BBMG Corporation



Quote for BBMG Corporation

Last Trade:
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Symbol/Code:
601992
Status:
-
Stock Type:
A Share
Market Cap:
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Update:-
Currency in CNY Time=UTC+8601992 quote

Summary for BBMG Corporation

BBMG Corporation (BBMG) is engaged in the manufacture of building materials supplemented by property development and property investment, and management. It operates in four segments: cement segment, modern building materials segment, property development segment, and property investment and management segment. The cement segment engages in the manufacture and sale of cement and concrete. The modern building materials segment engages in the manufacture and sale of building materials and furniture. The property development segment engages in real estate development. The property investment and management segment invests in properties for their rental income and/or for capital appreciation, and provides management and security services to residential and commercial properties. During the year ended December 31, 2010, it acquired 60.64% equity interest in Zhenxing Cement and 13.33% interest in Zanhuang BBMG Cement and 100% equity interest in Shanghai Sanming Building Materials Co., Ltd.

Profile for BBMG Corporation

Full Name:BBMG Corporation
Full Name in Chinese:北京金隅股份有限公司 Short Name in Chinese:金隅股份
Symbol/Stock Code:
601992
Listed in:
Shanghai Stock Exchange
Issued Capital
-
Negotiable Capital:
-
Chairman:
Jiang Weiping
Secretary of the Board:
Wu Xiangyong
Phone:
+86-10-59575877
Fax:
+86-10-66410889
Official Website:www.bbmg.com.cn
E-mail:ir@bbmg.com.cn
Address:World Trade Center,No. 36, North Third Ring East,BEIJING BEJ 100013
IPO Subscription Date:
2011-02-10
Listing Date:
2011-03-01
IPO Issued Capital:
410404600
IPO Price:
9 CNY
IPO fees:
58165100 CNY
Money Raised by IPO:
3693640000 CNY
IPO Par Value:
1.00 CNY
Net Money Raised:
3635480000 CNY
Open(Listing day):
15.00 CNY
Close(Listing day):
15.05 CNY
Diluted P/E ratio after IPO:
20.4300
Turnover rate(listing day):
32.49%

Financials for BBMG Corporation

UPDATE:2012-11-02 Annual Report Abstract:(All Currency In CNY)

Indicators/Till The Date
2012-09-30
2011-12-31
2010-12-31
2009-12-31
Net Profit(after tax)(Million)
1808.2508
3428.6446
2755.6584
1889.8616
Net Profit Growth(%)
-23.03
24.42
45.81
44.53
Return On Equity(ROE)(%)
8.35
17.01
16.15
11.16
Debt ratio(%)
71.83
71.82
69.43
57.17
Net Operating Cash Flow/Net Profit(%)
99.54
-33.13
-121.79
36.88

Per Share Financial Data:(All Currency In CNY)

Per Share Indicators/Till The Date
2012-09-30
2011-12-31
2010-12-31
2009-12-31
Earnings Per Share(EPS)
0.4200
0.8100
0.7100
0.5800
Diluted Earnings Per Share
0.3200
0.4800
0.5100
0.4000
Net Asset Value Per Share (NAVPS)
5.0500
4.7000
4.4100
5.2300
Additional Paid-In Capital Per Share
1.2385
1.2400
1.4875
2.1760
Retained Earnings Per Share
2.7353
2.3852
1.8684
1.1962
Net Cash Flow From Operatings Activities Per Share
0.4200
-0.2700
-0.8700
0.2100
Net Cash Flow Per Share
-0.0566
0.0224
-0.3205
1.0732

Balance Sheet:(All Currency In CNY)

Assets And Liabilities/Till The Date
2012-09-30
2011-12-31
2010-12-31
2009-12-31
Total Assets(Million)
82657.8766
76912.9595
61221.3705
43913.5305
Total Liabilities(Million)
59377.4928
55197.3433
42892.0375
25107.6406
Current Liabilities(Million)
42475.9537
39385.9644
27673.5397
15823.0251
Long Term Liabilities(Million)
-
-
-
-
Cash And Cash Equivalents(Million)
7484.0586
7918.4794
5281.9295
6428.4988
Accounts Receivables(Million)
5028.5196
3490.9375
2654.0278
1750.3576
Deposit Received(Million)
12480.7264
11621.7783
7235.4671
5530.3179
Other Receivables(Million)
2544.2756
2545.7049
2686.9255
1988.0755
Bad Debt Reserve(Million)
-
-
-
-
Shareholder's Equity/Owner's Equity(Million)
21647.1476
20153.7792
17064.2118
16936.0413
Debt ratio(%)
71.83
71.82
69.43
57.17
Equity Ratio(%)
26.1800
26.1400
27.5200
38.5600
Current Ratio
1.1378
1.1374
1.1939
1.4154
Quick Ratio
0.4303
0.4466
0.4374
0.7383

Cash Flow Statement:(All Currency In CNY)

Cash Flow/Till The Date
2012-09-30
2011-12-31
2010-12-31
2009-12-31
Cash From Selling Commodities(Million)
22844.8641
26177.1291
20232.7043
15541.8467
Net Cash Flow From Operatings Activities(Million)
1799.9361
-1135.7814
-3356.1441
697.031
Net Cash Flow From Operatings Activities Change(%)
-241.34
-66.16
-581.49
-5.42
Net Cash Flow(Million)
-242.6564
95.8798
-1241.4749
4157.0514
Cash From Selling Commodities/Prime Revenue(%)
95.50
91.07
87.25
108.05
Net Cash Flow/Net Profit(%)
-13.42
2.80
-45.05
219.97
Cash Flow From Investing Activities(Million)
-2118.7405
-2417.6991
-9045.4396
-2715.4128
Cash Flow From Financing Activities(Million)
76.1436
3650.2282
11161.693
6175.6303

Income Statement:(All Currency In CNY)

Income Indicators/Till The Date
2012-09-30
2011-12-31
2010-12-31
2009-12-31
Prime Operating Revenue(Million)
23920.2515
28744.7939
23189.5968
14384.3031
Prime Operating Profit(Million)
-
-
-
-
Operating Costs(Million)
935.195
1173.8857
859.2187
593.4509
Administrative Costs(Million)
1647.469
2130.4155
1538.2283
1226.0587
Financing Costs(Million)
631.6904
797.4076
345.8795
226.7413
Above Three Costs Change(%)
20.09
49.52
34.07
36.36
Operating Profit(Million)
2183.1669
3581.5674
3028.0882
2165.493
Income From Investment(Million)
-24.4785
314.8944
32.9998
72.7754
Government Subsidies(Million)
-
-
-
-
Net Non-Operating Income And Expense(Million)
497.0377
1088.4415
906.7361
504.2521
Total Profit(Million)
2680.2046
4670.0089
3934.8242
2669.7451
Corporate Income Tax(Million)
709.2494
1076.8836
944.074
690.1496
Net Profit(Million)
1808.2508
3428.6446
2755.6584
1889.8616
Gross Profit Ratio(%)
26.51
27.66
26.23
27.67
Operating Margin(%)
9.12
12.45
13.05
15.05
Return On Equity(ROE)(%)
8.35
17.01
16.15
11.16