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成功领取价值超 5000港元/年的高级行情
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公司概况 更多
协鑫科技控股有限公司(原名:保利协鑫能源控股有限公司)是一家主要从事光伏材料制造和销售的投资控股公司。公司通过三个部门运营业务。光伏业务分部主要从事为于光伏行业营运的公司制造及销售多晶硅及硅片产品。新能源业务分部从事主要从事发展、兴建、营运及管理光伏电站。光伏电站业务分部从事管理及营运光伏电站。
董事长: 朱共山
所属市场: 香港主板
上市日期: 2007/11/13
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

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自选
03800 协鑫科技
2.350+0.010+0.43%
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隐藏空行
(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30
Cash flow from operating activities
Earning before tax
174.96% 47.01亿 -- -- -5758.19% -62.71亿 -- --
Profit adjustment
Interest (income) - adjustment
51.43% -1.1亿 -- -- 20.54% -2.26亿 -- --
Attributable subsidiary (profit) loss
-1431.82% -25.74亿 -- -- 51.95% -1.68亿 -- --
Impairment and provisions:
-93.94% 2.63亿 -- 0 66.51% 43.4亿 -- 0
-Impairment of property, plant and equipment (reversal)
-92.2% 3.31亿 -- -- 99.38% 42.48亿 -- --
-Impairmen of inventory (reversal)
-298.56% -1,446.7万 -- -- 296.28% 728.6万 -- --
-Other impairments and provisions
-164.35% -5,411.3万 -- -- -82.45% 8,408.6万 -- --
Revaluation surplus:
171.44% 1.08亿 -- 0 -- -1.51亿 -- 0
-Derivative financial instruments fair value (increase)
118.46% 2,056.6万 -- -- -- -1.11亿 -- --
-Other fair value changes
321.73% 8,708.2万 -- -- -- -3,927.4万 -- --
Asset sale loss (gain):
-196.64% -4.58亿 -- 0 110.53% 4.74亿 -- 0
-Loss (gain) from sale of subsidiary company
-308.62% -4.15亿 -- -- 104.51% 1.99亿 -- --
-Loss (gain) on sale of property, machinery and equipment
-26.96% 4,155.7万 -- -- 203.13% 5,690万 -- --
-Loss (gain) from selling other assets
-138.84% -8,466.9万 -- -- 718.22% 2.18亿 -- --
Depreciation and amortization:
-36.93% 22.95亿 -- 0 -19.96% 36.38亿 -- 0
-Depreciation
-36.55% 23.24亿 -- -- -19.13% 36.62亿 -- --
-Amortization of intangible assets
1.48% 3,347.4万 -- -- -67.57% 3,298.6万 -- --
-Other depreciation and amortization
-9.38% -6,281万 -- -- 32.74% -5,742.5万 -- --
Financial expense
-39.68% 19.03亿 -- -- -20.06% 31.55亿 -- --
Exchange Loss (gain)
97.07% -1,255.2万 -- -- -- -4.29亿 -- --
Special items
-1.5% 9.45亿 -- -- 24.4% 9.59亿 -- --
Operating profit before the change of operating capital
32.68% 70.61亿 -- 0 -22.31% 53.22亿 -- 0
Change of operating capital
Inventory (increase) decrease
-302.63% -4.47亿 -- -- -4.39% 2.2亿 -- --
Accounts receivable (increase)decrease
-67.67% -138.46亿 -- -- -80.48% -82.58亿 -- --
Accounts payable increase (decrease)
12011.17% 76.71亿 -- -- -98.07% 6,334万 -- --
prepayments (increase)decrease
-43.31% -1.01亿 -- -- 61.83% -7,082.2万 -- --
Cash  from business operations
18.89% 21.05亿 -- 0 -49.96% 17.7亿 -- 0
