新宏泽 (002836)

Guangdong New Grand Long Packing Co., Ltd.

ASZ

K-Line Chart

No K-line data

Stock Details

1. Key Indicators

  • Total Shares(W): 23040.00
  • Circulating A-Shares(W): 23040.00
  • Earnings Per Share(RMB): 0.1803
  • Net Assets Per Share(RMB): 1.6392
  • Operating Revenue(W RMB): 32643.42
  • Total Profit(W RMB): 4809.29
  • Net Profit Attributable to Parent(W RMB): 4026.43
  • Net Profit Growth Rate(%): -12.03
  • Weighted Return on Equity(%): 10.8900
  • Operating Cash Flow Per Share(RMB): 0.0240
  • Undistributed Profit Per Share(RMB): 0.2799
  • Capital Reserve Per Share(RMB): 0.1910

2. Main Business

The main business covers:

  • Design, production and sales of cigarette packaging

3. Company Basic Information

  • Company Name: Guangdong New Grand Long Packing Co., Ltd.
  • Listing Date: 2016-12-29
  • Industry: Light Industry Manufacturing - Packaging and Printing
  • Address: Hongze Industrial Park, Beizhan Second Road, North Industrial Zone, Chaozhou Avenue, Chaozhou City, Guangdong Province
  • Website: www.newglp.com
  • Company Profile: The issuer is a foreign-invested joint-stock company established through the overall transformation of Guangdong New Grand Long Packing Co., Ltd. as of March 31, 2011, approved by the Guangdong Provincial Department of Foreign Trade and Economic Cooperation. On August 2, 2011, Zhong Shen Zhong Huan issued the "Capital Verification Report". On August 25, 2011, the company obtained the business license issued by the Chaozhou Administration for Industry and Commerce, with registration number 44510040000344. On October 10, 2015, the company obtained the business license issued by the Chaozhou Administration for Industry and Commerce, with unified social credit code 91445100784885395B.

4. Top 10 Circulating Shareholders

Rank Institution Name Institution Type Shares Held (W) Percentage Held (%)
1 Yize Holding Co., Ltd. General Legal Person 14118.40 61.28
2 Chaozhou Nantian Caiyun Investment Co., Ltd. General Legal Person 169.79 0.74
3 Noah Multi-Strategy Hybrid Securities Investment Fund Class A Fund 166.51 0.72
4 Dajia Life Insurance Co., Ltd. - Universal Product Insurance 130.60 0.57
5 MORGAN STANLEY & CO. INTERNATIONAL PLC. QFII 103.80 0.45
6 Dajia Asset Management - China CITIC Bank - Dajia Asset Changqian Quantitative Stock Selection No.1 Equity Asset Management Product Asset Management Plan 58.80 0.26
7 Dajia Life Insurance Co., Ltd. - Dividend Product Insurance 56.60 0.25
8 Ping An Life Insurance Company of China, Ltd. - New Dividend No.8 - Entrustment (Bank of Communications) Insurance 54.24 0.24
9 Dajia Life Insurance Co., Ltd. - Traditional Product Insurance 53.20 0.23
10 Hui'an Multi-Strategy Flexible Allocation Hybrid Securities Investment Fund Class A Fund 18.35 0.08

5. Concept Sectors

  • Mask Protection
  • Tobacco Concept
  • Yesterday's Oscillation
  • Insurance New Entry
  • Small Cap Non-Margin
  • Micro Cap Selection
  • Micro and Small Cap Stocks

Remarks

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