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Multi-dimentional Analyses
Company Valuation Capital Tracking Short Selling Data
301070 Kale Environment Technology
25.700
+0.220+0.86%
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
0.21% 12.2921 53.92% 11.9605 67.48% 12.1092 70.13% 12.1875
Basic Earning Per Share
-51.22% 0.6 -55.00% 0.27 -233.33% -0.08 -21.37% 1.03
Diluted  Earning Per Share
-51.22% 0.6 -55.00% 0.27 -233.33% -0.08 -21.37% 1.03
Earning Per Share
-34.47% 0.6039 -55.03% 0.2702 -227.91% -0.0802 -36.27% 0.8334
Diluted Earning Per Share(TTM)
-50.47% 0.5157 -55.30% 0.6535 -49.96% 0.7062 -36.27% 0.8334
Capital Surplus Funds Per Share
0.13% 6.4352 582.15% 6.4388 -- 6.4388 588.20% 6.4388
Undivided Profit Per Share
-1.22% 4.4211 -23.51% 4.0874 -- 4.237 -8.97% 4.3172
Operating Cash Flow Per Share
14.31% 0.6477 -68.80% 0.1758 -6,668.57% -0.2299 -29.53% 0.8534
Enterprise FCF Per Share
92.35% -0.143 62.58% -0.461 -128.83% -0.6408 -387.39% -5.9332
Shareholder FCF Per Share
94.79% -0.052 57.34% -0.3531 -123.90% -0.5311 -383.28% -5.3855
EBIT Per Share
-38.01% 0.6718 -52.27% 0.3298 -185.71% -0.0702 -36.66% 0.9718
Profitability
ROE Weighted
-68.97% 4.900% -72.76% 2.190% -175.86% -0.660% -43.06% 11.440%
ROE
-34.61% 4.913% -70.77% 2.260% -176.45% -0.663% -62.54% 6.838%
ROA
-50.91% 4.299% -68.60% 1.994% -168.34% -0.542% -48.35% 8.295%
ROIC
-55.23% 4.373% -71.90% 2.133% -152.55% -0.536% -52.26% 8.947%
Net Profit Ratio
-24.13% 15.967% -33.33% 13.430% -286.98% -17.607% -28.99% 16.037%
Gross Income Ratio
-5.41% 40.312% -7.34% 40.762% -- 41.848% -12.64% 41.824%
EBIT To Total Operating Revenue
-30.69% 16.935% -32.88% 15.305% -242.03% -16.262% -30.79% 18.282%
Period Costs Rate
22.87% 25.023% 11.82% 27.621% 82.16% 74.538% 4.41% 25.578%
Operating Expense Rate
21.36% 13.599% 14.28% 14.596% -- 39.054% 6.82% 12.974%
Admini Expense Rate
43.88% 9.372% 28.06% 10.412% -- 27.264% 9.99% 8.575%
Financial Expense Rate
-8,704.71% -1.643% -991.54% -1.718% -- -0.589% -98.25% 0.008%
Recurrent Net Profit
-43.27% 29.24M -47.14% 12.37M -3,780.64% -8.27M -11.53% 46.63M
Operating Profit Ratio
-23.44% 18.743% -29.74% 15.933% -235.82% -15.691% -28.76% 18.698%
EBIT
-38.01% 43.37M -36.31% 21.29M -214.46% -4.53M -15.47% 62.74M
Solvency
Current Ratio
-21.80% 5.4903 69.45% 5.4901 -- 11.7468 61.06% 9.0147
Quick Ratio
-23.09% 5.0087 85.32% 4.9485 -- 10.5003 65.95% 8.2665
Debt Equity Ratio
12.02% 23.625% -35.23% 23.473% -9.63% 14.346% -14.71% 15.530%
Shareholders Equity Without Minority Interests To Total Liabilities
-11.01% 419.955% 54.69% 423.046% 11.03% 693.145% 17.63% 640.569%
Shareholders Equity Without Minority Interests To Interest Bear Debt
19.88% 1.32K% 29.19% 1.27K% 107.83% 1.3K% -33.80% 1.47K%
Long Debt To Working Capital
17.50% 0.1048 -17.39% 0.0969 -- 0.0927 13.56% 0.0699
Growth Ability
Sustainable Grow Rate
-70.12% 5.197% -72.13% 2.375% -- -- -71.70% 6.353%
Operating Capacity
Operating Cycle(D/T)
32.03% 178.8244 23.46% 229.2748 -- 502.2224 -14.12% 140.0302
Inventory Turnover Days(D/T)
50.94% 106.6733 37.54% 139.5366 -- 359.0143 -2.22% 80.6398
Accounts Receivable Turnover Days(D/T)
11.40% 72.1511 6.51% 89.7382 -- 143.208 -26.30% 59.3904
Inventory turnover Rate(T)
-33.75% 2.5311 -27.30% 1.29 -- 0.2507 2.27% 4.4643
