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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
002606 Dalian Insulator Group
10.1700.0000.00%
YOY
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(Q9)2022/09/30(Q6)2022/06/30(Q3)2022/03/31(FY)2021/12/31
Per Share Indicator
Net Asset Per Share
11.89% 3.4037 7.60% 3.2425 8.44% 3.1956 16.34% 3.0676
Basic Earning Per Share
11.55% 0.3872 -25.72% 0.2287 -32.49% 0.133 38.46% 0.36
Diluted  Earning Per Share
11.41% 0.3867 -25.92% 0.2281 -32.74% 0.1325 38.46% 0.36
Earning Per Share
14.26% 0.3845 -23.10% 0.2271 -29.45% 0.132 38.29% 0.3565
Diluted Earning Per Share(TTM)
18.59% 0.4045 -23.59% 0.2883 -23.54% 0.3017 38.29% 0.3565
Capital Surplus Funds Per Share
2.58% 0.5732 3.33% 0.5712 4.63% 0.5689 67.65% 0.5653
Undivided Profit Per Share
27.89% 1.7026 19.78% 1.5452 22.89% 1.4856 24.16% 1.3536
Operating Cash Flow Per Share
447.37% 0.3432 112.34% 0.2994 71.38% 0.2509 -157.54% -0.0828
Enterprise FCF Per Share
-178.55% -0.339 -31.74% 0.1286 281.99% 0.1845 -253.69% -0.1981
Shareholder FCF Per Share
-241.97% -0.3406 -36.27% 0.0838 729.79% 0.117 -21.19% -0.1533
EBIT Per Share
7.95% 0.429 -26.17% 0.2592 -33.13% 0.1538 31.35% 0.4047
Profitability
ROE Weighted
0.25% 11.900% -32.04% 7.170% -40.11% 4.210% 18.18% 12.480%
ROE
2.14% 11.298% -28.51% 7.005% -34.95% 4.130% 18.83% 11.620%
ROA
1.73% 9.236% -29.76% 5.582% -33.93% 3.317% 33.08% 9.662%
ROIC
-5.13% 10.733% -32.00% 6.759% -35.46% 4.052% 26.47% 11.931%
Net Profit Ratio
-11.41% 17.195% -19.06% 17.532% -10.91% 20.464% 39.70% 16.944%
Gross Income Ratio
-14.26% 33.564% -11.65% 35.608% -6.86% 37.978% 5.48% 38.322%
EBIT To Total Operating Revenue
-16.20% 19.189% -22.32% 20.043% -15.72% 23.829% 30.73% 19.041%
Period Costs Rate
-27.96% 12.264% -4.52% 14.505% 12.45% 14.560% -5.56% 18.710%
Operating Expense Rate
-26.52% 2.040% 16.18% 2.422% 41.85% 2.784% -20.55% 2.994%
Admini Expense Rate
-23.28% 6.806% -1.34% 7.783% 16.76% 7.110% -1.50% 9.333%
Financial Expense Rate
-494.30% -0.581% -208.04% -0.369% 125.15% 0.328% -71.65% 0.363%
Recurrent Net Profit
14.50% 159.55M -24.45% 93.57M -32.08% 53.78M 49.73% 143.44M
Operating Profit Ratio
-12.89% 19.762% -22.21% 19.925% -16.18% 23.487% 33.34% 18.920%
EBIT
7.90% 188.49M -26.19% 113.91M -32.98% 67.62M 40.41% 177.86M
Solvency
Current Ratio
-0.88% 4.0923 3.13% 4.1312 31.02% 4.6446 62.11% 4.255
Quick Ratio
6.57% 2.9852 -9.49% 2.7105 14.32% 2.9655 54.04% 2.5049
Debt Equity Ratio
6.75% 29.060% 3.21% 29.330% -17.67% 26.310% -36.90% 27.160%
Interest Cover(T)
-- -- -35.20% 179.7469 -62.56% 72.729 1,861.07% 560.6897
Shareholders Equity Without Minority Interests To Total Liabilities
-6.31% 342.984% -3.21% 339.796% 21.32% 378.720% 58.38% 366.835%
Shareholders Equity Without Minority Interests To Interest Bear Debt
-27.62% 1.3K% -21.68% 1.48K% 108.79% 2.45K% 88.95% 1.57K%
Long Debt To Working Capital
81.20% 0.1561 36.36% 0.1285 17.64% 0.1168 -22.86% 0.1052
Growth Ability
Average Net Profit YOY Past Five Year
-22.67% 161.676% -35.75% 122.715% 38.44% 104.411% 22.60% 91.896%
Sustainable Grow Rate
-8.30% 12.527% -38.17% 7.390% -43.04% 4.307% 28.46% 13.126%
Operating Capacity
Operating Cycle(D/T)
-17.80% 282.3121 23.20% 332.5464 47.79% 339.8823 10.75% 389.1155
Inventory Turnover Days(D/T)
-25.11% 166.4776 29.74% 222.3079 57.83% 234.2098 19.22% 269.2512
Accounts Receivable Turnover Days(D/T)
-4.39% 115.8344 11.83% 110.2386 29.53% 105.6725 -4.50% 119.8643
Inventory turnover Rate(T)
33.53% 1.6218 -22.92% 0.8097 -36.64% 0.3843 -16.13% 1.337
Accounts Receivable Turnover Rate(T)
4.59% 2.3309 -10.58% 1.6328 -22.80% 0.8517 4.71% 3.0034
Current Assets Turnover Rate(T)
19.23% 0.8295 -13.58% 0.4736 -27.06% 0.2391 -7.74% 0.8607
Total Assets Turnover Rate(T)
14.96% 0.5372 -13.15% 0.3184 -25.74% 0.1621 -4.65% 0.5696
Fixed Assets Turnover Rate(T)
-- -- 3.50% 2.0908 -- -- 15.02% 3.2236
Equity Turnover Rate(T)
9.62% 0.6908 -17.48% 0.4099 -31.34% 0.2062 -11.26% 0.7681
Cash Position
Free Cash Flow
-178.54% -148.97M -31.74% 56.51M 282.69% 81.11M -264.33% -87.08M
Net Profit Cash Cover
379.87% 89.267% 175.98% 132.015% 142.44% 189.921% -141.02% -23.005%
Operating Revenue Cash Cover
-16.06% 82.550% -6.78% 92.208% 5.50% 95.534% -4.64% 94.303%
Operating Cash In To Assets
388.70% 8.245% 94.04% 7.370% 60.34% 6.300% -154.64% -2.220%
Dividend Ability
Dividend Per Share
-- -- -- -- -- -- 44.00% 0.036
Dividend Cover(T)
-- -- -- -- -- -- 2.47% 9.9046
Cash Dividend Cover(T)
-- -- -- -- -- -- -142.67% -2.3017
Dividend Paid Ratio
-- -- -- -- -- -- -2.41% 10.096%
Retained Earning Ratio
0.00% 100.000% 0.00% 100.000% 0.00% 100.000% 0.28% 89.904%
Capital Structure
Debt Assets Ratio
5.23% 22.517% 2.48% 22.678% -13.99% 20.830% -29.02% 21.359%
Current Assets To Total Assets
-10.69% 62.144% -3.29% 66.806% -0.98% 67.859% 4.71% 67.704%
Non Current Assets To Total Assets
24.47% 37.856% 7.34% 33.195% 2.14% 32.142% -8.62% 32.296%
Fix Assets Ratio
-- -- -14.37% 14.702% -- -- -15.49% 16.273%
Interest Bearing Debt To Total Capital
35.44% 7.144% 25.81% 6.301% -50.12% 3.903% -44.30% 5.961%
Yield Quality
Invest Revenue From Associates To Total Profit
-- -0.100% -- -0.024% -- 0.000% -- -0.013%
Net Income From Value Changes To Total Profit
48.61% 0.950% 48.81% 1.074% 62,244.44% 0.561% 115.13% 1.081%
Recurrent Net Profit To Net Profit
0.38% 94.464% -1.75% 93.908% -4.14% 92.618% -0.21% 90.630%
Dupont Analysis
Equity Multipler_DuPont
-4.65% 1.286% -5.00% 1.287% -7.52% 1.272% -6.94% 1.348%
Net Profit of Parent Company OwnersTo Net Profit_DuPont
0.16% 100.037% -0.01% 100.162% -0.23% 99.897% -1.49% 98.992%
Net Profit To Total Operating Revenue_DuPont
-11.41% 17.195% -19.06% 17.532% -10.91% 20.464% 39.70% 16.944%
Net Profit To Total Profit_DuPont
1.94% 86.975% 4.40% 87.961% 6.63% 87.075% 3.31% 89.144%
Total Profit To EBIT_DuPont
3.70% 103.029% -0.20% 99.444% -0.86% 98.625% 3.44% 99.822%
EBIT To Total Operating Revenue_DuPont
-16.20% 19.189% -22.32% 20.043% -15.72% 23.829% 30.73% 19.041%
Currency Unit
CNYCNYCNYCNY

