Changshu Fengfan Power Equipment Co.,Ltd.



Quote for Changshu Fengfan Power Equipment Co.,Ltd.

Last Trade:
-
Change:
--
Symbol/Code:
601700
Status:
-
Stock Type:
A Share
Market Cap:
-
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+8601700 quote

Summary for Changshu Fengfan Power Equipment Co.,Ltd.

Changshu Fengfan Power Equipment Co., Ltd. is principally engaged in the research, development, design, production and distribution of electricity transmission line towers, as well as the production and distribution of power transformation supports and communication towers. The Company primarily provides angle-steel towers, steel tube towers, power transmission structural parts and other products. It distributes its products in domestic and overseas markets.

Profile for Changshu Fengfan Power Equipment Co.,Ltd.

Full Name:Changshu Fengfan Power Equipment Co.,Ltd.
Full Name in Chinese:常熟风范电力股份有限公司 Short Name in Chinese:风范股份
Symbol/Stock Code:
601700
Listed in:
Shanghai Stock Exchange
Issued Capital
-
Negotiable Capital:
-
Chairman:
Fan Jiangang
Secretary of the Board:
Chen Liangdong
Phone:
+86-512-52122997
Fax:
+86-512-52401600
Official Website:www.cstower.cn
E-mail:cstower@126.com
Address:No. 8 Renmin South Road,West Area of Centralized Industr,SUZHOU JNG 215554
IPO Subscription Date:
2011-01-06
Listing Date:
2011-01-18
IPO Issued Capital:
54900000
IPO Price:
35 CNY
IPO fees:
70154600 CNY
Money Raised by IPO:
1921500000 CNY
IPO Par Value:
1.00 CNY
Net Money Raised:
1851345400 CNY
Open(Listing day):
29.97 CNY
Close(Listing day):
29.96 CNY
Diluted P/E ratio after IPO:
59.2200
Turnover rate(listing day):
23.93%

Financials for Changshu Fengfan Power Equipment 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)
109.2154
108.9408
165.5376
131.9244
Net Profit Growth(%)
27.42
-34.18
25.47
66.26
Return On Equity(ROE)(%)
4.30
4.40
28.01
31.01
Debt ratio(%)
20.24
8.37
66.07
72.69
Net Operating Cash Flow/Net Profit(%)
71.36
3.35
36.56
-37.26

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)
0.5000
0.5100
1.0100
0.8600
Diluted Earnings Per Share
0.4900
0.4800
0.9500
0.8500
Net Asset Value Per Share (NAVPS)
11.5600
11.2700
3.5900
2.5800
Additional Paid-In Capital Per Share
9.1306
9.1306
1.2668
1.2668
Retained Earnings Per Share
1.2855
0.9882
1.1889
0.2844
Net Cash Flow From Operatings Activities Per Share
0.3500
0.0200
0.3700
-0.3000
Net Cash Flow Per Share
3.4472
2.0441
0.2941
0.0512

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)
3184.443
2700.639
1741.8133
1557.6943
Total Liabilities(Million)
644.8065
226.298
1150.8985
1132.3172
Current Liabilities(Million)
643.7094
225.1503
1149.6833
1031.0345
Long Term Liabilities(Million)
-
-
-
-
Cash And Cash Equivalents(Million)
1476.0618
1365.6347
290.1963
250.7335
Accounts Receivables(Million)
435.367
240.5768
387.8855
246.1541
Deposit Received(Million)
291.0002
90.4857
245.4465
424.0019
Other Receivables(Million)
5.2951
4.1023
7.2332
4.0895
Bad Debt Reserve(Million)
-
-
-
-
Shareholder's Equity/Owner's Equity(Million)
2539.6365
2474.341
590.9148
425.3772
Debt ratio(%)
20.24
8.37
66.07
72.69
Equity Ratio(%)
79.7500
91.6200
33.9200
27.3000
Current Ratio
4.3135
10.3990
1.1834
1.2402
Quick Ratio
3.2898
8.0536
0.7174
0.6110

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)
1403.0227
1390.9298
1125.4254
1530.7294
Net Cash Flow From Operatings Activities(Million)
77.9371
3.6456
60.5281
-49.1523
Net Cash Flow From Operatings Activities Change(%)
-198.57
-93.98
-223.14
-183.25
Net Cash Flow(Million)
756.9971
448.8936
48.4309
8.4308
Cash From Selling Commodities/Prime Revenue(%)
122.98
108.62
87.20
134.48
Net Cash Flow/Net Profit(%)
693.12
412.05
29.26
6.39
Cash Flow From Investing Activities(Million)
652.832
-727.5159
-108.0269
-101.7792
Cash Flow From Financing Activities(Million)
26.2279
1172.764
95.9297
159.3623

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)
1140.8503
1280.5265
1290.6674
1138.2161
Prime Operating Profit(Million)
-
-
-
-
Operating Costs(Million)
56.6779
43.6585
55.6543
70.7329
Administrative Costs(Million)
48.3483
65.3373
55.7868
46.4541
Financing Costs(Million)
-19.8991
-22.4577
29.389
27.286
Above Three Costs Change(%)
12.38
-38.55
-2.52
70.46
Operating Profit(Million)
126.539
133.9001
210.505
173.8213
Income From Investment(Million)
-
1.8633
2.1773
1.7859
Government Subsidies(Million)
-
-
-
-
Net Non-Operating Income And Expense(Million)
0.9811
4.4697
11.4217
2.8209
Total Profit(Million)
127.5201
138.3698
221.9267
176.6422
Corporate Income Tax(Million)
18.3047
29.429
56.389
44.7179
Net Profit(Million)
109.2154
108.9408
165.5376
131.9244
Gross Profit Ratio(%)
19.45
16.78
28.30
28.88
Operating Margin(%)
11.09
10.45
16.30
15.27
Return On Equity(ROE)(%)
4.30
4.40
28.01
31.01