Red Avenue New Mater...
SHSE:603650
¥ 49,16
+ ¥0,31 (0,63%)
49,16 ¥
+¥0,31 (0,63%)
End-of-day quote: 04/07/2026

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

¥0,00
Earnings Per Share
¥5,46
Revenue Per Share
24,55%
Gross Margin %
¥29,95 B
Market Cap
¥1,96 B
Long-Term Debt
Earnings Per Share
¥0,00
Revenue Per Share
¥5,46
Gross Margin %
24,55%
Market Cap
¥29,95 B
Long-Term Debt
¥1,96 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017
EPS Earnings Per Share ¥0,86 ¥0,68 ¥0,49 ¥0,55 ¥0,70 ¥0,56 ¥0,74 ¥0,60
Earnings Earnings ¥515,21M ¥407,88M ¥292,10M ¥328,43M ¥410,19M ¥328,15M ¥433,63M ¥316,31M
RPS Revenue Per Share ¥5,46 ¥4,91 ¥4,19 ¥3,87 ¥3,49 ¥3,77 ¥3,71 ¥3,61
Revenue Revenue ¥3,27B ¥2,94B ¥2,50B ¥2,31B ¥2,05B ¥2,21B ¥2,17B ¥1,90B
OCF Operating Cash Flow ¥242,60M ¥184,12M ¥102,75M ¥344,72M ¥206,97M ¥418,78M ¥0,00M ¥0,00M
FCF Free Cash Flow ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M
OM Operating Margin 9,07% 8,25% 7,48% 8,33% 18,10% 19,92% 21,89% 0,00%
GM % Gross Margin % 24,55% 23,68% 23,40% 24,17% 33,51% 34,70% 36,20% 0,00%
FCFS Free Cash Flow Per Share ¥-0,02 ¥0,02 ¥-0,44 ¥-0,60 ¥0,16 ¥0,59 ¥0,33 ¥0,00
LT Debt Long-Term Debt ¥1,96B ¥1,81B ¥1,47B ¥863,49M ¥93,28M N/A N/A N/A
Sha. Stocks 599,08M 599,83M 596,12M 597,15M 585,99M 585,99M 585,99M 527,19M
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