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Moomoo > Quotes > 01986 TSAKER NE > Key Indicators
01986 TSAKER NE
1.410
+0.010+0.71%
YOY
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(FY)2021/12/31(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30
Per Share IndicaTor
Operating Cash Flow Per Share
11.29% 0.2806 -52.72% 0.0773 -58.48% 0.2521 -59.57% 0.1635
Cash Flow Per Share
1547.31% 0.0933 -76.94% 0.0038 67.5% -0.0064 123.2% 0.0163
Operating Income Per Share
44.73% 2.1227 12.68% 0.8764 -24.97% 1.4667 -33.85% 0.7778
Net Asset Per Share
15.73% 2.2352 11.78% 2.0634 1.72% 1.9313 1.9% 1.846
Basic Earning Per Share
61.76% 0.2691 -32.44% 0.0961 -70.2% 0.1663 -67.9% 0.1423
Diluted  Earning Per Share
61.76% 0.2691 -32.44% 0.0961 -70.2% 0.1663 -67.9% 0.1423
Profitability
Gross Profit Ratio
-13.13% 30.335% -31.82% 28.456% -39% 34.921% -33.06% 41.736%
Operating Profit Ratio
4.42% 17.172% -40.59% 16.369% -60.11% 16.446% -48.26% 27.554%
Net Profit Ratio
12.52% 12.758% -41.55% 11.025% -60.22% 11.339% -50.13% 18.861%
Earning Before Tax Ratio
24.24% 17.271% -40.17% 14.532% -64.38% 13.902% -52.75% 24.290%
ROE
48.68% 12.903% -38.29% 4.838% -73.88% 8.679% -71.24% 7.839%
ROA
53.71% 9.340% -35.83% 3.515% -69.77% 6.076% -66.09% 5.477%
Yield Quality
Operating Profit To Total Profits
-15.95% 99.430% -0.7% 112.646% 11.98% 118.301% 9.51% 113.442%
Tax To Total Profits
41.72% 26.128% 7.98% 24.132% -31.63% 18.436% -15.43% 22.349%
Operating Cash To Total Revenue
-23.11% 13.219% -58.04% 8.819% -44.66% 17.191% -38.88% 21.018%
Capital Structure
Debt Assets Ratio
-6.95% 26.360% -7.57% 26.398% -10.26% 28.330% -15.93% 28.559%
Equity Multipler
-1.85% 1.3695 -2.94% 1.3587 -4.54% 1.3953 -7.62% 1.3998
Debt Equity Ratio
-9.44% 35.796% -10.28% 35.866% -14.32% 39.528% -22.3% 39.977%
Current Assets To tatal Assets
28.55% 35.527% 1.64% 30.777% -16.7% 27.636% -10.5% 30.281%
Non Current Assets To Total Assets
-10.9% 64.473% -0.71% 69.223% 8.29% 72.364% 5.37% 69.719%
Current Liabilities To tatal Liabilities
4.52% 94.095% -1.59% 91.481% -1.64% 90.029% -1.8% 92.956%
Non Current Liabilities To Total Liabilities
-40.78% 5.905% 20.94% 8.519% 17.74% 9.971% 32% 7.044%
Solvency
Current Ratio
32.19% 1.4323 11.74% 1.2745 -5.62% 1.0835 8.42% 1.1406
Quick Ratio
30.13% 1.0229 10.03% 0.8996 0.71% 0.786 6.66% 0.8176
Operating Profit To Current Liabilities
36.8% 0.4801 -32.18% 0.2119 -65.08% 0.3509 -55.95% 0.3124
Operrating Cash Flow To Current Liabilities
0.74% 0.3696 -52.09% 0.1142 -51.56% 0.3669 -47.97% 0.2383
Share Equity Without Minority Interest To Total Liabilities
9.5% 2.7701 11.46% 2.7882 16.73% 2.5298 28.77% 2.5015
Operating Cash Flow To Total Liabilities
5.29% 0.3477 -52.85% 0.1044 -52.35% 0.3303 -48.91% 0.2215
Operating Profit To Total Liabilities
42.98% 0.4517 -33.25% 0.1939 -65.65% 0.316 -56.75% 0.2904
Operating Capacity
Inventory Turnover(T)
50.14% 5.7237 56.18% 2.7368 19.99% 3.8121 -4.39% 1.7524
Current Assets Turnover(T)
31.57% 2.3108 19.58% 1.0904 -15.33% 1.7563 -26.65% 0.9119
Fixed Assets Turnover(T)
40.5% 1.2329 7.57% 0.5198 -26.3% 0.8775 -32.39% 0.4832
Total Assets Turnover(T)
37.47% 0.7353 10% 0.3188 -24.22% 0.5349 -32.15% 0.2898
Growth Ability
Operating Revenue GR 3Y
1583.85% 25.918% -92.31% 1.161% -97.93% 1.539% -86.13% 15.097%
Gross Income GR 3Y
-52.03% 10.481% -117.72% -15.382% -91.4% 21.850% -72.07% 86.791%
Operating Profit GR 3Y
-314.34% -6.149% -123.76% -31.356% -99.09% 2.869% -68.97% 131.978%
EBT GR 3Y
343.97% 6.714% -126.8% -33.401% -100.77% -2.752% -73.29% 124.614%
Net Profit GR 3Y
68.46% 9.294% -123.83% -30.749% -98.32% 5.517% -69.71% 129.062%
Net Profit Attributable To The Parent Company GR 3Y
53.93% 8.772% -123.75% -30.758% -98.26% 5.699% -69.61% 129.518%
Total Assets GR 3Y
250.14% 9.445% -46.78% 5.525% -91.85% 2.697% -80.52% 10.381%
Share Equity Without Minority Interest GR 3Y
14.29% 52.014% -15.86% 46.687% -45.7% 45.509% -24.82% 55.487%
Equity GR 3Y
17.14% 53.214% -16.04% 46.587% -45.81% 45.426% -24.9% 55.487%
Total Liabilities GR 3Y
4.77% -39.132% -13.08% -40.750% -145.65% -41.091% -246.38% -36.036%
Basic Earning Per Share GR 3Y
76.32% 12.271% -130.65% -32.450% -93.56% 6.959% -30.63% 105.869%
Net Assets Per Share GR 3Y
16.15% 54.679% 323.71% 48.269% 516.73% 47.078% -33.11% -21.576%
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
Caike New Energy Technology Co., Ltd. is a Chinese company mainly engaged in the production and sales of dye intermediates, pigment intermediates, pesticide intermediates and battery materials, as well as environmental protection technology consulting business. The company's business is mainly divided into five divisions. Pigment Intermediates Division is mainly engaged in the production of pigment intermediates for pigment production. Dye Intermediates Division is mainly engaged in the production of dye intermediates for the production of dye-related products. Pesticide Intermediates Division is mainly engaged in the production of products used in pesticides. Battery Materials Division is mainly engaged in the production and sales of battery materials. The Environmental Technology Consulting Division is mainly engaged in environmental protection business.
CEO: Yi Ge
Market: Hong Kong motherboard
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