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Moomoo > Quotes > 03396 LEGENDHOLDING > Key Indicators
03396 LEGENDHOLDING
7.830
+0.080+1.03%
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
349.04% 7.398 -46.63% 11.5072 -78.85% 1.6475 394.28% 21.561
Cash Flow Per Share
70.47% -1.5516 -184.06% -3.5821 -240.61% -5.2546 481.98% 4.2615
Operating Income Per Share
1.18% 117.9561 20.77% 254.2867 35.73% 116.5809 14.18% 210.5629
Net Asset Per Share
0.39% 31.5427 4.36% 31.8045 14.42% 31.419 6.25% 30.4747
Basic Earning Per Share
-55.95% 1.0641 52.55% 3.0088 717.24% 2.4156 14.73% 1.9723
Diluted  Earning Per Share
-58.16% 0.9705 44.88% 2.7887 684.71% 2.3195 14.19% 1.9248
Profitability
Gross Profit Ratio
-0.05% 17.727% 4.13% 17.541% 1.37% 17.736% -4.52% 16.846%
Operating Profit Ratio
-49.94% 3.158% -1.82% 4.310% 58.49% 6.310% 10.03% 4.389%
Net Profit Ratio
-20.90% 3.017% 51.69% 3.276% 219.82% 3.814% -2.59% 2.160%
Earning Before Tax Ratio
-35.73% 3.320% 49.05% 4.509% 191.79% 5.166% 11.89% 3.025%
ROE
-56.81% 3.340% 45.48% 9.593% 632.95% 7.732% 9.18% 6.594%
ROA
-57.77% 0.303% 40.21% 0.876% 617.35% 0.718% 3.61% 0.625%
Yield Quality
Operating Profit To Total Profits
-22.12% 95.129% -34.13% 95.573% -45.68% 122.146% -1.66% 145.090%
Tax To Total Profits
-65.08% 9.137% -4.41% 27.351% -19.83% 26.169% 58.94% 28.611%
Operating Cash To Total Revenue
343.81% 6.272% -55.81% 4.525% -84.42% 1.413% 332.88% 10.240%
Capital Structure
Debt Assets Ratio
-1.24% 85.471% -0.39% 86.365% 0.81% 86.543% 1.66% 86.701%
Equity Multipler
1.52% 10.9266 3.02% 11.1096 -0.25% 10.7635 4.61% 10.7841
Debt Equity Ratio
-8.53% 588.278% -2.84% 633.413% 6.00% 643.127% 12.47% 651.943%
Current Assets To tatal Assets
6.98% 52.520% 7.02% 52.523% 1.67% 49.092% 4.38% 49.076%
Non Current Assets To Total Assets
-6.73% 47.480% -6.77% 47.477% -1.56% 50.908% -3.89% 50.924%
Current Liabilities To tatal Liabilities
7.80% 76.865% 1.85% 72.453% -0.08% 71.305% -3.81% 71.137%
Non Current Liabilities To Total Liabilities
-19.38% 23.135% -4.56% 27.547% 0.19% 28.695% 10.83% 28.863%
Solvency
Current Ratio
0.49% 0.7994 5.49% 0.8394 0.93% 0.7955 6.75% 0.7957
Quick Ratio
-0.58% 0.663 1.61% 0.7074 -3.24% 0.6669 4.11% 0.6962
Operating Profit To Current Liabilities
-53.32% 0.0165 8.70% 0.0496 87.11% 0.0352 15.60% 0.0456
Operrating Cash Flow To Current Liabilities
313.84% 0.0327 -51.07% 0.052 -81.61% 0.0079 354.78% 0.1064
Share Equity Without Minority Interest To Total Liabilities
-0.26% 0.1071 -2.55% 0.1042 -0.55% 0.1074 -5.97% 0.107
Operating Cash Flow To Total Liabilities
346.15% 0.0251 -50.17% 0.0377 -81.62% 0.0056 337.44% 0.0757
Operating Profit To Total Liabilities
-49.68% 0.0126 10.72% 0.0359 86.97% 0.0251 11.19% 0.0324
Operating Capacity
Inventory Turnover(T)
-20.79% 3.232 -16.37% 8.4998 -7.15% 4.0802 -6.92% 10.163
Current Assets Turnover(T)
-9.67% 0.6435 4.55% 1.4662 16.98% 0.7124 2.44% 1.4024
Fixed Assets Turnover(T)
-9.88% 8.4706 9.07% 19.8739 23.03% 9.3994 6.89% 18.2212
Total Assets Turnover(T)
-3.34% 0.338 10.55% 0.7457 20.49% 0.3497 3.65% 0.6745
Growth Ability
Operating Revenue GR 3Y
-24.17% 36.347% 48.61% 46.267% 105.90% 47.936% -2.30% 31.133%
Gross Income GR 3Y
-52.17% 34.788% 34.05% 67.114% 62.75% 72.738% -3.79% 50.066%
Operating Profit GR 3Y
