Sichuan Xinjinlu Group Co., Ltd.

Symbol: 000510.SZ

SHZ

5.75

CNY

company-market-status

  • -82.0751

    P/E ratio

  • -0.2662

    PEG ratio

  • 3.50B

    Mrk Cap

  • 0.00%

    Div Yield

Акции в обращение

609.182016M

Притежавани от вътрешни лица

0.000%

Притежавани от институции

0.000%

  • Highest
    • 6.19
    • 4.94
    • 4.41
    • 4.07
    • 4.94
    • 5.56
    • 4.72
    • 4.43
    • 3.85
    • 3.91
    • 4.09
    • 4.57
    • 4.54
    • 4.54
    • 4.03
    • 4.60
    • 4.46
    • 5.02
    • 4.78
    • 7.17
    • 5.85
    • 6.10
    • 7.14
    • 7.23
    • 6.45
    • 5.91
    • 6.31
    • 6.63
    • 5.88
    • 6.26
    • 6.53
    • 6.44
  • Lowest
    • 6.06
    • 4.79
    • 4.28
    • 3.98
    • 4.84
    • 5.32
    • 4.62
    • 4.34
    • 3.76
    • 3.80
    • 3.99
    • 4.31
    • 4.41
    • 4.43
    • 3.98
    • 4.42
    • 4.39
    • 4.83
    • 4.65
    • 6.94
    • 5.66
    • 5.94
    • 6.76
    • 6.68
    • 6.23
    • 5.72
    • 6.16
    • 6.31
    • 5.75
    • 6.12
    • 6.40
    • 6.31

Информация за компанията

Последващ PE: Basic Materials
Индустрия: Chemicals
ГЛАВЕН ИЗПЪЛНИТЕЛЕН ДИРЕКТОР:Mr. Lang Peng
Служители на пълно работно време:2405
Град:Deyang
Адрес:Building 21, Wuzhou Plaza, No. 733
IPO:1993-05-07
CIK:
Уебсайт:https://xjinlu.cn

Sichuan Xinjinlu Group Co., Ltd. produces and sells chlor-alkali chemicals and plastic products for industrial use in China. It primarily offers polyvinyl chloride (PVC) resin, caustic soda, industrial synthetic hydrochloric acid, industrial liquid chlorine, potassium hydroxide, sangla, special PVC resins, sodium hypochlorite, sodium hydroxide, calcium carbide, and interior leather and films, as well as warehousing, and other services. The company was formerly known as Sichuan Jinlu Group Co., Ltd. Sichuan Xinjinlu Group Co., Ltd. is based in Deyang, China.

Оборотен капитал

202220212020201920182017
Парични средства и инвестиции408.05523.09179.04106.38124.06129.99
Приемници0.000.000.000.000.000.00
Инвентарна книга229.01193.84192.51108.53102.5392.37
Други10.919.3319.5115.93274.54246.15
Общо текущи активи816.49856.82678.53462.90501.14468.52
Acc Payable235.89258.64280.40164.81279.34206.84
Краткосрочен дълг264.97217.62213.68219.7073.70230.78
Други текущи пасиви189.30245.04173.40141.07126.53135.14
Текущи пасиви690.16721.30667.48525.57503.85595.93

Капиталова структура

Всички числа в милиони

Общо активи

2363,45 щ.д.

Общо задължения

1488535453,24 щ.д.

Дългосрочен дълг

70,82 щ.д.

Парични средства и екви

513179904,29 щ.д.

Goodwill

0,00 щ.д.

Неразпределена печалба

93223859,91 щ.д.

Обикновени акции

609,18 щ.д.

Стойност на предприятието

162,96 щ.д.

Дивиденти за маса

ГодиниQ1Q2Q3Q4Общо
20030.0000.0190.0000.0000.019
20050.0000.0500.0000.0000.050
20070.0000.0000.0420.0000.042
20080.0000.0000.0530.0000.053
20180.0000.0400.0000.0000.040
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