End-of-day quote
Shenzhen S.E.
06:00:00 2024-07-01 pm EDT
|
5-day change
|
1st Jan Change
|
14.97
CNY
|
-0.53%
|
|
+1.15%
|
-14.60%
|
Jun. 18 |
Hylic New Energy Technology Co., Ltd announced that it has received CNY 100 million in funding from Jiangsu Ruitai New Energy Materials Co., Ltd., Suzhou Tianhong Laser Co., Ltd., Shenzhen Royal Capital Co., Ltd., Huai'an Financial Development Group Co., Ltd., Huai'an Mingcheng Holdings Group Co., Ltd., and other investors
|
CI
| May. 28 |
Jiangsu Ruitai New Energy Materials Co., Ltd. Announces Final Cash Dividend on A Shares for 2023, Payable on 04 June 2024
|
CI
|
Fiscal Period: December |
2022
|
2023
|
---|
Capitalization
1 |
16,493
|
12,855
|
Enterprise Value (EV)
1 |
11,515
|
8,446
|
P/E ratio
|
18.6
x
|
27.4
x
|
Yield
|
0.44%
|
1.14%
|
Capitalization / Revenue
|
2.69
x
|
3.46
x
|
EV / Revenue
|
1.88
x
|
2.27
x
|
EV / EBITDA
|
11.7
x
|
14.6
x
|
EV / FCF
|
27.5
x
|
-33.1
x
|
FCF Yield
|
3.63%
|
-3.02%
|
Price to Book
|
2.45
x
|
1.79
x
|
Nbr of stocks (in thousands)
|
733,333
|
733,333
|
Reference price
2 |
22.49
|
17.53
|
Announcement Date
|
4/25/23
|
4/24/24
|
Fiscal Period: December |
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
---|
Net sales
1 |
1,295
|
1,657
|
1,815
|
5,203
|
6,135
|
3,718
|
EBITDA
1 |
151.8
|
279.4
|
390.1
|
834.9
|
982.9
|
576.8
|
EBIT
1 |
120
|
243.1
|
349.6
|
782.3
|
916
|
484.8
|
Operating Margin
|
9.27%
|
14.67%
|
19.26%
|
15.04%
|
14.93%
|
13.04%
|
Earnings before Tax (EBT)
1 |
137.4
|
263.7
|
343.6
|
806.9
|
1,031
|
630.5
|
Net income
1 |
89.65
|
176.8
|
257.3
|
602.3
|
776.9
|
466.4
|
Net margin
|
6.92%
|
10.67%
|
14.18%
|
11.58%
|
12.66%
|
12.54%
|
EPS
|
-
|
0.8842
|
0.4678
|
1.100
|
1.210
|
0.6400
|
Free Cash Flow
1 |
163.7
|
-7.198
|
123.8
|
-371.3
|
418.6
|
-255.1
|
FCF margin
|
12.64%
|
-0.43%
|
6.82%
|
-7.14%
|
6.82%
|
-6.86%
|
FCF Conversion (EBITDA)
|
107.86%
|
-
|
31.72%
|
-
|
42.59%
|
-
|
FCF Conversion (Net income)
|
182.61%
|
-
|
48.1%
|
-
|
53.88%
|
-
|
Dividend per Share
|
-
|
-
|
-
|
-
|
0.1000
|
0.2000
|
Announcement Date
|
12/29/20
|
12/29/20
|
6/4/21
|
5/29/22
|
4/25/23
|
4/24/24
|
Fiscal Period: December |
2018
|
2019
|
2020
|
2021
|
2022
|
2023
|
---|
Net Debt
1 |
-
|
-
|
-
|
-
|
-
|
-
|
Net Cash position
1 |
493
|
494
|
1,205
|
990
|
4,977
|
4,410
|
Leverage (Debt/EBITDA)
|
-
|
-
|
-
|
-
|
-
|
-
|
Free Cash Flow
1 |
164
|
-7.2
|
124
|
-371
|
419
|
-255
|
ROE (net income / shareholders' equity)
|
12.8%
|
19.2%
|
17.3%
|
27.4%
|
17.6%
|
7.07%
|
ROA (Net income/ Total Assets)
|
4.62%
|
7.43%
|
8.14%
|
11.1%
|
7.25%
|
2.86%
|
Assets
1 |
1,939
|
2,380
|
3,160
|
5,402
|
10,716
|
16,282
|
Book Value Per Share
|
-
|
5.230
|
3.600
|
4.640
|
9.190
|
9.810
|
Cash Flow per Share
|
-
|
2.120
|
2.210
|
1.800
|
4.060
|
7.030
|
Capex
1 |
66.5
|
154
|
142
|
284
|
435
|
750
|
Capex / Sales
|
5.14%
|
9.3%
|
7.8%
|
5.45%
|
7.08%
|
20.17%
|
Announcement Date
|
12/29/20
|
12/29/20
|
6/4/21
|
5/29/22
|
4/25/23
|
4/24/24
|
|
1st Jan change
|
Capi.
|
---|
| -14.60% | 1.51B | | +2.56% | 101B | | -11.26% | 59.18B | | +71.43% | 47.51B | | +4.69% | 34.67B | | -0.10% | 30.91B | | +2.26% | 18.35B | | +17.40% | 17.59B | | +4.94% | 13.43B | | -7.05% | 12.67B |
Other Commodity Chemicals
|