-100.81% -1.312% -3.08% 79.346% 178.45% 162.855% 42.29% 81.870%
EBT GR 3Y
-80.01% 45.406% 141.15% 165.972% 4,135.54% 227.118% 136.32% 68.824%
Net Profit GR 3Y
-58.45% 60.270% 51.76% 128.071% 584.17% 145.059% 965.73% 84.389%
Net Profit Attributable To The Parent Company GR 3Y
-126.07% -17.719% 273.28% 41.404% 187.73% 67.956% 7.65% -23.894%
Total Assets GR 3Y
-74.25% 21.910% -67.12% 30.362% -6.40% 85.074% -1.42% 92.348%
Share Equity Without Minority Interest GR 3Y
-19.38% 10.070% 42.75% 13.980% 92.13% 12.491% -38.15% 9.794%
Equity GR 3Y
81.68% 17.498% 129.16% 19.528% -14.91% 9.631% -74.26% 8.522%
Total Liabilities GR 3Y
-78.84% 22.693% -72.71% 32.254% -7.85% 107.250% 7.29% 118.201%
Basic Earning Per Share GR 3Y
-126.19% -17.891% 273.12% 40.979% 187.93% 68.316% 6.62% -23.671%
Net Assets Per Share GR 3Y
-19.38% 10.070% 42.75% 13.980% 92.13% 12.491% -38.15% 9.794%
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
Lenovo Holdings Co., Ltd. was founded in 1984 by 11 researchers, including Liu Chuanzhi, invested by the Institute of Computing Technology of the Chinese Academy of Sciences. Starting from the IT industry, after more than 30 years of development, it has become a leading industrial investment and operation company in China, creating a unique two-wheel-driven business model of "strategic investment + financial investment", focusing on the real economy and scientific and technological innovation. Through value discovery and value creation, acquisition, construction and management of excellent and high-potential asset portfolio to promote the sustained growth of the company's value. Based on its deep understanding of the economy and enterprises, Lenovo Holdings has summed up and formed a distinctive investment concept and management system. Through forward-looking layout, clear investment strategy and continuous management and value-added services, Lenovo Holdings has built a number of influential and excellent enterprises in several fields. At the same time, Lenovo Holdings attaches great importance to and gives full play to the role of people, finds and trains leaders, creates a career stage for employees, and stimulates the development vitality of the enterprise. Business model Lenovo Holdings has a unique "strategic investment + financial investment" two-wheel drive business model, continue to pay attention to and layout of industrial and technology fields. Strategic investment is for the purpose of long-term holding, focusing on the strategic direction of acquisition, construction and optimization of asset portfolio to create a pillar business; financial investment is financial return-oriented, select the appropriate product and target portfolio investment. Strategic investment and financial investment, as the business main body of Lenovo Holdings, develop rapidly in their respective areas of expertise based on the principle of marketization; at the same time, the close coordination between the two in terms of business linkage, capital coordination and resource sharing can help the company better cope with market fluctuations, seize opportunities, and fully enhance Lenovo Holdings' value creation ability.
CEO: Min Ning
Market: Hong Kong motherboard
Listing Date: 06/29/2015
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