Befar Group Co., Ltd.



Quote for Befar Group Co., Ltd.

Last Trade:
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Change:
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Symbol/Code:
601678
Status:
-
Stock Type:
A Share
Market Cap:
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Open:
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Prev Close:
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Bid:
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Ask:
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Volume(*100):
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Amount:
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P/B ratio
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Update:-
Currency in CNY Time=UTC+8601678 quote

Summary for Befar Group Co., Ltd.

Befar Group Co., Ltd is principally engaged in the production, processing and distribution of organic and inorganic chemical products. The Company mainly provides caustic soda, propylene oxide, dichloropropane solvent, triclene, assistant agents, fly ash bricks, crude salt and woven bags, among others. The Company also produces electricity and steam. The Company's products are mainly used in light industry, chemical engineering industry, textile industry, medicine industry, metallurgy industry and petroleum industry, among others. The Company distributes its products in both domestic and overseas markets.

Profile for Befar Group Co., Ltd.

Full Name:Befar Group Co., Ltd.
Full Name in Chinese:滨化集团股份有限公司 Short Name in Chinese:滨化股份
Symbol/Stock Code:
601678
Listed in:
Shanghai Stock Exchange
Issued Capital
-
Negotiable Capital:
-
Chairman:
Zhang Zhongzheng
Secretary of the Board:
Yu Jiang
Phone:
+86-543-2118571
Fax:
+86-543-2118592
Official Website:www.befar.com
E-mail:befar@befar.com
Address:No.560, Yellow River 5th Road,No. 869, Yellow River 5th Road,BINZHOU SDG 256619
IPO Subscription Date:
2010-02-08
Listing Date:
2010-02-23
IPO Issued Capital:
110000000
IPO Price:
19 CNY
IPO fees:
114000000 CNY
Money Raised by IPO:
2090000000 CNY
IPO Par Value:
1.00 CNY
Net Money Raised:
1976000000 CNY
Open(Listing day):
19.20 CNY
Close(Listing day):
22.14 CNY
Diluted P/E ratio after IPO:
38.0000
Turnover rate(listing day):
72.35%

Financials for Befar Group Co., Ltd.

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)
311.8355
608.8061
337.2789
266.7472
Net Profit Growth(%)
-38.43
80.50
26.44
226.34
Return On Equity(ROE)(%)
8.06
16.58
10.89
32.15
Debt ratio(%)
27.68
16.10
22.90
75.77
Net Operating Cash Flow/Net Profit(%)
167.06
99.59
67.47
68.81

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)
0.4725
0.9200
0.5300
0.6300
Diluted Earnings Per Share
0.4683
0.9200
0.5300
0.5200
Net Asset Value Per Share (NAVPS)
5.8600
5.5600
4.6900
1.8900
Additional Paid-In Capital Per Share
2.7308
2.7308
3.0473
0.4386
Retained Earnings Per Share
1.9468
1.6743
0.8803
0.9311
Net Cash Flow From Operatings Activities Per Share
0.7900
0.9200
0.3500
0.4200
Net Cash Flow Per Share
0.3140
0.2451
-0.2347
-0.0419

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)
5506.7835
4523.5604
4140.3172
3710.1864
Total Liabilities(Million)
1524.3912
728.6876
948.5093
2811.2371
Current Liabilities(Million)
791.4997
687.507
900.8163
2243.6871
Long Term Liabilities(Million)
-
-
-
-
Cash And Cash Equivalents(Million)
680.0171
472.8061
311.0515
465.9664
Accounts Receivables(Million)
65.5483
40.7856
87.0848
65.6406
Deposit Received(Million)
107.6383
60.671
29.1758
18.3739
Other Receivables(Million)
11.9302
7.27
7.2172
11.7809
Bad Debt Reserve(Million)
-
-
-
-
Shareholder's Equity/Owner's Equity(Million)
3869.9723
3672.3148
3096.6513
829.8257
Debt ratio(%)
27.68
16.10
22.90
75.77
Equity Ratio(%)
70.2700
81.1800
74.7900
22.3600
Current Ratio
3.1869
2.3944
1.4494
0.4209
Quick Ratio
2.9721
2.1751
1.2936
0.3849

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)
3071.4699
4445.8091
3420.8149
2035.9547
Net Cash Flow From Operatings Activities(Million)
520.9655
606.3351
227.5777
183.5428
Net Cash Flow From Operatings Activities Change(%)
-6.23
166.43
23.99
-270.83
Net Cash Flow(Million)
207.211
161.7545
-154.9148
-13.8384
Cash From Selling Commodities/Prime Revenue(%)
99.10
96.38
95.70
74.49
Net Cash Flow/Net Profit(%)
66.45
26.57
-45.93
-5.19
Cash Flow From Investing Activities(Million)
-873.022
-130.1593
-268.9914
-214.0391
Cash Flow From Financing Activities(Million)
559.2675
-313.1677
-113.5007
16.6583

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)
3099.5184
2116.9287
1105.5503
4612.7023
Prime Operating Profit(Million)
-
-
-
-
Operating Costs(Million)
-
-
-
-
Administrative Costs(Million)
-
-
-
-
Financing Costs(Million)
-
-
-
-
Above Three Costs Change(%)
Operating Profit(Million)
-
-
-
-
Income From Investment(Million)
46.4891
3.4578
-
35.2165
Government Subsidies(Million)
-
-
-
-
Net Non-Operating Income And Expense(Million)
-
-
-
-
Total Profit(Million)
-
-
-
-
Corporate Income Tax(Million)
-
-
-
-
Net Profit(Million)
311.8355
608.8061
337.2789
266.7472
Gross Profit Ratio(%)
Operating Margin(%)
Return On Equity(ROE)(%)
8.06
16.58
10.89
32.15