Zhuzhou Tianqiao Crane Co.,Ltd.



Quote for Zhuzhou Tianqiao Crane Co.,Ltd.

Last Trade:
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Symbol/Code:
002523
Status:
-
Stock Type:
A Share
Market Cap:
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Update:-
Currency in CNY Time=UTC+8002523 quote

Summary for Zhuzhou Tianqiao Crane Co.,Ltd.

Zhuzhou Tianqiao Crane Co., Ltd. is principally engaged in the research, development, manufacture and distribution of crane equipment. The Company primarily provides aluminum smelting special crane equipment, steel smelting special crane equipment, nuclear electricity generation cranes, electrolytic lead special crane equipment, port gantry cranes, railway paving equipment, general bridges, as well as gantry cranes, among others. The Company mainly operates its business within domestic markets.

Profile for Zhuzhou Tianqiao Crane Co.,Ltd.

Full Name:Zhuzhou Tianqiao Crane Co.,Ltd.
Full Name in Chinese:株洲天桥起重机股份有限公司 Short Name in Chinese:天桥起重
Symbol/Stock Code:
002523
Listed in:
Shenzhen Stock Exchange
Issued Capital
-
Negotiable Capital:
-
Chairman:
Cheng Guping
Secretary of the Board:
Fan Hongquan
Phone:
+86-731-22337000*8007
Fax:
+86-731-22337798
Official Website:www.tqcc.cn
E-mail:tqcc@tqcc.cn
Address:Tianxin North Gate,Tianxin North Gate, Shifeng Di,ZHUZHOU HUN 412001
IPO Subscription Date:
2010-12-01
Listing Date:
2010-12-10
IPO Issued Capital:
40000000
IPO Price:
19.5 CNY
IPO fees:
48455000 CNY
Money Raised by IPO:
780000000 CNY
IPO Par Value:
1.00 CNY
Net Money Raised:
731545000 CNY
Open(Listing day):
21.80 CNY
Close(Listing day):
22.20 CNY
Diluted P/E ratio after IPO:
59.0900
Turnover rate(listing day):
69.35%

Financials for Zhuzhou Tianqiao Crane Co.,Ltd.

UPDATE:2012-10-26 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)
7.9736
63.3437
73.2865
54.577
Net Profit Growth(%)
-83.57
-13.56
34.28
15.98
Return On Equity(ROE)(%)
0.75
5.94
7.08
22.76
Debt ratio(%)
24.15
23.24
25.42
60.16
Net Operating Cash Flow/Net Profit(%)
-126.35
-146.35
-31.98
39.62

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)
0.0300
0.4000
0.6100
0.4500
Diluted Earnings Per Share
0.0000
0.3800
0.5600
0.4400
Net Asset Value Per Share (NAVPS)
4.1400
6.6700
6.4700
2.0000
Additional Paid-In Capital Per Share
2.3441
4.3506
4.3493
0.0361
Retained Earnings Per Share
0.6889
1.1580
0.9988
0.8543
Net Cash Flow From Operatings Activities Per Share
-0.0400
-0.5800
-0.1500
0.1800
Net Cash Flow Per Share
-0.1611
-3.6312
3.8603
0.2429

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)
1461.679
1454.8072
1409.8527
637.797
Total Liabilities(Million)
353.097
338.122
358.5151
383.7379
Current Liabilities(Million)
340.4379
327.3713
354.7151
379.9379
Long Term Liabilities(Million)
-
-
-
-
Cash And Cash Equivalents(Million)
40.9533
80.2572
678.9327
47.0897
Accounts Receivables(Million)
459.0383
385.1478
293.3469
204.1047
Deposit Received(Million)
70.6074
51.7986
106.6052
113.7323
Other Receivables(Million)
12.5493
15.0043
8.1817
5.6271
Bad Debt Reserve(Million)
-
-
-
-
Shareholder's Equity/Owner's Equity(Million)
1059.1363
1067.1628
1035.6122
239.7807
Debt ratio(%)
24.15
23.24
25.42
60.16
Equity Ratio(%)
72.4600
73.3500
73.4500
37.5900
Current Ratio
3.4006
3.6401
3.4117
1.2310
Quick Ratio
2.8042
3.0678
2.8816
0.7783

