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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
01962 训修实业
0.830
-0.020-2.35%
显示同比
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隐藏空行
(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30
Per Share IndicaTor
Operating Cash Flow Per Share
240.88% 0.3938 27.75% 0.1738 55.83% 0.1155 531.33% 0.1361
Cash Flow Per Share
-108.38% -0.004 -50.02% 0.0062 196.72% 0.0474 206.74% 0.0124
Operating Income Per Share
35.63% 1.7599 43.64% 0.8 10.34% 1.2975 -8.74% 0.557
Net Asset Per Share
5.22% 1.3377 1.85% 1.3157 -2.64% 1.2713 5.22% 1.2919
Basic Earning Per Share
500% 0.08 300% 0.04 -113.33% -0.02 -87.5% 0.01
Diluted  Earning Per Share
500% 0.08 300% 0.04 -114.29% -0.02 -87.5% 0.01
Profitability
Gross Profit Ratio
20.17% 20.607% -10.04% 21.390% -48.13% 17.148% -28.96% 23.777%
Operating Profit Ratio
1304.21% 6.860% 70.83% 7.963% -96.47% 0.489% -69.23% 4.661%
Net Profit Ratio
334.01% 4.727% 215.18% 5.602% -118.22% -2.020% -86.08% 1.778%
Earning Before Tax Ratio
364.75% 5.160% 206.5% 5.910% -117.46% -1.949% -84.78% 1.928%
ROE
424.06% 6.041% 262.74% 3.338% -116.25% -1.864% -86.31% 0.920%
ROA
434.82% 3.113% 269.23% 1.710% -116.45% -0.930% -85.48% 0.463%
Yield Quality
Operating Profit To Total Profits
-- 132.949% -44.26% 134.732% -- -- 102.23% 241.732%
Tax To Total Profits
-- 8.391% -33.39% 5.207% -- -- 1075.9% 7.817%
Operating Cash To Total Revenue
151.32% 22.377% -11.06% 21.727% 41.23% 8.904% 572.64% 24.429%
Capital Structure
Debt Assets Ratio
-8.02% 46.288% -4.82% 47.014% 1.22% 50.321% -7.55% 49.394%
Equity Multipler
-7.19% 1.8697 -4.42% 1.8915 0.99% 2.0146 -7.53% 1.979
Debt Equity Ratio
-14.92% 86.177% -9.09% 88.728% 2.45% 101.292% -14.91% 97.603%
Current Assets To tatal Assets
-1.58% 54.902% 0.51% 54.520% 3.74% 55.783% -4.68% 54.241%
Non Current Assets To Total Assets
1.99% 45.098% -0.61% 45.480% -4.35% 44.217% 6.19% 45.759%
Current Liabilities To tatal Liabilities
-6.7% 90.699% -1.53% 96.838% -0.59% 97.216% 0% 98.339%
Non Current Liabilities To Total Liabilities
234.02% 9.301% 90.3% 3.162% 26.36% 2.784% -0.15% 1.661%
Solvency
Current Ratio
14.68% 1.3077 7.24% 1.1975 3.11% 1.1403 3.09% 1.1167
Quick Ratio
13.75% 0.6533 9.87% 0.6166 7.02% 0.5743 -1.9% 0.5612
Operating Profit To Current Liabilities
2172.72% 0.115 168.92% 0.0562 -96.06% 0.0051 -68.78% 0.0209
Operrating Cash Flow To Current Liabilities
306.75% 0.375 40.01% 0.1534 57.51% 0.0922 579.52% 0.1096
Share Equity Without Minority Interest To Total Liabilities
17.14% 1.1555 9.92% 1.1245 -2.18% 0.9864 16.97% 1.023
Operating Cash Flow To Total Liabilities
279.48% 0.3402 37.87% 0.1486 56.58% 0.0896 579.53% 0.1078
Operating Profit To Total Liabilities
2020.46% 0.1043 164.82% 0.0544 -96.08% 0.0049 -68.78% 0.0206
Operating Capacity
Inventory Turnover(T)
30.67% 2.0013 52.84% 0.9199 33.54% 1.5316 4.22% 0.6018
Current Assets Turnover(T)
34.49% 1.2562 43.73% 0.5744 7.04% 0.934 -5.48% 0.3996
Fixed Assets Turnover(T)
36.19% 1.682 49.08% 0.7651 1.33% 1.235 -19.8% 0.5132
Total Assets Turnover(T)
35.87% 0.6953 46.81% 0.3168 5.2% 0.5117 -11.15% 0.2158
Growth Ability
Operating Revenue GR 3Y
73.02% 64.910% 130.25% 47.025% 22.98% 37.516% -15.79% 20.423%
Gross Income GR 3Y
91.93% -2.720% 38.29% -10.892% -255.56% -33.692% -167.96% -17.649%
Operating Profit GR 3Y
64.22% -34.519% 60.49% -27.094% -199.54% -96.462% -327.45% -68.577%
EBT GR 3Y
62.1% -43.857% 55.74% -37.557% -186.05% -115.713% -381.86% -84.861%
Net Profit GR 3Y
58.43% -48.400% 52.81% -40.586% -171.36% -116.427% -341.67% -85.999%
Net Profit Attributable To The Parent Company GR 3Y
55.29% -51.280% 48.24% -43.098% -165.92% -114.685% -311.25% -83.263%
Total Assets GR 3Y
-61.38% 16.393% -57.3% 25.400% -43.34% 42.445% -21.78% 59.486%
Share Equity Without Minority Interest GR 3Y
-2.68% 28.916% -89.56% 34.812% -94.1% 29.711% -19.99% 333.293%
Equity GR 3Y
-0.95% 29.657% -89.46% 35.306% -94.07% 29.942% -19.29% 334.851%
Total Liabilities GR 3Y
-92.96% 4.043% 584.35% 15.842% 3184.04% 57.396% -127.55% -3.271%
Basic Earning Per Share GR 3Y
48.72% -55.556% 40.17% -55.556% -316.67% -108.333% -240.48% -92.857%
Net Assets Per Share GR 3Y
-4.38% 15.560% -89.7% 20.844% -- 16.272% -- 202.317%
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
训修实业集团有限公司为一间投资控股公司。该公司及其附属公司主要从事发制品的生产与交易。该公司业务主要分为三大分部。假发、假发配件及其他业务分部主要涉及售予美国及欧洲客户的一系列假发及其他假发配件。高档人发接发产品业务分部主要涉及售予北美洲、欧洲及亚洲发型屋的高档人发接发产品。万圣节产品业务分部主要涉及派对及节日设计的假发、发饰及服装的销售。
董事长: 张有沧
所属市场: 香港主板
上市日期: 2017/07/12
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