Q6, Q9, and FY are cumulative quarterly reports: Q6 is the interim report; Q9 is third quarter report; FY is the annual report.

The MOM data from the Quarterly report,MOM=(current period - last period)/last period *100%

Company Overview More
The company is based on the overall change and establishment of Dalian Electric porcelain Co., Ltd., registered in the Market Supervision Bureau of Jinpu New District of Dalian on September 2, 2009, and now holds a "business license" with a unified social credit code of 91210200118469736m. Place of registration: 88 Liaohe East Road, ShuangD Port, Dalian Economic and technological Development Zone, Liaoning Province. Legal representative: Ying Jian. The company's existing registered capital is RMB 407496000.00, with a total share capital of 407496000 shares, with a par value of RMB 1 per share. Among them: 675000 A shares with limited sales conditions and 406821000 A shares with unlimited sales conditions. The company's shares were listed on the Shenzhen Stock Exchange on August 5, 2011. The company is mainly engaged in the R & D, production and sales of porcelain for transmission lines, composite insulators, porcelain for power stations, and electric porcelain hardware. The company's main products include 70~840kN AC (DC) suspension porcelain insulators, 10~1000kV AC composite insulators, ±500 ~ ±1100kV DC composite insulators, pillar insulators / high voltage porcelain sleeves for 10kV~1000kV power stations and various electric porcelain fittings, etc. Corporate Honor: the company has won the titles of "China well-known Trademark", "most influential Brand of China Electrical Appliance Industry", "famous Trademark of Liaoning Province" and so on.
CEO: --
Market: --
Listing Date: 08/05/2011
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