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)
281.249
268.8602
210.929
309.3892
Net Cash Flow From Operatings Activities(Million)
-10.0746
-92.7047
-23.4336
21.6243
Net Cash Flow From Operatings Activities Change(%)
-74.44
295.61
-208.37
-8.69
Net Cash Flow(Million)
-41.2532
-580.9983
617.6515
29.1472
Cash From Selling Commodities/Prime Revenue(%)
67.44
43.06
34.82
55.23
Net Cash Flow/Net Profit(%)
-517.37
-917.22
842.79
53.41
Cash Flow From Investing Activities(Million)
-25.0152
-463.5356
-27.3801
-20.9203
Cash Flow From Financing Activities(Million)
-6.0462
-24.7837
668.4654
28.4434

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)
417.0096
624.36
605.8288
560.1469
Prime Operating Profit(Million)
-
-
-
-
Operating Costs(Million)
22.8069
26.8993
32.5745
29.7585
Administrative Costs(Million)
39.2922
44.4469
37.3523
36.6976
Financing Costs(Million)
-8.2026
-13.0431
5.2764
4.2239
Above Three Costs Change(%)
48.01
-22.47
6.40
-2.02
Operating Profit(Million)
37.8666
74.4126
81.8047
61.9497
Income From Investment(Million)
-
-
-
-
Government Subsidies(Million)
-
-
-
-
Net Non-Operating Income And Expense(Million)
-25.1549
2.0537
7.5119
2.6757
Total Profit(Million)
12.7116
76.4664
89.3166
64.6254
Corporate Income Tax(Million)
2.6174
10.2517
13.8031
8.4897
Net Profit(Million)
7.9736
63.3437
73.2865
54.577
Gross Profit Ratio(%)
23.48
23.03
27.74
25.12
Operating Margin(%)
9.08
11.91
13.50
11.05
Return On Equity(ROE)(%)
0.75
5.94
7.08
22.76

Announcements for Zhuzhou Tianqiao Crane Co.,Ltd.

Date: 2012-09-03
Title: EGM RESOLUTION
The Company held its 1st Extraordinary General Meeting of 2012 on 31 August 2012, during which the following proposal(s) was/were approved:
1. By-election of directors
2. Appointment of 2012 audit firm
3. Amendments to the Company's articles of association
4. Shareholder return plan for the next three years from 2012 to 2014
Date: 2012-08-16
Title: EGM-SPOT
The Company will hold the 1st Extraordinary General Meeting of 2012 at 09:00 on 31 August 2012.

Meeting agenda:
1. By-election of directors
2. Appointment of 2012 audit firm
3. Amendments to the Company's articles of association
4. Shareholder return plan for the next three years from 2012 to 2014


Meeting attendees:
1. A-share holders registered at CSDCC Shenzhen after the close of trading on 24 August 2012 are entitled to vote. Original notarized power of attorney for voting is required.
2. Directors of the board, supervisors of the supervisory committee, senior executives and appointed lawyers are entitled to attend the meeting.

Registration period: from 28 August 2012 to 29 August 2012
Date: 2012-05-15
Title: DIVIDEND IMPLEMENTATION (CASH AND BONUS ISSUE)
2011 final distribution plan to be implemented (A shares):

1. Cash dividend/10 shares (tax included): CNY1.00000000
2. Bonus issue from profit (share/10 shares): none
3. Bonus issue from capital reserve (share/10 shares): 6.0000


Record date: 18 May 2012
Ex-date: 21 May 2012
Payment date: 21 May 2012
Listing date of the bonus issues: 21 May 2012.
10 percent withholding tax on cash dividend will be deducted in CNY within the cash dividend receivable. Please refer to below details:
Tax on cash dividend/10 shares: CNY0.10000000(10 percent x CNY1.00000000)
Net cash dividend/10 shares after tax: CNY0.90000000(CNY1.00000000- CNY0.10000000)
Date: 2012-05-15
Title: BONUS ISSUE IMPLEMENTATION
2011 final distribution plan to be implemented (A shares):

1. Cash dividend/10 shares (tax included): CNY0.00000000
2. Bonus issue from profit (share/10 shares): none
3. Bonus issue from capital reserve (share/10 shares): 6.0000

Record date: 18 May 2012
Ex-date: 21 May 2012
Payment date: 21 May 2012
Listing date of the bonus issues: 21 May 2012.
Date: 2012-05-09
Title: AGM RESOLUTION
The Company held its Annual General Meeting of 2011 on 08 May 2012, during which the following proposal(s) was/were approved:
1. 2011 work report of the board of directors
2. 2011 work report of the supervisory committee
3. 2011 financial resolution report
4. 2012 financial budget report
5. 2011 profit distribution plan and bonus issue from capital reserve
6. 2011 annual report and its summary
7. 2012 continuing connected transactions estimate
8. Change of directors
9. Amendments to the Company's raised fund management system
10. Amendments to the Company's articles of association
The detailed profit distribution plan are as follows:
1) Cash dividend/10 shares (tax included): CNY1.00000000
2) Bonus issue from profit (share/10 shares): none
3) Bonus issue from capital reserve (share/10 shares): 6.00.
Date: 2012-04-17
Title: FINAL DIVIDEND
The Company issued its 2011 annual report on 17 April 2012.

