¥7.15
¥0.00 (0.00%)
End-of-day quote: 06/01/2024
SHSE:600325

Zhuhai Huafa Properties Co.,Ltd Annual Report

Year Year 2023 2022 2021 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
¥72.14B ¥59.19B ¥51.24B ¥33.15B ¥23.70B ¥19.95B ¥13.30B ¥8.31B ¥7.10B ¥7.02B ¥4.55B ¥5.99B ¥5.88B ¥4.01B ¥3.48B ¥2.17B ¥803.50M
GM % Gross Margin %
18.14% 18.90% 25.80% 29.61% 27.27% 28.00% 32.42% 29.16% 34.32% 30.75% 45.16% 38.82% 33.19% 38.35% 37.00% 37.27% 39.06%
OM Operating Margin
8.95% 8.00% 12.85% 11.88% 11.37% 12.65% 14.74% 10.22% 12.13% 12.76% 19.79% 18.85% 17.64% 21.49% 21.54% 19.46% 19.38%
EPS Earnings Per Share
¥0.00 ¥0.35 ¥1.05 ¥1.22 ¥1.22 ¥1.08 ¥0.76 ¥0.48 ¥0.42 ¥0.41 ¥0.34 ¥0.36 ¥0.52 ¥0.51 ¥0.46 ¥0.49 ¥0.32 ¥0.13
Div. Dividends
¥0.37 ¥0.37 ¥0.46 ¥0.40 ¥0.15 ¥0.30 ¥0.44 ¥0.08 ¥0.06 ¥0.11 ¥0.06 ¥0.06 ¥0.06 ¥0.06 ¥0.06 ¥0.03 ¥0.00
PR % Payout Ratio %
105.71% 35.24% 37.70% 32.79% 13.89% 39.47% 91.67% 19.05% 14.63% 32.35% 16.67% 11.54% 11.76% 13.04% 12.24% 9.38% 0
Sha. Shares
2766.48m 2117.16m 2117.16m 2117.22m 2117.95m 2118.31m 2104.28m 2104.28m 1470.68m 1470.68m 1470.68m 1470.68m 1470.68m 1470.68m 1470.68m 1137.45m 936m
OCF Operating Cash Flow
¥50.54B ¥38.34B ¥36.06B ¥28.03B ¥16.00B ¥11.10B ¥19.07B ¥277.87M ¥2.03B ¥871.81M ¥-609.40M ¥717.68M ¥3.13B ¥1.82B ¥435.52M ¥2.29B ¥763.05M
FCF Free Cash Flow
¥-3886.00M ¥7.64B ¥6.16B ¥4.02B ¥-3414.40M ¥-9678.87M ¥11.27B ¥-12240.08M ¥-16003.67M ¥-6259.78M ¥-3695.96M ¥-2120.59M ¥1.83B ¥-903.95M ¥-2545.14M ¥-481.05M ¥130.00M
FCFS Free Cash Flow Per Share
¥-0.79 ¥3.32 ¥2.58 ¥1.76 ¥-1.61 ¥-4.66 ¥5.31 ¥-8.00 ¥-10.86 ¥-4.26 ¥-2.51 ¥-1.44 ¥1.25 ¥-0.61 ¥-1.91 ¥-0.45 ¥0.14