Shenzhen Jianyi Decoration Group Co., Ltd.

SZSE:002789 Rapporto sulle azioni

Cap. di mercato: CN¥1.7b

Shenzhen Jianyi Decoration Group Salute del bilancio

Salute finanziaria criteri di controllo 3/6

Shenzhen Jianyi Decoration Group has a total shareholder equity of CN¥295.7M and total debt of CN¥1.9B, which brings its debt-to-equity ratio to 657%. Its total assets and total liabilities are CN¥10.3B and CN¥10.0B respectively.

Informazioni chiave

657.0%

Rapporto debito/patrimonio netto

CN¥1.94b

Debito

Indice di copertura degli interessin/a
ContantiCN¥924.38m
Patrimonio nettoCN¥295.73m
Totale passivitàCN¥10.05b
Totale attivitàCN¥10.34b

Aggiornamenti recenti sulla salute finanziaria

Nessun aggiornamento

Recent updates

Shenzhen Jianyi Decoration Group Co., Ltd. (SZSE:002789) Shares Fly 29% But Investors Aren't Buying For Growth

May 22
Shenzhen Jianyi Decoration Group Co., Ltd. (SZSE:002789) Shares Fly 29% But Investors Aren't Buying For Growth

Lacklustre Performance Is Driving Shenzhen Jianyi Decoration Group Co., Ltd.'s (SZSE:002789) 29% Price Drop

Mar 01
Lacklustre Performance Is Driving Shenzhen Jianyi Decoration Group Co., Ltd.'s (SZSE:002789) 29% Price Drop

Analisi della posizione finanziaria

Passività a breve termine: 002789's short term assets (CN¥7.2B) do not cover its short term liabilities (CN¥9.0B).

Passività a lungo termine: 002789's short term assets (CN¥7.2B) exceed its long term liabilities (CN¥1.1B).


Storia e analisi del rapporto debito/patrimonio netto

Livello di debito: 002789's net debt to equity ratio (344.4%) is considered high.

Riduzione del debito: 002789's debt to equity ratio has increased from 101.2% to 657% over the past 5 years.


Bilancio


Analisi della pista di contanti

Per le società che in passato sono state mediamente in perdita, valutiamo se hanno almeno un anno di liquidità.

Pista di liquidità stabile: 002789 has sufficient cash runway for more than a year based on its current free cash flow.

Previsione Cash Runway: 002789 has sufficient cash runway for 1.9 years if free cash flow continues to reduce at historical rates of 42.3% each year.


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