Guangdong Tapai Group Co., Ltd.

Symbol: 002233.SZ

SHZ

7.71

CNY

company-market-status

  • 19.8434

    P/E ratio

  • 4.9939

    PEG ratio

  • 9.19B

    Mrk Cap

  • 0.02%

    Div Yield

Акции в обращение

1192.280064M

Притежавани от вътрешни лица

0.016%

Притежавани от институции

1.575%

  • Highest
    • 11.67
    • 12.57
    • 9.30
    • 10.53
    • 7.97
    • 10.91
    • 12.26
    • 13.07
    • 9.48
    • 11.89
    • 10.89
    • 8.13
    • 9.75
    • 10.65
    • 12.63
    • 11.75
    • 12.62
    • 12.44
    • 15.80
    • 12.48
    • 13.87
    • 11.47
    • 11.54
    • 12.45
    • 12.47
    • 11.10
    • 10.57
    • 10.85
    • 10.39
    • 10.08
    • 9.51
    • 11.12
    • 11.02
    • 8.89
    • 8.90
    • 8.28
    • 7.98
    • 6.97
    • 7.72
    • 7.67
    • 8.10
  • Lowest
    • 11.21
    • 11.85
    • 9.30
    • 10.17
    • 7.97
    • 10.63
    • 11.79
    • 12.48
    • 9.48
    • 11.70
    • 10.57
    • 8.13
    • 9.54
    • 10.65
    • 12.27
    • 11.75
    • 12.27
    • 11.97
    • 15.44
    • 12.48
    • 13.55
    • 11.47
    • 11.33
    • 12.23
    • 12.21
    • 11.00
    • 10.23
    • 10.30
    • 10.05
    • 9.92
    • 9.51
    • 10.90
    • 10.84
    • 8.79
    • 8.82
    • 8.17
    • 7.87
    • 6.73
    • 7.62
    • 7.61
    • 7.95

Информация за компанията

Последващ PE: Basic Materials
Индустрия: Building Materials
ГЛАВЕН ИЗПЪЛНИТЕЛЕН ДИРЕКТОР:Mr. Kunhuang He
Служители на пълно работно време:2536
Град:Meizhou
Адрес:Tapai Building
IPO:2008-05-07
CIK:
Уебсайт:https://www.tapai.com

Guangdong Tapai Group Co., Ltd. engages in the production and sale of Portland cement and ready-mixed concrete products in China. Its products are used in the highways, hydropower projects, railways, ports, airports, and other infrastructure constructions, as well as real estate and civil engineering constructions. Guangdong Tapai Group Co., Ltd. was founded in 1995 and is headquartered in Meizhou, China.

Оборотен капитал

202220212020201920182017
Парични средства и инвестиции1251.491444.162025.461286.751472.05997.06
Приемници0.000.000.000.000.000.00
Инвентарна книга599.73671.92572.25462.92527.21468.21
Други909.66304.76665.31723.143078.883308.76
Общо текущи активи6046.365900.535957.085283.025428.864968.12
Acc Payable668.12827.74989.69867.39985.25793.97
Краткосрочен дълг0.000.000.000.000.0020.00
Други текущи пасиви532.06967.99900.26906.45550.42531.31
Текущи пасиви1200.181795.731889.951773.841824.281538.16

Капиталова структура

Всички числа в милиони

Общо активи

1974,95 щ.д.

Общо задължения

1492958506,97 щ.д.

Дългосрочен дълг

750,00 щ.д.

Парични средства и екви

107939426,56 щ.д.

Goodwill

0,00 щ.д.

Неразпределена печалба

152542104,20 щ.д.

Обикновени акции

1192,28 щ.д.

Стойност на предприятието

27,82 щ.д.

Дивиденти за маса

ГодиниQ1Q2Q3Q4Общо
20090.0600.0000.0000.0000.060
20100.0250.0000.0000.0000.025
20110.0000.0400.0000.0000.040
20120.0000.2200.0000.0000.220
20130.0000.0800.0000.0000.080
20140.0000.1800.0000.0000.180
20150.0000.2800.0000.0000.280
20160.0000.1800.0000.0000.180
20170.0000.2100.0000.0000.210
20180.0000.3000.4200.0000.720
20190.0000.4300.3000.0000.730
20200.0000.5500.3200.0000.870
20210.0000.4300.0000.0000.430
20220.0000.6200.0000.0000.620
20230.0000.1200.0000.0000.120
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