TDG Holding
SHSE:600330
¥ 16,63
+ ¥0,57 (3,55%)
16,63 ¥
+¥0,57 (3,55%)
End-of-day quote: 03/25/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

¥0,16
Earnings Per Share
¥2,52
Revenue Per Share
19,57%
Gross Margin %
¥19,54 B
Market Cap
¥0,20 B
Long-Term Debt
Earnings Per Share
¥0,16
Revenue Per Share
¥2,52
Gross Margin %
19,57%
Market Cap
¥19,54 B
Long-Term Debt
¥0,20 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2014 2013 2007 2006
EPS Earnings Per Share ¥0,07 ¥0,26 ¥0,66 ¥0,42 ¥0,39 ¥0,17 ¥0,29 ¥0,16 ¥0,11 ¥0,02 ¥0,02 ¥0,13 ¥0,15
Earnings Earnings ¥85,21M ¥320,69M ¥814,06M ¥418,56M ¥388,66M ¥169,42M ¥289,01M ¥159,45M ¥109,62M ¥15,57M ¥14,13M ¥91,86M ¥94,86M
RPS Revenue Per Share ¥2,52 ¥2,99 ¥0,00 ¥4,10 ¥3,17 ¥2,79 ¥2,62 ¥2,19 ¥0,00 ¥1,50 ¥1,78 ¥1,78 ¥1,49
Revenue Revenue ¥3,07B ¥3,68B ¥0,00M ¥4,08B ¥3,16B ¥2,78B ¥2,61B ¥2,18B ¥0,00M ¥1,17B ¥1,26B ¥1,26B ¥944,53M
OCF Operating Cash Flow ¥195,42M ¥433,80M ¥0,00M ¥563,74M ¥-3,23M ¥-90,66M ¥92,32M ¥144,52M ¥0,00M ¥0,00M ¥81,71M ¥0,00M ¥0,00M
FCF Free Cash Flow ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M
OM Operating Margin -1,25% 5,16% 8,88% 8,53% 6,83% 5,36% 11,28% 6,43% 2,62% -1,89% -0,66% 5,87% 10,61%
GM % Gross Margin % 19,57% 20,23% 24,35% 25,54% 21,80% 22,92% 28,22% 21,87% 19,84% 19,03% 18,84% 16,65% 22,58%
FCFS Free Cash Flow Per Share ¥-0,71 ¥-0,07 ¥0,14 ¥0,06 ¥-0,29 ¥-0,34 ¥-0,24 ¥-0,11 ¥-0,25 ¥-0,24 ¥-0,25 ¥-0,15 ¥-0,17
LT Debt Long-Term Debt ¥200,15M N/A ¥58,27M ¥30,05M ¥50,24M ¥157,32M N/A ¥0,52M ¥1,04M ¥2,07M ¥27,59M ¥235,70M ¥230,70M
Sha. Stocks 1.217,28M 1.233,43M 1.233,43M 996,57M 996,57M 996,57M 996,57M 996,57M 996,57M 778,58M 706,58M 706,58M 632,38M
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