 10.05% 11.054% -25.46% 6.716% -28.93% 6.935%
Financial Expense Rate
-1,687.29% -6.930% -12.36% 14.489% 2.02% 10.351% 4.99% 10.884%
Recurrent Net Profit
70.17% -9.37M 17.40% -670.19M 34.13% -111.02M 54.98% -65.41M
Operating Profit Ratio
62.63% -14.747% 158.15% 118.735% 34.43% -38.727% 45.33% -42.797%
EBIT
39.91% -19.13M 155.95% 445.23M 40.06% -84.39M 60.51% -50.79M
Solvency
Current Ratio
479.66% 3.0082 416.73% 2.6688 -19.84% 0.5184 -20.73% 0.5155
Quick Ratio
548.42% 2.5488 492.25% 2.3803 -25.09% 0.3943 -27.07% 0.3898
Debt Equity Ratio
-99.38% 37.438% -98.89% 48.543% -- -- 1,796.47% 10820.452%
Interest Cover(T)
-- -- 158.01% 6.799 41.19% -2.7802 55.78% -2.9031
Shareholders Equity Without Minority Interests To Total Liabilities
27,054.00% 262.424% 57,512.23% 202.263% -118.22% -2.526% -111.38% -1.634%
Shareholders Equity Without Minority Interests To Interest Bear Debt
155,894.38% 2.53K% 320,909.94% 1.88K% -119.05% -4.2734% -111.64% -2.7439%
Long Debt To Working Capital
-- 0.1752 -- 0.2015 -- -- -- --
Growth Ability
Average Net Profit YOY Past Five Year
-7.21% -43.357% -116.06% -57.758% -137.57% -30.139% -108.61% -18.456%
Operating Capacity
Operating Cycle(D/T)
24.77% 1.26K -29.72% 705.3257 -15.32% 935.5779 -2.54% 1.08K
Inventory Turnover Days(D/T)
30.27% 626.079 -22.87% 335.3725 16.21% 437.5834 52.14% 519.6279
Accounts Receivable Turnover Days(D/T)
19.77% 633.5776 -34.96% 369.9531 -31.62% 497.9945 -27.00% 557.4178
Inventory turnover Rate(T)
-23.22% 0.1438 29.65% 1.0734 -13.95% 0.617 -34.27% 0.3464
Accounts Receivable Turnover Rate(T)
-16.46% 0.1421 53.75% 0.9731 46.22% 0.5422 37.00% 0.3229
Current Assets Turnover Rate(T)
-45.51% 0.0182 -5.03% 0.1435 20.28% 0.1192 2.49% 0.0659
Total Assets Turnover Rate(T)
-30.06% 0.0114 10.57% 0.0837 13.29% 0.0588 -3.58% 0.0323
Fixed Assets Turnover Rate(T)
-- -- 32.59% 0.3397 -- -- -6.99% 0.1078
Equity Turnover Rate(T)
-- 0.0167 -78.46% 0.2192 -- -- -- --
Cash Position
Free Cash Flow
827.45% 313.23M 651.61% 215.6M 79.16% -30.54M 149.60% 26.54M
Net Profit Cash Cover
-- -- -- -5.099% -- -- -- --
Operating Revenue Cash Cover
25.96% 78.204% -24.56% 62.998% -15.71% 65.038% 1.24% 74.753%
Operating Cash In To Assets
12,984.06% 4.648% -125.17% -0.319% -74.38% 0.037% 45.63% -0.102%
Dividend Ability
Retained Earning Ratio
-- -- -- 100.000% -- -- -- --
Capital Structure
Debt Assets Ratio
-72.31% 27.240% -66.57% 32.680% 16.97% 100.009% 16.45% 99.084%
Current Assets To Total Assets
23.08% 60.616% 34.01% 65.271% -6.49% 49.988% -6.66% 49.229%
Non Current Assets To Total Assets
-22.40% 39.384% -32.29% 34.729% 7.45% 50.012% 7.43% 50.771%
Fix Assets Ratio
-- -- -31.41% 20.662% -- -- 3.68% 29.724%
Interest Bearing Debt To Total Capital
-96.15% 3.742% -94.84% 4.969% 27.46% 100.015% 26.81% 98.472%
Yield Quality
Net Income From Value Changes To Total Profit
-- -- -- 449.728% -- -- -- --
Recurrent Net Profit To Net Profit
-- -- -- -179.635% -- -- -- --
Dupont Analysis
Equity Multipler_DuPont
-- 1.456% -80.50% 2.619% -- -- -- --
Net Profit of Parent Company OwnersTo Net Profit_DuPont
-18.30% 78.373% 15.35% 112.130% 0.45% 96.112% -3.31% 93.477%
Net Profit To Total Operating Revenue_DuPont
53.44% -18.338% 135.41% 74.751% 32.66% -39.128% 45.87% -42.404%
Net Profit To Total Profit_DuPont
-- -- -- 98.246% -- -- -- --
Total Profit To EBIT_DuPont
-- -- -- 85.292% -- -- -- --
EBIT To Total Operating Revenue_DuPont
35.43% -25.149% 145.77% 89.207% 40.00% -28.777% 53.61% -31.540%
Currency Unit
CNYCNYCNYCNY

Q6, Q9, and FY are cumulative quarterly reports: Q6 is the interim report; Q9 is third quarter report; FY is the annual report.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

Company Overview More
Energy equipment manufacturing; design, manufacture and technical services for special machinery, complete equipment, and metal products, and the sale of the company's own products listed above; international and domestic trade and technology import and export (laws and regulations restrict the implementation of goods according to regulations); investment and investment consulting permitted within the scope of national policies. (For projects requiring approval according to law, business activities can only be carried out after approval by the relevant departments).
CEO: --
Market: --
Listing Date: 03/12/2010
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