Accounts Receivable Turnover Rate(T)
-10.23% 3.7421 -6.11% 2.0058 5.26% 0.6285 35.69% 6.0616
Current Assets Turnover Rate(T)
-34.04% 0.3619 -57.54% 0.1976 -- 0.0406 -31.20% 0.6955
Total Assets Turnover Rate(T)
-34.98% 0.2692 -52.56% 0.1485 -63.11% 0.0308 -27.63% 0.5147
Fixed Assets Turnover Rate(T)
-- -- -- 1.1853 -- -- 26.53% 11.5529
Equity Turnover Rate(T)
-35.58% 0.3241 -56.01% 0.1785 -64.29% 0.0355 -32.19% 0.6056
Cash Position
Free Cash Flow
92.35% -9.23M 50.07% -29.76M -138.48% -41.37M -483.52% -383.02M
Net Profit Cash Cover
68.48% 102.257% -34.18% 60.753% -- -- 8.43% 100.107%
Operating Revenue Cash Cover
-1.16% 90.921% -10.98% 84.854% -- 154.401% 0.65% 96.556%
Operating Cash In To Assets
-16.88% 4.396% -79.19% 1.211% -4,164.28% -1.638% -44.28% 8.262%
Dividend Ability
Dividend Per Share
-- -- -- -- -- -- -- 0.5
Dividend Cover(T)
-- -- -- -- -- -- -- 1.6668
Cash Dividend Cover(T)
-- -- -- -- -- -- -- 1.7068
Dividend Paid Ratio
-- -- -- -- -- -- -- 59.994%
Retained Earning Ratio
0.00% 100.000% 0.00% 100.000% -- -- -59.99% 40.006%
Capital Structure
Debt Assets Ratio
9.72% 19.110% -28.53% 19.010% -8.42% 12.546% -12.73% 13.443%
Current Assets To Total Assets
-10.32% 71.351% 6.55% 72.716% -- 73.844% 15.57% 77.663%
Non Current Assets To Total Assets
40.19% 28.649% -14.08% 27.284% -- 26.156% -31.90% 22.337%
Fix Assets Ratio
-- -- -- 12.224% -- -- -57.34% 3.156%
Interest Bearing Debt To Total Capital
-15.67% 6.986% -20.82% 7.235% -48.04% 7.119% 48.27% 6.358%
Yield Quality
Net Income From Value Changes To Total Profit
472.82% 18.012% 485.78% 26.232% -- -- 75.70% 5.633%
Recurrent Net Profit To Net Profit
-16.39% 71.504% -16.46% 66.199% -- -- 2.01% 84.732%
Dupont Analysis
Equity Multipler_DuPont
-0.92% 1.204% -7.28% 1.202% -2.91% 1.156% -6.30% 1.177%
Net Profit of Parent Company OwnersTo Net Profit_DuPont
-3.42% 95.340% -5.12% 93.384% 13.39% 105.525% -1.95% 97.764%
Net Profit To Total Operating Revenue_DuPont
-24.13% 15.967% -33.33% 13.430% -286.98% -17.606% -28.99% 16.037%
Net Profit To Total Profit_DuPont
-0.30% 85.941% -5.39% 84.290% -- -- 1.54% 86.421%
Total Profit To EBIT_DuPont
9.79% 109.705% 4.99% 104.107% -- -- 1.05% 101.501%
EBIT To Total Operating Revenue_DuPont
-30.69% 16.935% -32.88% 15.305% -242.03% -16.262% -30.79% 18.282%
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
Keller Environmental Technology (Shanghai) Co., Ltd. (hereinafter referred to as "Keller"), founded in 2010 in Shanghai, China, focuses on "intelligent" high, sophisticated and cutting-edge technology products in the field of environmental science and technology. not only provide customers with excellent and safe high-performance products, but also provide professional and personalized ventilation and cooling solutions according to their different needs. Keller will introduce HVLS fan products into China, develop it into a new industry, and continue to drive the development and prosperity of the industry. The company is mainly engaged in the research and development, production, sales, installation and related technical services of HVLS fans. Since the establishment of the company, the main business has not changed significantly.
CEO: --
Market: --
Listing Date: 09/23/2021
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