下载App
扫码立即下载
  • 下载App

    扫码立即下载

  • 在线客服

    登录后咨询在线客服
+
恭喜您!
成功领取价值超 5000港元/年的高级行情
前往体验 >>
多维分析
公司估值 资金追踪 卖空分析
02265 鸿承环保科技
0.7100.0000.00%
显示同比
不显示
隐藏空行
(FY)2021/12/31(FY)2020/12/31(FY)2019/12/31(FY)2018/12/31
Per Share IndicaTor
Operating Cash Flow Per Share
-- 0.0711 -- -- -- -- -- --
Cash Flow Per Share
-- 0.2332 -- -- -- -- -- --
Operating Income Per Share
-- 0.3144 -- -- -- -- -- --
Net Asset Per Share
-- 0.4748 -- -- -- -- -- --
Basic Earning Per Share
-100% 0.1345 61.87% 8.67万 51.45% 5.36万 -- 3.54万
Diluted  Earning Per Share
-100% 0.1345 61.87% 8.67万 51.45% 5.36万 -- 3.54万
Profitability
Gross Profit Ratio
7.46% 64.820% -1.9% 60.321% 8.96% 61.486% -- 56.432%
Operating Profit Ratio
-4.01% 47.916% -2.78% 49.920% 21.73% 51.350% -- 42.184%
Net Profit Ratio
-6.11% 33.307% -2.18% 35.476% 20.85% 36.268% -- 30.011%
Earning Before Tax Ratio
-2.99% 45.574% -0.98% 46.978% 20.6% 47.442% -- 39.339%
ROE
-59.71% 34.853% -24.43% 86.496% -- 114.460% -- --
ROA
-0.23% 16.389% 35.75% 16.428% -- 12.101% -- --
Yield Quality
Operating Profit To Total Profits
-1.06% 105.140% -1.82% 106.263% 0.94% 108.236% -- 107.232%
Tax To Total Profits
9.94% 26.916% 3.95% 24.484% -0.66% 23.554% -- 23.710%
Operating Cash To Total Revenue
-31.18% 22.629% -56.21% 32.883% -9.03% 75.085% -- 82.541%
Capital Structure
Debt Assets Ratio
-50.17% 37.658% -12.35% 75.576% -8.53% 86.222% -- 94.260%
Equity Multipler
-60.82% 1.604 -43.59% 4.0943 -58.34% 7.258 -- 17.423
Debt Equity Ratio
-80.48% 60.404% -50.55% 309.432% -61.89% 625.802% -- 1642.301%
Current Assets To tatal Assets
65.62% 52.613% -14.73% 31.768% -19.61% 37.257% -- 46.346%
Non Current Assets To Total Assets
-30.55% 47.387% 8.75% 68.232% 16.94% 62.743% -- 53.654%
Current Liabilities To tatal Liabilities
-7.29% 36.210% -39.39% 39.058% -18.88% 64.442% -- 79.438%
Non Current Liabilities To Total Liabilities
4.67% 63.790% 71.39% 60.942% 72.93% 35.558% -- 20.562%
Solvency
Current Ratio
258.52% 3.8585 60.5% 1.0762 8.33% 0.6705 -- 0.6189
Quick Ratio
304.01% 3.5922 46.73% 0.8891 1.08% 0.606 -- 0.5995
Operating Profit To Current Liabilities
81.46% 1.4506 211.74% 0.7994 39.06% 0.2564 -- 0.1844
Operrating Cash Flow To Current Liabilities
30.1% 0.6851 40.43% 0.5266 3.92% 0.375 -- 0.3608
Share Equity Without Minority Interest To Total Liabilities
412.27% 1.6555 102.24% 0.3232 162.43% 0.1598 -- 0.0609
Operating Cash Flow To Total Liabilities
20.61% 0.2481 -14.88% 0.2057 -15.7% 0.2416 -- 0.2866
Operating Profit To Total Liabilities
68.23% 0.5253 88.95% 0.3122 12.81% 0.1653 -- 0.1465
Operating Capacity
Inventory Turnover(T)
-2.8% 3.9384 -13.72% 4.0518 -52.08% 4.6959 -- 9.7989
Current Assets Turnover(T)
-16.88% 1.1135 64.12% 1.3395 -- 0.8162 -- --
Fixed Assets Turnover(T)
18.87% 1.9376 -1.14% 1.63 -- 1.6488 -- --
Total Assets Turnover(T)
6.26% 0.4921 38.78% 0.4631 -- 0.3337 -- --
Growth Ability
Operating Revenue GR 3Y
-- 169.323% -- -- -- -- -- --
Gross Income GR 3Y
-- 209.354% -- -- -- -- -- --
Operating Profit GR 3Y
-- 205.921% -- -- -- -- -- --
EBT GR 3Y
-- 212.009% -- -- -- -- -- --
Net Profit GR 3Y
-- 198.896% -- -- -- -- -- --
Net Profit Attributable To The Parent Company GR 3Y
-- 198.896% -- -- -- -- -- --
Total Assets GR 3Y
-- 113.546% -- -- -- -- -- --
Share Equity Without Minority Interest GR 3Y
-- 2219.527% -- -- -- -- -- --
Equity GR 3Y
-- 2219.527% -- -- -- -- -- --
Total Liabilities GR 3Y
-- -14.687% -- -- -- -- -- --
Basic Earning Per Share GR 3Y
-- -100.000% -- -- -- -- -- --
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
鸿承环保科技有限公司是一家主要从事金矿废物处理业务的中国公司。该公司的主营业务是金矿有害废物处理、资源回收和综合利用,再生产品的销售,有害废物仓储租赁服务等。该公司的产品包括硫精矿、含金硫精矿和建筑骨料等。该公司的产品主要用于化工制造和化工贸易领域。
董事长: 刘泽铭
所属市场: 香港主板
上市日期: 2021/11/12
富途热股榜
港股美股沪深
交易热度搜索热度资讯热度
名称代码最新价涨跌幅

加载中...

自选
回到顶部