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Moomoo > Quotes > 02327 MEILLEUREHEALTH > Key Indicators
02327 MEILLEUREHEALTH
0.260
-0.005-1.89%
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
-219.22% -0.0198 -119.03% -0.015 178.67% 0.0166 -165.88% -0.0069
Cash Flow Per Share
-42.02% 0.0095 1641.01% 0.0076 1114.98% 0.0164 89.85% -0.0005
Operating Income Per Share
-3.26% 0.06 5.88% 0.033 12.93% 0.0621 22.74% 0.0312
Net Asset Per Share
3.33% 0.3389 12.89% 0.3376 11.22% 0.328 8.09% 0.299
Basic Earning Per Share
-27.18% 0.0142 1% 0.0101 506.25% 0.0195 -0.99% 0.01
Diluted  Earning Per Share
-27.69% 0.0141 0% 0.01 506.25% 0.0195 -0.99% 0.01
Profitability
Gross Profit Ratio
-4.94% 39.888% 15.54% 44.038% 37.14% 41.960% -6.05% 38.116%
Operating Profit Ratio
-5.93% 38.245% -3.69% 45.570% 481.32% 40.654% 11.82% 47.317%
Net Profit Ratio
-25.53% 23.893% -4.79% 30.651% 427.36% 32.084% -10.85% 32.192%
Earning Before Tax Ratio
-13.31% 33.871% -6.2% 41.261% 1816.45% 39.070% -3.36% 43.986%
ROE
-32.01% 4.265% -9.4% 3.038% 422.82% 6.272% -18.45% 3.354%
ROA
-28.19% 3.507% 0.3% 2.535% 464.42% 4.884% -3.04% 2.527%
Yield Quality
Operating Profit To Total Profits
8.51% 112.914% 2.67% 110.443% -- 104.056% 15.71% 107.573%
Tax To Total Profits
64.77% 29.460% -4.1% 25.714% -- 17.880% 29.73% 26.813%
Operating Cash To Total Revenue
-223.23% -32.909% -106.87% -45.529% 146.76% 26.705% -153.68% -22.009%
Capital Structure
Debt Assets Ratio
0.24% 17.637% -31.61% 15.278% -32.72% 17.594% -36.77% 22.338%
Equity Multipler
0.07% 1.2163 -8.64% 1.1824 -10.66% 1.2155 -17.66% 1.2941
Debt Equity Ratio
0.3% 21.413% -37.31% 18.033% -39.71% 21.350% -47.35% 28.764%
Current Assets To tatal Assets
-10.59% 50.413% 1.99% 54.750% 8.6% 56.386% -0.2% 53.683%
Non Current Assets To Total Assets
13.7% 49.587% -2.3% 45.250% -9.29% 43.614% 0.24% 46.317%
Current Liabilities To tatal Liabilities
-0.44% 36.187% -47.25% 26.278% -32.82% 36.348% 8.67% 49.820%
Non Current Liabilities To Total Liabilities
0.25% 63.813% 46.91% 73.722% 38.69% 63.652% -7.34% 50.180%
Solvency
Current Ratio
-10.42% 7.8989 182.71% 13.6374 140.29% 8.8173 45.25% 4.8237
Quick Ratio
-10.07% 7.7958 178.14% 13.2253 138.4% 8.6689 44.88% 4.7549
Operating Profit To Current Liabilities
-11.81% 0.8729 174.05% 0.9395 1361.85% 0.9898 124.46% 0.3428
Operrating Cash Flow To Current Liabilities
-215.52% -0.7511 -488.66% -0.9386 520.52% 0.6502 -207.75% -0.1595
Share Equity Without Minority Interest To Total Liabilities
-0.31% 4.6615 60.03% 5.5359 66.38% 4.676 92.09% 3.4592
Operating Cash Flow To Total Liabilities
-215.01% -0.2718 -210.49% -0.2466 316.87% 0.2363 -217.08% -0.0794
Operating Profit To Total Liabilities
-12.2% 0.3159 44.55% 0.2469 882.08% 0.3598 143.91% 0.1708
Operating Capacity
Inventory Turnover(T)
-13.25% 11.0271 -55.31% 3.5596 -20.93% 12.7119 47.93% 7.9649
Current Assets Turnover(T)
-3.83% 0.2757 -0.63% 0.149 -12.35% 0.2866 6.72% 0.15
Fixed Assets Turnover(T)
-28.65% 100.9499 15.54% 79.2809 45.44% 141.4808 244.37% 68.6172
Total Assets Turnover(T)
-5.21% 0.1471 4.61% 0.0828 -0.5% 0.1552 14.98% 0.0792
Growth Ability
Operating Revenue GR 3Y
-96.59% 9.755% -92.41% 7.324% 6.95% 285.904% -48.44% 96.504%
Gross Income GR 3Y
-93.44% 11.867% 26.62% 76.652% -36.48% 180.916% -87.23% 60.538%
Operating Profit GR 3Y
-188.16% -16.602% 57.03% 22.068% 91.36% -5.762% 2.09% 14.053%
EBT GR 3Y
-78126.88% -19.589% 28.5% 17.885% 100.02% 0.025% -37.85% 13.918%
Net Profit GR 3Y
-487.22% -25.843% -2.2% 10.765% 104.04% 6.674% -46.26% 11.008%
Net Profit Attributable To The Parent Company GR 3Y
-695.78% -25.099% -13.64% 11.200% 102.66% 4.213% -52.21% 12.969%
Total Assets GR 3Y
-42.06% 33.967% -46.49% 40.080% -70.49% 58.628% -68.15% 74.899%
Share Equity Without Minority Interest GR 3Y
-28.97% 74.790% -15.62% 90.104% -60.62% 105.293% -49.63% 106.785%
Equity GR 3Y
-29.02% 74.122% -16.11% 89.365% -60.75% 104.421% -50.53% 106.526%
Total Liabilities GR 3Y
-57.14% -35.499% -401.88% -42.667% -123.4% -22.591% -94.93% 14.134%
Basic Earning Per Share GR 3Y
-81.09% -33.953% 66.36% -5.607% 86.42% -18.750% 25.29% -16.667%
Net Assets Per Share GR 3Y
-14.72% 62.250% -9.37% 67.140% -52.55% 72.998% -15.99% 74.084%
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
Meirui Health International Industry Group Co., Ltd. is an investment holding company, mainly engaged in the sale and sale of health care products, chemical materials and building materials. The company operates through five business units. The Department of Health products, Chemical Materials and Building Materials is engaged in the business of buying and selling health products, chemical materials and building materials. The Research and Development Department is engaged in the research and development of chemical and biological products. The Investment and Finance Business Department is engaged in investment holding and finance business. Consultant and Marketing Agency Business Department is engaged in providing property marketing agency and consulting services. Property Development Department is engaged in the development of residential property business.
CEO: Xuzhou;cengwentao Zhou
Market: Hong Kong motherboard
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