Lier Chemical Co.,LT...
SZSE:002258
¥ 14,77
+ ¥0,23 (1,58%)
14,77 ¥
+¥0,23 (1,58%)
End-of-day quote: 03/27/2026

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

¥0,25
Earnings Per Share
¥9,13
Revenue Per Share
15,11%
Gross Margin %
¥11,82 B
Market Cap
¥2,25 B
Long-Term Debt
Earnings Per Share
¥0,25
Revenue Per Share
¥9,13
Gross Margin %
15,11%
Market Cap
¥11,82 B
Long-Term Debt
¥2,25 B

Financials

Year Year 2024 2023 2022 2021 2020 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008
EPS Earnings Per Share ¥0,25 ¥0,75 ¥2,31 ¥1,38 ¥0,79 ¥0,54 ¥0,27 ¥0,23 ¥0,17 ¥0,20 ¥0,17 ¥0,08 ¥0,13 ¥0,18 ¥0,16
Earnings Earnings ¥200,11M ¥600,33M ¥1,85B ¥1,02B ¥579,96M ¥396,42M ¥198,21M ¥130,37M ¥96,36M ¥113,37M ¥96,36M ¥45,35M ¥73,69M ¥102,03M ¥90,69M
RPS Revenue Per Share ¥9,13 ¥9,81 ¥12,65 ¥8,81 ¥6,77 ¥4,20 ¥2,70 ¥2,63 ¥2,32 ¥2,54 ¥0,00 ¥1,65 ¥0,79 ¥0,70 ¥0,71
Revenue Revenue ¥7,31B ¥7,85B ¥10,12B ¥6,49B ¥4,97B ¥3,08B ¥1,98B ¥1,49B ¥1,32B ¥1,44B ¥0,00M ¥936,01M ¥445,31M ¥394,21M ¥404,00M
OCF Operating Cash Flow ¥312,50M ¥938,57M ¥2,60B ¥1,32B ¥899,00M ¥0,00M ¥184,86M ¥156,80M ¥140,34M ¥108,90M ¥0,00M ¥0,00M ¥0,00M ¥0,00M ¥0,00M
FCF Free Cash Flow ¥397,03M ¥0,00M ¥397,03M ¥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 4,87% 11,49% 23,21% 21,73% 17,62% 17,27% 12,19% 11,27% 9,26% 11,98% 10,92% 8,41% 13,79% 25,27% 23,15%
GM % Gross Margin % 15,11% 22,76% 31,90% 31,70% 28,68% 28,47% 23,90% 23,84% 21,76% 22,03% 22,82% 21,85% 29,42% 39,75% 35,77%
FCFS Free Cash Flow Per Share ¥-1,09 ¥-1,29 ¥0,52 ¥0,70 ¥0,61 ¥-0,29 ¥-0,22 ¥-0,21 ¥-0,28 ¥-0,34 ¥-0,13 ¥-0,10 ¥0,01 ¥0,09 ¥-0,10
LT Debt Long-Term Debt ¥2,25B ¥2,08B ¥617,44M ¥1,60B ¥1,05B ¥365,50M ¥149,00M ¥209,00M ¥170,00M ¥50,00M N/A N/A N/A N/A N/A
Sha. Stocks 800,44M 800,44M 800,44M 737,48M 734,13M 734,12M 734,12M 566,84M 566,84M 566,84M 566,84M 566,84M 566,84M 566,84M 566,84M
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