Jilin Expressway Co., Ltd.



Quote for Jilin Expressway Co., Ltd.

Last Trade:
-
Change:
--
Symbol/Code:
601518
Status:
-
Stock Type:
A Share
Market Cap:
-
Open:
-
Prev Close:
-
Bid:
-
Ask:
-
Volume(*100):
-
Amount:
-
Limit Up:
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Limit Down:
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Day's Range:
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P/E(ttm):
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P/B ratio
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Update:-
Currency in CNY Time=UTC+8601518 quote

Summary for Jilin Expressway Co., Ltd.

Jilin Expressway Co., Ltd. is principally engaged in the investment, development, construction, operation and management of toll highways. Through its subsidiaries, the Company is involved in the operation and management of Changping Expressway and the related service facilities along the way, as well as the operation and management of Changchun Around-city Expressway.

Profile for Jilin Expressway Co., Ltd.

Full Name:Jilin Expressway Co., Ltd.
Full Name in Chinese:吉林高速公路股份有限公司 Short Name in Chinese:吉林高速
Symbol/Stock Code:
601518
Listed in:
Shanghai Stock Exchange
Issued Capital
-
Negotiable Capital:
-
Chairman:
Zhang Yue
Secretary of the Board:
Zhang Xiangdong
Phone:
+86-431-84622188
Fax:
+86-431-84622168
Official Website:www.jlgsgl.com
E-mail:jlgs@jlgsgl.com
Address:No. 4488,Economic Development District,CHANGCHUN JLN 130033
IPO Subscription Date:
2010-02-26
Listing Date:
2010-03-19
IPO Issued Capital:
0
IPO Price:
0 CNY
IPO fees:
0 CNY
Money Raised by IPO:
0 CNY
IPO Par Value:
1.00 CNY
Net Money Raised:
0 CNY
Open(Listing day):
4.97 CNY
Close(Listing day):
4.30 CNY
Diluted P/E ratio after IPO:
-
Turnover rate(listing day):
18.02%

Financials for Jilin Expressway 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)
258.0566
214.389
136.8719
126.5927
Net Profit Growth(%)
42.82
56.63
8.11
62.77
Return On Equity(ROE)(%)
12.74
11.73
8.35
8.56
Debt ratio(%)
35.17
19.20
21.84
19.85
Net Operating Cash Flow/Net Profit(%)
148.78
134.70
110.28
-

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)
0.2100
0.1800
0.1100
0.1040
Diluted Earnings Per Share
0.2100
0.1300
0.0800
0.0000
Net Asset Value Per Share (NAVPS)
1.6700
1.5100
1.3500
1.2200
Additional Paid-In Capital Per Share
0.2614
0.2614
0.2614
0.0000
Retained Earnings Per Share
0.3714
0.2077
0.0698
0.0000
Net Cash Flow From Operatings Activities Per Share
0.3200
0.2400
0.1200
0.0000
Net Cash Flow Per Share
0.6233
0.0611
0.0809
0.0000

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)
3631.2551
2654.661
2490.8669
2318.6581
Total Liabilities(Million)
1277.3514
509.9454
544.0683
460.2585
Current Liabilities(Million)
328.2939
350.4454
384.5683
300.7585
Long Term Liabilities(Million)
-
-
-
-
Cash And Cash Equivalents(Million)
1245.7826
489.5739
415.4058
317.3112
Accounts Receivables(Million)
0.6907
0.0224
0.2322
9.0911
Deposit Received(Million)
-
-
0.7091
-
Other Receivables(Million)
10.1598
8.4415
7.4763
6.4473
Bad Debt Reserve(Million)
-
-
-
-
Shareholder's Equity/Owner's Equity(Million)
2026.2398
1827.63
1638.7182
1479.0211
Debt ratio(%)
35.17
19.20
21.84
19.85
Equity Ratio(%)
55.7900
68.8400
65.7800
63.7878
Current Ratio
4.8692
1.6314
1.1510
1.1224
Quick Ratio
4.8691
1.6314
-
1.1198

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)
593.6838
810.352
585.3152
-
Net Cash Flow From Operatings Activities(Million)
383.9355
288.779
150.9451
-
Net Cash Flow From Operatings Activities Change(%)
136.59
91.31
-
-
Net Cash Flow(Million)
756.2087
74.1681
98.0946
-
Cash From Selling Commodities/Prime Revenue(%)
101.52
100.02
100.88
-
Net Cash Flow/Net Profit(%)
293.04
34.60
71.67
-
Cash Flow From Investing Activities(Million)
-303.278
-144.801
-151.5983
-
Cash Flow From Financing Activities(Million)
675.5512
-69.8099
98.7479
-

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)
584.7899
810.1655
580.1937
487.2213
Prime Operating Profit(Million)
-
-
-
-
Operating Costs(Million)
-
-
-
-
Administrative Costs(Million)
73.9528
127.7734
87.5605
52.2443
Financing Costs(Million)
13.1099
4.9031
-4.1628
-5.9979
Above Three Costs Change(%)
6.06
59.09
80.33
-9.60
Operating Profit(Million)
344.3732
257.8543
108.2326
188.4948
Income From Investment(Million)
-
-
0.1
3.9561
Government Subsidies(Million)
-
-
-
-
Net Non-Operating Income And Expense(Million)
7.175
8.2831
7.402
3.9329
Total Profit(Million)
351.5481
266.1374
115.6347
192.4278
Corporate Income Tax(Million)
82.9132
43.0432
44.8249
58.569
Net Profit(Million)
258.0566
214.389
136.8719
126.5927
Gross Profit Ratio(%)
77.15
47.92
36.81
58.44
Operating Margin(%)
58.88
31.82
18.65
-
Return On Equity(ROE)(%)
12.74
11.73
8.35
8.56