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Moomoo > Quotes > 01129 WATER INDUSTRY > Key Indicators
01129 WATER INDUSTRY
0.130
-0.001-0.76%
YOY
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(Q6)2022/06/30(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31
Per Share IndicaTor
Operating Cash Flow Per Share
-95.43% 0.0038 -57.44% 0.1376 -34.78% 0.0828 28.78% 0.3233
Cash Flow Per Share
73.20% -0.034 -294.93% -0.0759 -245.42% -0.1268 163.73% 0.0389
Operating Income Per Share
-42.75% 0.2006 -2.46% 0.6901 5.00% 0.3504 -5.02% 0.7075
Net Asset Per Share
-48.72% 0.4709 -2.65% 0.8583 14.05% 0.9183 9.55% 0.8817
Basic Earning Per Share
-128.97% -0.0126 -500.00% -0.0276 3,007.14% 0.0435 -90.47% 0.0069
Diluted  Earning Per Share
-128.97% -0.0126 -500.00% -0.0276 3,007.14% 0.0435 -90.47% 0.0069
Profitability
Gross Profit Ratio
-16.08% 31.506% -10.24% 38.168% -10.49% 37.545% 1.71% 42.521%
Operating Profit Ratio
-81.91% 4.367% -68.67% 5.124% 60.47% 24.137% -21.75% 16.356%
Net Profit Ratio
-94.60% 1.078% -78.26% 2.319% 149.68% 19.974% -29.04% 10.665%
Earning Before Tax Ratio
-82.72% 4.401% -49.24% 8.124% 74.49% 25.464% -23.26% 16.005%
ROE
-136.72% -1.776% -484.60% -3.169% 2,692.92% 4.837% -91.08% 0.824%
ROA
-143.59% -0.639% -534.33% -0.928% 3,146.14% 1.465% -92.31% 0.214%
Yield Quality
Operating Profit To Total Profits
4.68% 99.227% -38.28% 63.076% -8.03% 94.788% 1.97% 102.189%
Tax To Total Profits
250.17% 75.506% 114.17% 71.459% -52.28% 21.562% 19.43% 33.365%
Operating Cash To Total Revenue
-92.02% 1.887% -56.37% 19.937% -37.89% 23.632% 35.58% 45.697%
Capital Structure
Debt Assets Ratio
1.62% 49.473% -17.68% 50.131% -21.28% 48.686% 1.23% 60.898%
Equity Multipler
4.21% 2.7441 -29.52% 2.8184 -33.70% 2.6332 7.95% 3.9989
Debt Equity Ratio
3.20% 97.916% -35.45% 100.526% -41.47% 94.879% 3.15% 155.744%
Current Assets To tatal Assets
11.82% 45.661% -15.80% 45.026% -23.24% 40.834% 9.34% 53.477%
Non Current Assets To Total Assets
-8.16% 54.339% 18.16% 54.974% 26.41% 59.166% -8.94% 46.523%
Current Liabilities To tatal Liabilities
-2.57% 78.525% 2.39% 79.654% 8.28% 80.600% 15.45% 77.797%
Non Current Liabilities To Total Liabilities
10.70% 21.475% -8.36% 20.346% -24.11% 19.400% -31.92% 22.203%
Solvency
Current Ratio
12.95% 1.1754 -0.10% 1.1276 -9.94% 1.0406 -6.44% 1.1287
Quick Ratio
9.66% 0.9996 19.71% 0.9468 8.73% 0.9116 -9.79% 0.791
Operating Profit To Current Liabilities
-80.42% 0.0174 -47.15% 0.0366 161.43% 0.0891 -46.22% 0.0693
Operrating Cash Flow To Current Liabilities
-91.36% 0.0075 -26.41% 0.1424 1.19% 0.0873 -6.82% 0.1936
Share Equity Without Minority Interest To Total Liabilities
-5.57% 0.7366 72.36% 0.7078 91.60% 0.78 -8.49% 0.4106
Operating Cash Flow To Total Liabilities
-91.58% 0.0059 -24.65% 0.1135 9.57% 0.0703 7.57% 0.1506
Operating Profit To Total Liabilities
-80.92% 0.0137 -45.89% 0.0292 183.07% 0.0718 -37.91% 0.0539
Operating Capacity
Inventory Turnover(T)
132.76% 1.4834 36.73% 1.1551 42.36% 0.6373 -49.72% 0.8448
Current Assets Turnover(T)
37.61% 0.3357 9.64% 0.464 15.47% 0.2439 -34.05% 0.4232
Fixed Assets Turnover(T)
6.56% 0.7608 -13.17% 1.347 -7.61% 0.7139 0.42% 1.5513
Total Assets Turnover(T)
29.08% 0.1522 6.77% 0.2322 9.16% 0.1179 -23.92% 0.2175
Growth Ability
Operating Revenue GR 3Y
-35.92% 13.139% -73.85% 15.958% -75.65% 20.504% -47.39% 61.013%
Gross Income GR 3Y
-189.97% -13.977% -92.37% 5.998% -84.42% 15.534% -35.51% 78.657%
Operating Profit GR 3Y
-181.82% -66.402% -116.65% -46.058% -83.19% 81.158% 185.40% 276.567%
EBT GR 3Y
-177.01% -65.806% -105.49% -16.527% -80.48% 85.451% 204.77% 300.811%
Net Profit GR 3Y
-180.31% -87.546% -106.07% -61.046% -46.22% 109.010% 809.42% 1004.990%
Net Profit Attributable To The Parent Company GR 3Y