Other taxs
-22.85% -2.22亿 -- -- -407.58% -1.81亿 -- --
Special items of business
-60.67% 17.68亿 -- -- 318.19% 44.94亿 -- --
Net cash from operations
18.43% 18.82亿 -14.77% 12.72亿 -54.62% 15.89亿 -64.91% 14.93亿
Cash flow from investment activities
Interest received - investment
-53.43% 9,736.2万 0.73% 7,808.8万 8.27% 2.09亿 -6.29% 7,752.3万
Dividend received - investment
-14.82% 5,276.9万 -- 3,648.9万 19% 6,195.2万 -- --
Loan receivable (increase) decrease
-- -- -- -- 100.68% 644.2万 -- --
Sale of fixed assets
104.42% 1.78亿 49.03% 1.28亿 -59.93% 8,688.4万 -- 8,574.6万
Selling intangible assets
-- -- -- -- -- 139.9万 -- --
Purchase of intangible assets
-- -6,000 -- -- -- -- -- --
Sale of subsidiaries
106.85% 6.89亿 9481.16% 56.71亿 519.58% 3.33亿 10.05% 5,918.4万
Recovery of cash from investments
-- -- -- -- -- 9,636.4万 -- --
Cash on investment
-481.09% -3.19亿 -- -5.99亿 96.18% -5,494.8万 -- --
Other items in the investment business
-97.74% 4,519.2万 102.55% 1,944.3万 152.58% 19.96亿 82.25% -7.62亿
Adjustment items of investment business
-- -1,000 -- -- -- -- -- --
Net cash from investment operations
-72.85% 7.43亿 1088.06% 53.33亿 148.25% 27.37亿 86.91% -5.4亿
Net cash before financing
-39.32% 26.25亿 593.22% 66.05亿 299.42% 43.26亿 627.18% 9.53亿
Cash flow from financing activities
New borrowing
-34.34% 98.69亿 -17.65% 61.81亿 -25.19% 150.3亿 -7.62% 75.07亿
Refund
17.01% -137.45亿 -100.63% -151.31亿 4.7% -165.62亿 -3.62% -75.42亿
Issuing shares
3337.34% 84.59亿 1676.05% 43.12亿 -58.83% 2.46亿 -59.39% 2.43亿
Interest paid - financing
39.76% -15.12亿 8.07% -10.97亿 17.06% -25.1亿 31% -11.93亿
Dividends paid - financing
-543.52% -2.9亿 -369.75% -2.13亿 64.33% -4,500万 42.93% -4,538.5万
Absorb investment income
-- -- 5509.17% 6.73亿 -- -- -81.82% 1,200万
Issuance expenses and redemption of securities expenses
-2852.71% -1.17亿 -1256.63% -5,364.1万 60.27% -395.4万 60.27% -395.4万
Other items of the financing business
21.76% -2.45亿 -85.04% -6.66亿 51.34% -3.14亿 13.84% -3.6亿
Net cash from financing operations
158.19% 24.2亿 -333.48% -59.94亿 -938.19% -41.58亿 -90.7% -13.83亿
Effect of rate
-282.68% -7,663.8万 -995.94% -7,276.8万 1600.39% 4,195.1万 -36.08% 812.2万
Net Cash
2909.37% 50.45亿 242.1% 6.11亿 106.52% 1.68亿 27.63% -4.3亿
Begining period cash
13.54% 17.58亿 13.54% 17.58亿 -62.43% 15.48亿 -62.43% 15.48亿
Cash at the end
282.66% 67.26亿 103.86% 22.96亿 13.54% 17.58亿 -68.18% 11.26亿
Cash balance analysis
Cash and cash equivalent balance
-- 0 -- 0 -- 0 -- 0
Currency Unit
人民币人民币人民币人民币
Accounting Standards
国际会计准则国际会计准则国际会计准则国际会计准则
Audit Opinions
无保留意见--无保留意见--
Auditor
国富浩华(香港)会计师事务所有限公司--国富浩华(香港)会计师事务所有限公司--

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%

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