Financials Changshu Fengfan Power Equipment Co., Ltd.

Equities

601700

CNE100000Z83

Heavy Electrical Equipment

End-of-day quote Shanghai S.E. 06:00:00 2024-04-25 pm EDT 5-day change 1st Jan Change
4.7 CNY +0.21% Intraday chart for Changshu Fengfan Power Equipment Co., Ltd. +8.29% -6.19%

Valuation

Fiscal Period: December 2017 2018 2019 2020 2021 2022
Capitalization 1 9,111 4,329 7,321 5,406 6,969 5,835
Enterprise Value (EV) 1 9,549 4,605 7,300 6,034 7,715 6,605
P/E ratio 67 x 127 x -25.8 x 25.1 x 76.9 x 183 x
Yield 1.24% 4.71% - 2.1% 0.81% 0.2%
Capitalization / Revenue 4.13 x 2.17 x 2.49 x 2.08 x 2.18 x 2.13 x
EV / Revenue 4.33 x 2.31 x 2.48 x 2.32 x 2.41 x 2.41 x
EV / EBITDA 38.9 x 62.6 x 22.9 x 18 x 31 x 42.1 x
EV / FCF -263 x 40.3 x 23.6 x -7.94 x -85.4 x -66 x
FCF Yield -0.38% 2.48% 4.24% -12.6% -1.17% -1.52%
Price to Book 3.07 x 1.52 x 3.07 x 2.08 x 2.68 x 2.24 x
Nbr of stocks (in thousands) 1,133,232 1,133,232 1,133,232 1,133,232 1,133,232 1,141,839
Reference price 2 8.040 3.820 6.460 4.770 6.150 5.110
Announcement Date 4/27/18 4/25/19 4/27/20 3/30/21 4/19/22 4/28/23
1CNY in Million2CNY
Estimates

Income Statement Evolution (Annual data)

Fiscal Period: December 2017 2018 2019 2020 2021 2022
Net sales 1 2,207 1,994 2,940 2,601 3,198 2,739
EBITDA 1 245.3 73.54 318.1 336 248.6 156.9
EBIT 1 200.7 18.18 263.4 278.5 187 84.6
Operating Margin 9.1% 0.91% 8.96% 10.71% 5.85% 3.09%
Earnings before Tax (EBT) 1 168.1 33.07 -262.7 271.7 111.6 45.07
Net income 1 137.7 31.23 -279.1 218.5 93.34 32.25
Net margin 6.24% 1.57% -9.49% 8.4% 2.92% 1.18%
EPS 2 0.1200 0.0300 -0.2500 0.1900 0.0800 0.0280
Free Cash Flow 1 -36.38 114.3 309.6 -759.8 -90.37 -100.1
FCF margin -1.65% 5.73% 10.53% -29.22% -2.83% -3.66%
FCF Conversion (EBITDA) - 155.38% 97.32% - - -
FCF Conversion (Net income) - 365.96% - - - -
Dividend per Share 2 0.1000 0.1800 - 0.1000 0.0500 0.0100
Announcement Date 4/27/18 4/25/19 4/27/20 3/30/21 4/19/22 4/28/23
1CNY in Million2CNY
Estimates

Balance Sheet Analysis

Fiscal Period: December 2017 2018 2019 2020 2021 2022
Net Debt 1 437 276 - 628 746 770
Net Cash position 1 - - 20.8 - - -
Leverage (Debt/EBITDA) 1.783 x 3.749 x - 1.87 x 2.999 x 4.909 x
Free Cash Flow 1 -36.4 114 310 -760 -90.4 -100
ROE (net income / shareholders' equity) 4.58% 1.04% -10.6% 8.83% 3.56% 1.29%
ROA (Net income/ Total Assets) 2.66% 0.25% 3.55% 3.72% 2.34% 1.06%
Assets 1 5,181 12,616 -7,869 5,867 3,984 3,056
Book Value Per Share 2 2.620 2.510 2.100 2.290 2.290 2.290
Cash Flow per Share 2 0.6000 0.6400 0.9100 0.8600 0.7000 0.7100
Capex 1 125 55.5 31.8 183 211 290
Capex / Sales 5.66% 2.78% 1.08% 7.02% 6.6% 10.58%
Announcement Date 4/27/18 4/25/19 4/27/20 3/30/21 4/19/22 4/28/23
1CNY in Million2CNY
Estimates
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