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成功领取价值超 5000港元/年的高级行情
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多维分析
公司估值 资金追踪 卖空分析
01777 花样年控股
0.2000.0000.00%
显示同比
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隐藏空行
(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30(FY)2019/12/31
Per Share IndicaTor
Operating Cash Flow Per Share
-312.2% -0.8952 386.95% 0.7314 1335.37% 0.4219 -357.12% -0.2549
Cash Flow Per Share
22.09% 0.4715 184.14% 0.953 178.67% 0.3861 -148.12% -1.1326
Operating Income Per Share
30% 2.2801 21.31% 4.4804 3.73% 1.7539 33.34% 3.6933
Net Asset Per Share
16.11% 2.985 12.52% 2.9917 1.36% 2.5708 3.32% 2.6587
Basic Earning Per Share
74.19% 0.0318 19.01% 0.2013 -9.13% 0.0183 17.24% 0.1691
Diluted  Earning Per Share
74.59% 0.0317 18.92% 0.2002 -9.17% 0.0182 17.25% 0.1683
Profitability
Gross Profit Ratio
-38.18% 20.794% -12.19% 24.561% 13.74% 33.638% -6.5% 27.971%
Operating Profit Ratio
-14.99% 20.132% -43.46% 13.892% -4.15% 23.680% 7.25% 24.570%
Net Profit Ratio
-7.58% 2.766% 2.26% 8.049% 5.21% 2.993% -5.76% 7.871%
Earning Before Tax Ratio
-34.67% 10.023% -8.98% 18.044% 4.31% 15.344% -8.7% 19.824%
ROE
52.37% 1.064% 10.19% 7.125% -11.35% 0.699% 16.74% 6.467%
ROA
46.41% 0.143% 10.17% 1.001% -9.19% 0.098% 4.29% 0.908%
Yield Quality
Operating Profit To Total Profits
30.14% 200.846% -37.88% 76.991% -8.12% 154.330% 17.48% 123.945%
Tax To Total Profits
-10.05% 72.403% -8.13% 55.393% -0.21% 80.494% -2.01% 60.295%
Operating Cash To Total Revenue
-263.23% -39.261% 336.53% 16.325% 1283.78% 24.052% -292.83% -6.902%
Capital Structure
Debt Assets Ratio
-4.87% 75.721% -1.92% 76.955% 0.1% 79.599% -1.19% 78.460%
Equity Multipler
3.69% 7.6457 4.39% 7.2649 -0.23% 7.3738 -4.47% 6.9597
Debt Equity Ratio
-20.06% 311.886% -8.32% 333.941% 0.51% 390.168% -5.5% 364.258%
Current Assets To tatal Assets
0.79% 72.971% -0.98% 72.216% -6.5% 72.397% -5.26% 72.929%
Non Current Assets To Total Assets
-2.08% 27.029% 2.63% 27.784% 22.31% 27.603% 17.61% 27.071%
Current Liabilities To tatal Liabilities
-7.5% 59.794% 1.52% 62.769% 10.47% 64.645% 5.47% 61.831%
Non Current Liabilities To Total Liabilities
13.72% 40.206% -2.46% 37.231% -14.77% 35.355% -7.75% 38.169%
Solvency
Current Ratio
14.55% 1.6117 -0.55% 1.495 -15.45% 1.4069 -9.1% 1.5033
Quick Ratio
-- -- -- -- -15.22% 1.4054 -8.57% 1.5008
Operating Profit To Current Liabilities
4.33% 0.0444 -41.35% 0.0593 -11.1% 0.0426 39.03% 0.1011
Operrating Cash Flow To Current Liabilities
-300.31% -0.0866 345.35% 0.0697 1183.7% 0.0432 -349.96% -0.0284
Share Equity Without Minority Interest To Total Liabilities
1.38% 0.1727 -2.33% 0.1789 0.13% 0.1704 5.94% 0.1831
Operating Cash Flow To Total Liabilities
-285.27% -0.0518 349.07% 0.0437 1317.75% 0.028 -363.62% -0.0176
Operating Profit To Total Liabilities
-3.5% 0.0266 -40.46% 0.0372 -1.79% 0.0275 46.64% 0.0625
Operating Capacity
Inventory Turnover(T)
-- -- -- -- 326.45% 62.6224 55.91% 40.7203
Current Assets Turnover(T)
9.4% 0.141 16.04% 0.307 10.29% 0.1289 15.2% 0.2646
Fixed Assets Turnover(T)
123.78% 9.4098 69.2% 13.36 16.69% 4.205 51.07% 7.8962
Total Assets Turnover(T)
9.31% 0.1024 12.29% 0.2227 3.8% 0.0936 18.62% 0.1984
Growth Ability
Operating Revenue GR 3Y
-19.68% 113.583% 62.34% 120.910% 155.23% 141.417% 16.75% 74.482%
Gross Income GR 3Y
-54.85% 75.074% 62.93% 83.178% 149.89% 166.259% -13.22% 51.051%
Operating Profit GR 3Y
173.28% 226.064% -114.57% -10.214% -14.31% 82.723% 90.79% 70.101%
EBT GR 3Y
-23.27% 75.793% 2.34% 51.909% 167.06% 98.782% 656.76% 50.721%
Net Profit GR 3Y
3.78% 70.611% -42.83% 23.386% 340.47% 68.037% 300.76% 40.910%
Net Profit Attributable To The Parent Company GR 3Y
303.49% 50.502% -292.18% -15.901% 119.96% 12.516% 119.48% 8.274%
Total Assets GR 3Y
-56.38% 37.584% -44.27% 51.370% -13.24% 86.173% -10.67% 92.169%
Share Equity Without Minority Interest GR 3Y
-9.05% 17.476% -46.07% 13.697% -2.87% 19.214% 31.13% 25.395%
Equity GR 3Y
37.4% 52.177% -36.95% 35.913% -31.32% 37.973% 8.84% 56.956%
Total Liabilities GR 3Y
-67.96% 33.480% -45.88% 56.707% -9.16% 104.482% -14.42% 104.782%
Basic Earning Per Share GR 3Y
305.57% 50.848% -296.96% -15.877% 119.97% 12.537% 118.99% 8.061%
Net Assets Per Share GR 3Y
-9.44% 17.280% -46.43% 13.535% -3.08% 19.082% 30.72% 25.267%
Other Indicators
Currency Unit
港元港元港元港元

Q6、Q9、FY为累计季报:Q6 为中期报告;Q9 为第三季报;FY为年报。

环比数据来源于季报,环比 = (本期 - 上期)/上期 * 100%

公司概况 更多
花样年控股集团有限公司是一家投资控股公司,主要从事物业销售业务。该公司通过六个业务部门运营。物业开发部从事开发及销售商业和住宅物业。物业投资部从事租赁商业和住宅物业。物业代理服务部从事提供物业代理及其他相关服物业务。物业经营服务部从事提供物业管理、安装保安系统及其他相关服务业务。酒店经营部从事提供酒店住宿、酒店管理及相关服务、餐饮销售以及其他辅助服务业务。其他部从事提供旅游代理服务业务。
董事长: 潘军
所属市场: 香港主板
上市日期: 2009/11/25
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