申菱环境 (301018)

Guangdong Shenling Environmental Systems Co., Ltd.

ASZ

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Stock Details

1. Key Indicators

  • Total Shares(W): 26605.26
  • Circulating A-Shares(W): 19899.94
  • Earnings Per Share(RMB): 0.5600
  • Net Assets Per Share(RMB): 9.9728
  • Operating Revenue(W RMB): 250760.12
  • Total Profit(W RMB): 17407.65
  • Net Profit Attributable to Parent(W RMB): 15008.93
  • Net Profit Growth Rate(%): 5.05
  • Weighted Return on Equity(%): 5.75
  • Operating Cash Flow Per Share(RMB): -0.0180
  • Undistributed Profit Per Share(RMB): 2.7755
  • Capital Reserve Per Share(RMB): 5.7706

2. Main Business

The main business covers:

  • Providing professional special air conditioning and temperature control equipment, as well as digital energy and artificial environment overall solutions for data service industry environments.
  • Providing professional special air conditioning and temperature control equipment, as well as digital energy and artificial environment overall solutions for industrial process R&D environments.
  • Providing professional special air conditioning and temperature control equipment, as well as digital energy and artificial environment overall solutions for professional special application environments.
  • Providing professional special air conditioning and temperature control equipment, as well as digital energy and artificial environment overall solutions for public buildings and commercial environments.

3. Company Basic Information

  • Company Name: Guangdong Shenling Environmental Systems Co., Ltd.
  • Listing Date: 2021-07-07
  • Industry: Special Equipment Manufacturing
  • Address: No. 8 Xinglong 10th Road, Machinery Equipment Park, Chencun Town, Shunde District, Foshan City, Guangdong Province
  • Website: www.shenling.com
  • Company Profile: On August 25, 2015, Guangdong Shenling held a shareholders' meeting where all shareholders unanimously agreed to restructure Guangdong Shenling into Guangdong Shenling Environmental Systems Co., Ltd. based on the audited net asset value of RMB 501,709,195.40 as of May 31, 2015, converted at a ratio of 2.79:1 into 180,000,000 shares, i.e., 18,000.00 million shares, with a par value of RMB 1 per share. All debts, liabilities, and assets of Guangdong Shenling were assumed by the joint-stock company. On the same day, Cui Yingqi, Shenling Investment, and 6 other shareholders signed the promoter agreement. On August 22, 2015, Guangdong Lianxin issued an asset appraisal report (Lianxin (Zheng) Ping Bao Zi [2015] No. A0343), confirming that the appraised net assets of Guangdong Shenling as of the appraisal base date of May 31, 2015, were RMB 674,173,100. On September 9, 2015, the accounting firm issued the [2015]G15013770043 "Capital Verification Report," reviewing the net asset conversion for this overall restructuring. In June 2020, Huaxing Certified Public Accountants (Special General Partnership) issued the Huaxing Suo (2020) Audit Zi GD-144 "Capital Verification Review Report," reviewing the [2015]G15013770043 "Capital Verification Report." On September 16, 2015, the company obtained the changed "Business License" issued by the Shunde District Market Supervision Administration, with the unified social credit code 914406067243530987, registered capital of RMB 180,000,000, officially establishing the joint-stock company.

4. Top 10 Circulating Shareholders

Rank Institution Name Institution Type Shares Held (W) Percentage Held (%)
1 Guangdong Shenling Investment Co., Ltd. Corporate 3498.45 17.58
2 Lingshui Xinzhongcheng Venture Capital Partnership (Limited Partnership) Corporate 1653.12 8.31
3 Lingshui Xinzhongxian Venture Capital Partnership (Limited Partnership) Corporate 1278.00 6.42
4 AVIC Opportunity Leading Hybrid Fund (Initiative) Class A Fund 663.52 3.33
5 Yongying Digital Economy Smart Selection Hybrid Fund (Initiative) Class A Fund 333.43 1.68
6 Invesco Great Wall Trend Investment Hybrid Fund (LOF) Fund 237.97 1.20
7 E Fund Supply-side Reform Flexible Allocation Hybrid Fund Fund 195.62 0.98
8 Baoying Technology 30 Flexible Allocation Hybrid Fund Fund 101.39 0.51
9 E Fund Industrial Opportunity Hybrid Fund Class A Fund 3.19 0.02
10 Galaxy Yield Securities Investment Fund Fund 2.00 0.01

5. Concept Sectors

  • 5G Concept
  • Carbon Neutrality
  • Lithium Battery
  • Nuclear Power
  • Energy Conservation & Environmental Protection
  • Alibaba Concept
  • New Energy Vehicles
  • Tencent Concept
  • Baidu Concept
  • Data Center
  • Douyin Concept
  • Energy Storage
  • Heat Pump Concept
  • High-Voltage Fast Charging
  • Controlled Nuclear Fusion
  • Liquid Cooling Service
  • DeepSeek
  • Margin Trading & Securities Lending
  • High-Performance Stocks
  • Shareholder Reduction
  • Pension Fund
  • Planned Reduction
  • Convertible Bond Issuance
  • ChiNext 300

Remarks

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