$ Junma Stock (5FJ) - Price and Fundamental Data | DZHI - DZH International
$ Junma (5FJ)

Company Info and Fundamentals

Principal Activities
Junma Tyre Cord Co Limited is principally engaged in the production and sale of Nylon 6 industrial yarn and Nylon 6 dipped tyre cords to customers in the PRC and abroad for use in the manufacture of bias-ply tyres. The Group also provides processing services of raw materials or semi-finished products, CPL ("Caprolactam") and Nylon 6 industrial yarn, to other Nylon 6 dipped tyre cord manufacturers.
Junma incorporated a subsidiary (STC) in July 2003 with a 55% shareholding to carry out the business of production and sale of steel tyre cords, which is the tyre reinforcement material adopted for the production of the more advanced radial-ply tyres. The Group's customer base includes top 15 tyre manufacturers in China.
Full NameJunma Tyre Cord Co LimitedStock No5FJ
ExchangeSingapore Exchange (SGX)BoardCatalist-NS
ISIN CodeYear-End31-Dec
Exchange SectorManufacturingSub Sector1
Par Value (CNY)1.0000Issued Shares (Mil)367.0000
Paid-Up Cap. (CNY Mil)18.4000Market Capitalization (Mil)33.0300
Share Price (SGD)
Current Price0.00
Previous Close0.09
Week High0.10
Week Low0.09
Month High0.10
Month Low0.08
52-week High0.16
52-week Low0.08
Share Price Performance(%)
MTD change-100.0000
YTD change-100.0000
Today Volume('000)0
100-day Average Daily Volume ('000)52.57
Technical Indicators-A shapshot
100-day Moving average0.00
Ratio (Daily)
Dividend Yield0.00
P/E ratio-32.14

Financial Ratios
Exchange Rate*---
Profitability Ratio
Return on Equity-29.551-29.577-135.957
Return on Revenue-0.896-1.066-6.542
Liquidity Ratio
Return on Equity0.9380.9590.766
Return on Revenue0.8390.8820.621
Gross Eps (cents) *-0.280-0.370-2.170
Dividend (cents) *0.0000.0000.000
Net tangible asset-1.035-1.209-0.201
Price to cash flow ratio0.0000.0000.000
Cash for per share1.891-1.0392.307
Price to book ratio0.0000.0000.000
* Calculation is based on the specific Currency Exchange Rate
Financial Ratios
2015 Q12014 Q42014 Q32014 Q2
Exchange Rate*----
Profitability Ratio
Return on Equity-34.140-29.5510.8517.955
Return on Revenue-4.250-0.8960.0440.648
Liquidity Ratio
Return on Equity0.9340.9370.9500.950
Return on Revenue0.8630.8370.8510.863
Gross Eps (cents) *-0.240-0.2800.0100.110
Dividend (cents) *0.0000.0000.0000.000
Net tangible asset-0.975-1.035-1.173-1.176
Price to cash flow ratio0.0000.0000.0000.000
Cash for per share-0.7892.8073.9022.426
Price to book ratio0.0000.0000.0000.000
* Calculation is based on the specific Currency Exchange Rate
No Data Avaliable