广联达 (002410)

GLODON COMPANY LIMITED

ASZ

K-Line Chart

No K-line data

Stock Details

1. Key Indicators

  • Total Shares(W): 165194.43
  • Circulating A-Shares(W): 158808.11
  • Earnings Per Share(RMB): 0.1894
  • Net Assets Per Share(RMB): 3.6020
  • Operating Revenue(W RMB): 426977.23
  • Total Profit(W RMB): 38328.70
  • Net Profit Attributable to Parent(W RMB): 31113.57
  • Net Profit Growth Rate(%): 45.90
  • Weighted Return on Equity(%): 5.2200
  • Operating Cash Flow Per Share(RMB): -0.0820
  • Undistributed Profit Per Share(RMB): 1.3676
  • Capital Reserve Per Share(RMB): 1.1668

2. Main Business

The main business covers:

  • Digital Design
  • Digital Cost
  • Digital Construction Business

3. Company Basic Information

  • Company Name: Glodon Company Limited
  • Listing Date: 2010-05-25
  • Industry: Software and Information Technology Services
  • Address: Building 13, East District, No. 10 Courtyard, Northwest Wangdong Road, Haidian District, Beijing
  • Website: www.glodon.com
  • Company Profile:The issuer was established as a joint stock company through the overall restructuring of Beijing Glodon Software Technology Co., Ltd. In December 2007, seven natural persons, including Diao Zhizhong, Tu Jianhua, Chen Xiaohong, Wang Jinhong, Qiu Shixun, Wang Xiaofang, and An Jinghe, acted as promoters, converting 67.3 million yuan of the audited net asset value of Glodon Limited as of October 31, 2007, into the company's share capital, with the remaining portion recorded as capital reserve. The total share capital at the time of the company's establishment was 67.3 million shares, with a par value of RMB 1 per share, totaling 67.3 million shares. Each promoter held shares in the company in proportion to their capital contribution in Beijing Glodon Software Technology Co., Ltd. The issuer completed the change registration at the Beijing Administration for Industry and Commerce on December 28, 2007, and obtained the Business License with registration number 110108004559577.

4. Top 10 Circulating Shareholders

Rank Institution Name Institution Type Shares Held (W) Percentage Held (%)
1 Hong Kong Securities Clearing Company Ltd. Northbound Capital 16058.53 10.11
2 National Social Security Fund Portfolio 102 Social Security Fund 3999.81 2.52
3 Bosera Growth Leading Flexible Allocation Hybrid Securities Investment Fund Class A Fund 2573.65 1.62
4 CSI 500 Exchange Traded Open-End Index Securities Investment Fund Fund 2404.44 1.51
5 Harvest Emerging Industries Stock Securities Investment Fund Fund 1628.24 1.03
6 Harvest Core Growth Hybrid Securities Investment Fund Class A Fund 1090.80 0.69
7 Harvest Taihe Hybrid Securities Investment Fund Fund 1033.30 0.65
8 Bosera Growth Advantage Hybrid Securities Investment Fund Class A Fund 797.25 0.50
9 Harvest Growth Open-End Securities Investment Fund Fund 781.59 0.49
10 Harvest Vision Select Two-Year Holding Hybrid Securities Investment Fund Fund 776.83 0.49

5. Concept Sectors

  • Internet of Things (IoT)
  • Xiong'an New Area
  • Domestic Software
  • Artificial Intelligence (AI)
  • Smart City
  • Digital Twin
  • Prefabricated Construction
  • Industrial Software
  • Data Element
  • Multimodal AI
  • Margin Trading & Securities Lending
  • Social Security Fund Heavy Holdings
  • MSCI Mid Cap
  • Special Loans
  • SME 100
  • SZSE 300
  • Technology 100
  • CCTV 50
  • SME 300
  • Blockchain 50
  • Innovation 100

Remarks

  • Data update date: 2026-01-01
  • Data source: Public Market Information