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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
02132 誉燊丰控股
0.204
-0.002-0.97%
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隐藏空行
(FY)2022/03/31(Q6)2021/09/30(FY)2021/03/31(Q6)2020/09/30
Per Share IndicaTor
Operating Cash Flow Per Share
-43.75% 0.0104 -174.01% -0.0094 -100% 0.0184 -100% 0.0127
Cash Flow Per Share
-104.65% -0.0018 1.17% -0.0145 -100% 0.0385 -100.01% -0.0147
Operating Income Per Share
56.71% 0.6214 74.62% 0.2994 -100% 0.3965 -100% 0.1715
Net Asset Per Share
14.32% 0.1627 76.74% 0.157 -100% 0.1423 -100% 0.0889
Basic Earning Per Share
-23.21% 0.0258 8.48% 0.0179 -- 0.0336 -- 0.0165
Diluted  Earning Per Share
-23.21% 0.0258 8.48% 0.0179 -- 0.0336 -- 0.0165
Profitability
Gross Profit Ratio
-17.84% 8.726% -1.02% 10.036% -13.64% 10.621% -12.65% 10.140%
Operating Profit Ratio
-45.22% 4.975% -26.52% 7.339% 10.56% 9.082% 25.3% 9.987%
Net Profit Ratio
-45.04% 4.147% -33.7% 5.972% 13.64% 7.546% 34.58% 9.008%
Earning Before Tax Ratio
-45.62% 4.889% -25.84% 7.277% 10.9% 8.990% 24.79% 9.812%
ROE
-40.05% 16.901% -31.8% 11.949% -36.06% 28.193% -33.54% 17.521%
ROA
-42.35% 8.923% -13.76% 7.015% -10.7% 15.478% -14.18% 8.133%
Yield Quality
Operating Profit To Total Profits
0.73% 101.757% -0.92% 100.855% -0.31% 101.022% 0.41% 101.788%
Tax To Total Profits
-5.54% 15.175% 118.87% 17.927% -11.18% 16.065% -44.9% 8.191%
Operating Cash To Total Revenue
-64.11% 1.670% -142.38% -3.141% -44.19% 4.651% 118.72% 7.411%
Capital Structure
Debt Assets Ratio
37.1% 52.960% -16.82% 43.521% -29.49% 38.629% -14.25% 52.324%
Equity Multipler
30.46% 2.1258 -15.59% 1.7706 -26.33% 1.6294 -18.24% 2.0975
Debt Equity Ratio
78.86% 112.585% -29.79% 77.058% -48.06% 62.944% -29.89% 109.748%
Current Assets To tatal Assets
4.08% 93.877% -1.24% 91.728% -4.26% 90.194% -2.87% 92.883%
Non Current Assets To Total Assets
-37.56% 6.123% 16.23% 8.272% 69.32% 9.806% 62.8% 7.117%
Current Liabilities To tatal Liabilities
1.74% 98.316% -3.37% 96.330% -3.37% 96.632% -0.27% 99.687%
Non Current Liabilities To Total Liabilities
-49.99% 1.684% 1071.47% 3.670% -- 3.368% 688.17% 0.313%
Solvency
Current Ratio
-25.38% 1.803 22.87% 2.188 40.52% 2.4162 13.58% 1.7807
Operating Profit To Current Liabilities
-58.74% 0.1717 7.01% 0.1885 12.83% 0.4161 -0.61% 0.1762
Operrating Cash Flow To Current Liabilities
-72.96% 0.0576 -161.72% -0.0807 -43.05% 0.2131 73.49% 0.1307
Share Equity Without Minority Interest To Total Liabilities
-44.09% 0.8882 42.42% 1.2977 92.52% 1.5887 42.63% 0.9112
Operating Cash Flow To Total Liabilities
-72.49% 0.0567 -159.64% -0.0777 -44.97% 0.2059 73.01% 0.1303
Operating Profit To Total Liabilities
-58.02% 0.1688 3.41% 0.1816 9.03% 0.4021 -0.88% 0.1756
Operating Capacity
Current Assets Turnover(T)
4.21% 2.3287 33.7% 1.2903 -18.47% 2.2345 -34.56% 0.9651
Fixed Assets Turnover(T)
23.31% 35.4813 16.27% 17.0177 -48.15% 28.7751 -59.79% 14.6359
Total Assets Turnover(T)
4.89% 2.1516 30.08% 1.1745 -21.42% 2.0513 -36.23% 0.9029
Growth Ability
Operating Revenue GR 3Y
177.89% 87.706% -- 88.278% 381.37% 31.562% -- --
Gross Income GR 3Y
33.54% 27.048% -- 51.918% -70.56% 20.254% -- --
Operating Profit GR 3Y
8.6% 60.163% -- 100.702% -31.37% 55.399% -- --
EBT GR 3Y
8.74% 58.600% -- 99.297% -31.25% 53.889% -- --
Net Profit GR 3Y
38.97% 75.245% -- 111.541% -25.67% 54.146% -- --
Net Profit Attributable To The Parent Company GR 3Y
38.97% 75.245% -- 111.541% -25.67% 54.146% -- --
Total Assets GR 3Y
40.31% 152.513% -- -- 135.61% 108.698% -- --
Share Equity Without Minority Interest GR 3Y
22.62% 263.911% -- -- -1.84% 215.232% -- --
Equity GR 3Y
22.62% 263.911% -- -- -1.84% 215.232% -- --
Total Liabilities GR 3Y
175.31% 98.532% -- -- 3640.16% 35.790% -- --
Net Assets Per Share GR 3Y
-- -99.998% -- -- -- -- -- --
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
誉燊丰控股有限公司是一家主要提供建造工程的投资控股公司。该公司作为主承建商或分包商承接土木工程。该公司的土木工程项目可分为道路及渠务工程及地盘平整工程。此外,该公司亦作为分包商提供建筑工程。
董事长: 徐继光
所属市场: 香港主板
上市日期: 2020/10/20
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