
Shanxi Meijin Energy Co.,Ltd.
Symbol: 000723.SZ
SHZ
7.14
CNYcompany-market-status
16.6113
P/E ratio
0.0672
PEG ratio
30.89B
Mrk Cap
- 0.03%
Div Yield
- Highest
- 5.43
- 4.63
- 3.63
- 4.37
- 5.55
- 10.15
- 11.50
- 10.24
- 8.20
- 6.73
- 6.49
- 6.28
- 6.59
- 7.19
- 7.81
- 7.39
- 7.16
- 7.54
- 7.61
- 14.58
- 11.88
- 14.85
- 14.68
- 12.99
- 11.64
- 12.42
- 11.72
- 11.60
- 9.02
- 9.94
- 9.74
- 9.48
- Lowest
- 5.43
- 4.40
- 3.54
- 4.16
- 5.08
- 9.90
- 10.65
- 9.86
- 7.82
- 6.58
- 6.22
- 6.22
- 6.50
- 6.90
- 6.99
- 7.17
- 6.81
- 7.34
- 7.23
- 13.31
- 11.05
- 13.39
- 14.34
- 12.63
- 11.31
- 12.02
- 11.24
- 11.30
- 8.76
- 9.78
- 9.60
- 9.36
Информация за компанията
Shanxi Meijin Energy Co., Ltd. produces and sells coal, coke, and chemical products. It provides coal gas, tar, crude benzene, ammonium sulfate, and urea and LNG products. The company is also involved in the ecological protection and environmental governance, sewage treatment, sewage treatment engineering design, and environmental protection engineering activities; and research, development, production, and sale of road buses, tourist buses, and city buses. Shanxi Meijin Energy Co., Ltd. was founded in 1992 and is based in Taiyuan, China.
Оборотен капитал
2022 | 2021 | 2020 | 2019 | 2018 | 2017 | |
---|---|---|---|---|---|---|
Парични средства и инвестиции | 4819.46 | 1490.99 | 2769.88 | 1567.33 | 1231.65 | 630.64 |
Приемници | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
Инвентарна книга | 1323.79 | 1379.80 | 794.00 | 1065.19 | 1964.80 | 1443.08 |
Други | 197.58 | 455.88 | 265.39 | 206.04 | 3976.08 | 2950.29 |
Общо текущи активи | 11387.47 | 6536.78 | 7501.80 | 6693.36 | 7174.53 | 5035.31 |
Acc Payable | 9166.25 | 7089.60 | 6697.38 | 4533.45 | 4030.16 | 2249.94 |
Краткосрочен дълг | 1582.03 | 1538.16 | 2900.20 | 2571.85 | 2703.62 | 615.84 |
Други текущи пасиви | 3565.53 | 4021.65 | 2467.53 | 1840.19 | 1744.19 | 1137.99 |
Текущи пасиви | 14313.82 | 12649.41 | 12065.10 | 8945.49 | 9237.91 | 4335.69 |
Общо активи
644,46 щ.д.
Общо задължения
421102282,21 щ.д.
Дългосрочен дълг
0,00 щ.д.
Парични средства и екви
45509962,28 щ.д.
Goodwill
0,00 щ.д.
Неразпределена печалба
20020200,15 щ.д.
Обикновени акции
4326,45 щ.д.
Стойност на предприятието
9,21 щ.д.