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Financial information
 
      

The Main Financial Index of the Third Quarter in 2003

    At the end of The report   At the end of the  previous year  

Increasing or reducing(%) in comparison with the same period last year 

Total asset 1,596,183,175.86   984,070,906.36 62.20

Shareholders’ profit (without minority ones’)

  1,031,978,545.56   407,635,612,66   153.16
Net assets per share 2.9485   1.6305 80.83
Net assets per share after adjustment  

2.9191

  1.6246   79.68
     
    During the report period   From the beginning of the year to the end of the year  

Increasing or reducing(%) of this report period in comparison with the same period last year 

Net amount of cash flow in the business --   27,424,729.22 --

Profit per share

  0.0224   0.1356   -76.01%
Profit per share after deducting  extraordinary gain and loss 0.0226   0.1365 -76.18%
Net assets income ratio  

0.7630%

  4.59%   -60.29%
Net assets income ratio after deducting extraordinary gain and loss   0.7667%   4.63%   -60.94%
     

The Main Financial Index of the middle Period in 2003

    On June 30,2003   On June30,2002  

Increasing or reducing(%) in comparison with the same period last year 

Current assets 1,033,139,932.87   446,447,355.09 131.41

Current debt

  434,565,094.88   433,208,160.42   0.31
Total assets 1,601,942,337.79   1984,070,906.36 62.79
Rights and interests of the shareholders  

1,024,091,304.43

  407,635,612.66   151.24
Net assets per share   2.9260   1.6305   79.46
Net assets per share after adjustment   2.9097   1.6246   78.25
     
    Jan. to June in 2003   Jan. to June in 2002  

Increasing or reducing(%) of this report period in comparison with the same period last year 

Net profit 39,573,044.67   41,157,451.80 -3.85

Net profit after deducting extraordinary gain and  loss

  39,864,617.07   42,150,751.70   -5.43
The earning per share(apportionment) 0.1131   0.1646 -31.29
The earning per share(weighted)  

0.1582

  0.1646   -3.89
Net assets income ratio (apportionment)   3.86   9.72   -60.19
Net assets income ratio(weighted)   9.26   10.31   -61.78
Net amount of cash flow in business   49,488,843.98   77,807,707.56   -36.40
             
 
 
 
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