Financials Jiangxi Haiyuan Composites Technology Co.,Ltd.

Equities

002529

CNE100000Y68

Construction Materials

End-of-day quote Shenzhen S.E. 06:00:00 2024-04-25 pm EDT 5-day change 1st Jan Change
6.34 CNY +0.96% Intraday chart for Jiangxi Haiyuan Composites Technology Co.,Ltd. +1.60% -50.00%

Valuation

Fiscal Period: December 2017 2018 2019 2020 2021 2022
Capitalization 1 4,001 1,765 1,492 1,966 7,995 4,519
Enterprise Value (EV) 1 3,984 1,995 1,812 1,967 8,038 4,642
P/E ratio 570 x -10.1 x -2.79 x 59.8 x -73 x -30.2 x
Yield - - - - - -
Capitalization / Revenue 14.7 x 7.34 x 6.86 x 6.55 x 31.5 x 12.4 x
EV / Revenue 14.6 x 8.29 x 8.32 x 6.55 x 31.7 x 12.8 x
EV / EBITDA 158 x -13.4 x -7.58 x -464 x -141 x -66.7 x
EV / FCF -32.3 x -12.1 x 82.4 x 19.9 x -177 x 58.5 x
FCF Yield -3.1% -8.25% 1.21% 5.01% -0.57% 1.71%
Price to Book 2.55 x 1.27 x 1.81 x 2.29 x 10.7 x 7.6 x
Nbr of stocks (in thousands) 260,000 260,000 260,000 260,000 260,000 260,000
Reference price 2 15.39 6.790 5.740 7.560 30.75 17.38
Announcement Date 4/24/18 4/29/19 4/29/20 4/28/21 4/25/22 4/26/23
1CNY in Million2CNY
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2017 2018 2019 2020 2021 2022
Net sales 1 272.2 240.6 217.7 300.3 253.9 363.9
EBITDA 1 25.24 -149.2 -239.1 -4.238 -56.98 -69.61
EBIT 1 -15.23 -199.6 -297.8 -56.52 -96.69 -110
Operating Margin -5.6% -82.97% -136.82% -18.82% -38.08% -30.24%
Earnings before Tax (EBT) 1 7.233 -207.1 -484.7 51.96 -115.7 -152.6
Net income 1 7.008 -175.1 -535.5 32.87 -109.5 -149.6
Net margin 2.57% -72.78% -246.02% 10.94% -43.1% -41.11%
EPS 2 0.0270 -0.6735 -2.060 0.1264 -0.4210 -0.5755
Free Cash Flow 1 -123.5 -164.7 21.97 98.63 -45.44 79.29
FCF margin -45.35% -68.45% 10.1% 32.84% -17.9% 21.79%
FCF Conversion (EBITDA) - - - - - -
FCF Conversion (Net income) - - - 300.08% - -
Dividend per Share - - - - - -
Announcement Date 4/24/18 4/29/19 4/29/20 4/28/21 4/25/22 4/26/23
1CNY in Million2CNY
Estimates

Balance Sheet Analysis

Fiscal Period: December 2017 2018 2019 2020 2021 2022
Net Debt 1 - 230 319 1.52 43 123
Net Cash position 1 17.7 - - - - -
Leverage (Debt/EBITDA) - -1.539 x -1.335 x -0.3588 x -0.7543 x -1.766 x
Free Cash Flow 1 -123 -165 22 98.6 -45.4 79.3
ROE (net income / shareholders' equity) 0.45% -11.8% -48.3% 3.91% -13.6% -22.3%
ROA (Net income/ Total Assets) -0.5% -6.53% -11% -2.62% -5.27% -5.9%
Assets 1 -1,398 2,681 4,874 -1,257 2,076 2,535
Book Value Per Share 2 6.030 5.360 3.170 3.300 2.880 2.290
Cash Flow per Share 2 0.8800 0.5400 0.2000 0.3800 0.1000 0.2600
Capex 1 131 87.2 6.42 27.5 103 98.7
Capex / Sales 48.15% 36.24% 2.95% 9.16% 40.65% 27.11%
Announcement Date 4/24/18 4/29/19 4/29/20 4/28/21 4/25/22 4/26/23
1CNY in Million2CNY
Estimates
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