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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
600570 Hundsun Technologies Inc.
42.280
-0.710-1.65%
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
-4.67% 3.7121 -7.99% 3.5851 -1.65% 3.0076 -10.56% 3.9039
Basic Earning Per Share
500.00% 0.12 -43.56% 0.57 -97.87% 0.01 -110.20% -0.05
Diluted  Earning Per Share
500.00% 0.12 -43.56% 0.57 -97.87% 0.01 -110.20% -0.05
Earning Per Share
513.07% 0.1169 -42.65% 0.5743 -98.72% 0.006 -109.56% -0.0655
Diluted Earning Per Share(TTM)
-16.88% 0.7129 -42.65% 0.5743 -61.49% 0.4164 -72.47% 0.4465
Capital Surplus Funds Per Share
14.61% 0.2526 24.76% 0.2328 -52.97% 0.1842 -44.04% 0.2837
Undivided Profit Per Share
-9.06% 2.2746 -14.68% 2.1582 -21.35% 1.6442 -28.70% 2.464
Operating Cash Flow Per Share
26.68% -0.5381 -8.49% 0.599 23.30% -0.3151 1.30% -0.7386
Enterprise FCF Per Share
-15.33% -0.5733 -49.32% 0.645 -157.78% -0.3319 -158.24% -0.5246
Shareholder FCF Per Share
-11.67% -0.5609 -70.26% 0.4402 -138.71% -0.332 -129.05% -0.3688
EBIT Per Share
368.57% 0.1222 -42.80% 0.5882 -100.43% -0.0022 -110.41% -0.0746
Profitability
ROE Weighted
545.83% 3.210% -42.34% 17.360% -98.73% 0.200% -110.32% -1.670%
ROE
533.92% 3.149% -37.67% 16.018% -98.69% 0.201% -110.70% -1.679%
ROA
517.54% 1.769% -33.94% 8.928% -97.75% 0.157% -110.61% -0.776%
ROIC
372.10% 2.675% -37.27% 15.415% -100.49% -0.062% -112.04% -1.587%
Net Profit Ratio
492.68% 19.795% -36.48% 17.222% -97.82% 0.492% -110.68% -3.805%
Gross Income Ratio
-2.86% 68.343% 0.79% 73.564% -0.22% 71.613% -2.50% 72.469%
EBIT To Total Operating Revenue
400.84% 20.555% -37.15% 17.188% -100.47% -0.112% -112.54% -4.571%
Period Costs Rate
-6.73% 69.870% -3.66% 59.201% 1.00% 68.756% 10.36% 72.873%
Operating Expense Rate
0.05% 10.210% -6.51% 9.490% -7.16% 12.416% 4.25% 14.836%
Admini Expense Rate
-0.87% 13.270% 7.95% 13.383% 15.61% 14.363% 24.22% 14.350%
Financial Expense Rate
-470.18% -1.472% 1,581.21% 0.244% 92.31% -0.011% 165.20% 0.043%
Recurrent Net Profit
386.09% 74.75M 20.90% 1.14B 20.48% 330.32M -63.56% 109.2M
Operating Profit Ratio
431.29% 21.952% -37.10% 17.286% -100.44% -0.106% -112.39% -4.544%
EBIT
449.11% 232.19M -25.64% 1.12B -100.56% -4.19M -114.58% -109.04M
Solvency
Current Ratio
23.43% 1.1566 23.75% 1.135 10.68% 0.9455 4.94% 0.9327
Quick Ratio
24.27% 1.0133 24.00% 1.0318 8.88% 0.8135 2.29% 0.8035
Debt Equity Ratio
-25.19% 58.899% -21.59% 73.987% -20.62% 81.561% -15.53% 81.960%
Shareholders Equity Without Minority Interests To Total Liabilities
32.97% 154.909% 26.84% 123.176% 29.67% 112.466% 21.27% 111.998%
Shareholders Equity Without Minority Interests To Interest Bear Debt
224.66% 3.36K% 257.11% 3.63K% 62.60% 1.09K% 6.56% 760.7169%
Long Debt To Working Capital
-- 0.507 -- 0.4022 -- -- -- --
Growth Ability
Average Net Profit YOY Past Five Year
-8.76% 173.815% 4.22% 527.321% 19.28% 40.425% 104.28% 51.062%
Sustainable Grow Rate
-- 3.283% -48.35% 15.215% -97.91% 0.323% -- --
Operating Capacity
Operating Cycle(D/T)
-6.75% 219.8229 7.69% 152.2499 7.11% 198.3777 10.11% 212.1132
Inventory Turnover Days(D/T)
-9.16% 144.2019 6.38% 105.5929 6.55% 138.4787 7.40% 147.9777
Accounts Receivable Turnover Days(D/T)
-1.77% 75.621 10.77% 46.657 8.42% 59.899 16.93% 64.1355
Inventory turnover Rate(T)
10.07% 0.6241 -6.00% 3.4093 -6.14% 1.9498 -6.89% 1.2164
Accounts Receivable Turnover Rate(T)
1.80% 1.1901 -9.72% 7.7159 -7.77% 4.5076 -14.47% 2.8066