The profit distribution proposal for 2011:
1. Cash dividend/10 shares (tax included): CNY1.00000000
2. Bonus issue from profit (share/10 shares):none
3. Bonus issue from capital reserve (share/10 shares):6.0000.
Date: 2012-04-17
Title: AGM-SPOT
The Company will hold the 2011 Annual General Meeting at 09:00 on 08 May 2012.

Meeting agenda:
1. 2011 work report of the board of directors
2. 2011 work report of the supervisory committee
3. 2011 financial resolution report
4. 2012 financial budget report
5. 2011 profit distribution plan and bonus issue from capital reserve
6. 2011 annual report and its summary
7. 2012 continuing connected transactions estimate
8. Change of directors
9. Amendments to the Company's raised fund management system
10. Amendments to the Company's articles of association
The detailed profit distribution plan are as follows:
1) Cash dividend/10 shares (tax included): CNY1.00000000
2) Bonus issue from profit (share/10 shares): none
3) Bonus issue from capital reserve (share/10 shares): 6.0000

Meeting attendees:
1. A-share holders registered at CSDCC Shenzhen after the close of trading on 03 May 2012 are entitled to vote. Original notarized power of attorney for voting is required.
2. Directors of the board, supervisors of the supervisory committee, senior executives and appointed lawyers are entitled to attend the meeting.

Registration period: 07 May 2012
Date: 2011-12-07
Title: RESTRICTED SHARE LISTING
Among the Company's 66692950 restricted shares to be unlocked on 12 December 2011, 53727426 of them will be tradable on the Shenzhen Stock Exchange on that day.
Date: 2011-03-25
Title: DIVIDEND IMPLEMENTATION (CASH ONLY)
2010 FINAL DISTRIBUTION PLAN TO BE IMPLEMENTED (A SHARES):

1. CASH DIVIDEND/10 SHARES (TAX INCLUDED): CNY2.000000
2. BONUS ISSUE FROM PROFIT (SHARE/10 SHARES): NONE
3. BONUS ISSUE FROM CAPITAL RESERVE (SHARE/10 SHARES): NONE


RECORD DATE: 30MAR11
EX-DATE: 31MAR11
PAYMENT DATE: 31MAR11

10 PERCENT WITHHOLDING TAX ON CASH DIVIDEND WILL BE DEDUCTED IN CNY WITHIN THE CASH DIVIDEND RECEIVABLE. PLEASE REFER TO BELOW DETAILS:
TAX ON CASH DIVIDEND/10 SHARES: CNY0.200000(10 PERCENT X CNY2.000000)
NET CASH DIVIDEND/10 SHARES AFTER TAX: CNY1.800000(CNY2.000000- CNY0.200000)
Date: 2011-03-22
Title: AGM RESOLUTION
THE CO HELD ITS 2010 AGM ON 21MAR11, DURING WHICH THE FOLLOWING PROPOSAL(S) WAS/WERE APPROVED:
1. 2010 WORK REPORT OF THE BOARD OF DIRECTORS
2. 2010 WORK REPORT OF THE SUPERVISORY COMMITTEE
3. 2010 FINANCIAL RESOLUTION REPORT
4. 2011 FINANCIAL BUDGET REPORT
5. 2010 PROFIT DISTRIBUTION PLAN
6. 2010 REMUNERATION AND EVALUATION REPORT AND 2011 REMUNERATION AND EVALUATION PLAN FOR DIRECTORS, SUPERVISORS AND SENIOR MANAGEMENT
7. 2010 ANNUAL REPORT AND ITS ABSTRACT
8. RE-APPOINTMENT OF 2011 AUDIT FIRM
THE DETAILED PROFIT DISTRIBUTION PLAN ARE AS FOLLOWS:
1) CASH DIVIDEND/10 SHARES (TAX INCLUDED): CNY2.0000
2) BONUS ISSUE FROM PROFIT (SHARE/10 SHARES): NONE
3) BONUS ISSUE FROM CAPITAL RESERVE (SHARE/10 SHARES): NONE