-199.15% -191.955% -721.87% -762.353% 86.02% 193.605% -54.57% 122.590%
Total Assets GR 3Y
-146.75% -7.649% -89.42% 8.458% -78.19% 16.360% 9.70% 79.974%
Share Equity Without Minority Interest GR 3Y
-13.87% 10.613% 58.02% 12.370% 243.96% 12.321% 370.14% 7.828%
Equity GR 3Y
-37.03% 4.901% -55.74% 9.275% -47.17% 7.784% 32.96% 20.955%
Total Liabilities GR 3Y
-165.54% -17.704% -95.28% 7.657% -83.01% 27.012% 3.31% 162.084%
Basic Earning Per Share GR 3Y
-190.95% -176.364% -718.57% -757.143% 86.29% 193.919% -54.56% 122.403%
Net Assets Per Share GR 3Y
-412.83% -38.545% 58.02% 12.370% 243.96% 12.321% 370.15% 7.828%
Other Indicators
Currency Unit
HKDHKDHKDHKD

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
China Water Limited is a listed company on the main board of the Stock Exchange of Hong Kong (stock trading code 1129). Specializing in the investment and operation of Chinese mainland water projects and urban solid waste treatment, the Group is a professional investment company and operation management service provider in urban water and urban solid waste treatment industries. China Water has successively invested, built and operated a number of urban water supply companies and urban sewage treatment companies in China, and the projects are distributed in Shandong, Jiangsu, Jiangxi, Anhui, Guangdong, Hainan and other provinces. All the investment projects are in good condition, and actively discuss cooperation with cities in Shenyang, Tianjin, Guizhou, Sichuan, Henan and other provinces. China Water listed urban water supply as the main area of investment and actively participated in the restructuring process of the former state-owned water supply company, mainly in the form of the establishment of joint venture water supply company and the concession of water supply franchise to carry out the merger and operation of water supply company. The main business contents include the production, supply and sale of tap water, installation and transformation of water meters for water supply users, services, and construction of water supply facilities. At present, China Water regards sewage treatment and solid waste industry as an important investment direction, actively participates in the construction process of local sewage treatment and solid waste industry projects, and carries out investment, construction and operation of sewage treatment and solid waste industry by means of BOT, BOO or TOT. Since 2013, the Group has actively explored new areas of development. The Group has invested in the establishment of Qinghong (Nanjing) Renewable Resources Investment Co., Ltd., which is specially used to invest and acquire domestic waste biogas power generation projects. work with domestic major cities and scientific research institutions of colleges and universities to explore the most suitable methods for the treatment of municipal solid waste in China, so as to scientifically dispose of municipal solid waste and realize landfill recycling. "Let the sky blue land and green water to clear" China Water will become a standard enterprise in the municipal solid waste treatment industry. The group's investment concept follows the principle of specialization and refinement, emphasizing the professionalism of investment, and the scope of investment is limited to water supply, sewage treatment, urban solid waste treatment and other projects; the group's management concept follows the principle of modern enterprise system, emphasizes the localization of management, and strives to achieve a win-win situation among the government, employees, investors and other parties.
CEO: Yongjun Zhu
Market: Hong Kong motherboard
Listing Date: 01/17/2002
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