Current Assets Turnover Rate(T)
-0.62% 0.2086 8.61% 1.1835 13.79% 0.7879 10.21% 0.5043
Total Assets Turnover Rate(T)
6.31% 0.0893 4.03% 0.5184 3.13% 0.3195 -0.58% 0.204
Fixed Assets Turnover Rate(T)
-- -- -22.79% 3.944 -- -- -57.83% 1.4335
Equity Turnover Rate(T)
-4.74% 0.1629 -3.06% 1.0398 -5.29% 0.6551 -7.10% 0.4185
Cash Position
Free Cash Flow
-49.92% -1.09B -34.12% 1.23B -175.11% -630.55M -181.53% -766.71M
Net Profit Cash Cover
-- -457.184% 58.30% 101.641% -3,717.56% -3254.767% -- --
Operating Revenue Cash Cover
21.27% 77.849% -3.41% 102.711% 1.25% 96.270% -0.68% 79.434%
Operating Cash In To Assets
12.68% -8.085% 4.62% 9.075% 14.10% -5.119% -18.14% -9.230%
Dividend Ability
Dividend Per Share
-- -- 30.00% 0.13 -- -- -- --
Dividend Cover(T)
-- -- -55.86% 4.4204 -- -- -- --
Cash Dividend Cover(T)
-- -- -29.56% 4.6113 -- -- -- --
Dividend Paid Ratio
-- -- 126.54% 22.622% -- -- -- --
Retained Earning Ratio
-- 100.000% -14.04% 77.378% 0.00% 100.000% -- --
Capital Structure
Debt Assets Ratio
-15.85% 37.067% -12.41% 42.524% -11.36% 44.922% -8.54% 45.043%
Current Assets To Total Assets
3.83% 39.718% 9.84% 45.780% 1.01% 39.351% 0.12% 39.133%
Non Current Assets To Total Assets
-2.37% 60.282% -7.03% 54.220% -0.64% 60.649% -0.08% 60.867%
Fix Assets Ratio
-- -- -10.52% 12.441% -- -- 98.78% 14.580%
Interest Bearing Debt To Total Capital
-67.52% 2.647% -70.38% 2.452% -33.84% 7.795% -3.45% 10.767%
Yield Quality
Invest Revenue From Associates To Total Profit
-- 16.068% 71.23% 10.358% -- -- -- --
Net Income From Value Changes To Total Profit
-- 83.655% -81.95% 8.252% -- -- -- --
Recurrent Net Profit To Net Profit
-- 33.427% 60.88% 102.197% 4,512.56% 1795.914% -- --
Dupont Analysis
Equity Multipler_DuPont
-10.37% 1.824% -6.82% 2.006% -8.19% 2.050% -6.54% 2.052%
Net Profit of Parent Company OwnersTo Net Profit_DuPont
18.01% 99.310% -0.80% 97.434% -35.65% 62.488% 7.93% 105.528%
Net Profit To Total Operating Revenue_DuPont
492.68% 19.795% -36.47% 17.222% -97.82% 0.492% -110.68% -3.805%
Net Profit To Total Profit_DuPont
-- 89.866% 0.89% 99.577% -- -- -- --
Total Profit To EBIT_DuPont
-- 107.162% 0.18% 100.623% -- -- -- --
EBIT To Total Operating Revenue_DuPont
400.84% 20.555% -37.15% 17.188% -100.47% -0.112% -112.54% -4.571%
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
Technology development, consulting, service and transfer of results of computer software; computer system integration; automated control engineering design, contracting and installation; sale of computers and accessories; production and sale of electronic equipment, communication equipment, computer hardware and external equipment; leasing of own housing; export business of the enterprise's own products and technology: operating the import business of raw and auxiliary materials, machinery and equipment, instruments, spare parts and technology required for the enterprise's production and scientific research (excluding the import and export of goods and technology prohibited by the country); operation of input processing and “three to one supplement” business. With the approval of relevant government departments and registration procedures for business, the company may set up additional investment and business projects required for business development and expand the scope of business.
CEO: --
Market: --
Listing Date: 12/16/2003
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