隆扬电子 (301389)

Long Young Electronic (Kunshan) Co., Ltd.

ASZ

K-Line Chart

No K-line data

Stock Details

1. Key Indicators

  • Total Shares(W): 28350.00
  • Circulating A-Shares(W): 8456.90
  • Earnings Per Share(RMB): 0.2900
  • Net Assets Per Share(RMB): 7.8496
  • Operating Revenue(W RMB): 29116.16
  • Total Profit(W RMB): 10125.76
  • Net Profit Attributable to Parent(W RMB): 8171.64
  • Net Profit Growth Rate(%): 55.19
  • Weighted Return on Equity(%): 3.6500
  • Operating Cash Flow Per Share(RMB): 0.1120
  • Undistributed Profit Per Share(RMB): 0.9804
  • Capital Reserve Per Share(RMB): 5.6224

2. Main Business

The main business covers:

  • Research, production, and sales of various electromagnetic shielding materials and some insulating materials.

3. Company Basic Information

  • Company Name: Long Young Electronic (Kunshan) Co., Ltd.
  • Listing Date: 2022-10-31
  • Industry: Electronics - Consumer Electronics
  • Address: No. 99 Shunchang Road, Zhoushi Town, Kunshan City, Jiangsu Province
  • Website: www.longyoung.com
  • Company Profile: On November 12, 2020, Long Young Co., Ltd. held a shareholders' meeting and resolved to transform the company into a joint-stock company. It was agreed to convert the audited net assets of RMB 267,790,992.48 as of September 30, 2020 into 195,730,855 shares of the joint-stock company, with the excess over the share capital recorded as capital reserve. Rongcheng Certified Public Accountants verified the above transformation and issued the "Rongcheng Yan Zi [2020] 230Z0267" Capital Verification Report. On December 3, 2020, Long Young Electronic held its inaugural meeting and first extraordinary shareholders' meeting, reviewing and passing resolutions related to the establishment of the joint-stock company. All promoters signed the company's articles of association. On December 9, 2020, the company obtained a new Business License, completing its transformation into a joint-stock company. Unified Social Credit Code: 91320583718672527C.

4. Top 10 Circulating Shareholders

Rank Institution Name Institution Type Shares Held (W) Percentage Held (%)
1 Hong Kong Securities Clearing Company Ltd. Northbound Capital 113.99 1.39
2 China AMC High-end Manufacturing Flexible Allocation Mixed Securities Investment Fund Class A Fund 94.21 1.15
3 China AMC Leading Equity Securities Investment Fund Fund 73.10 0.89
4 China AMC Growth Opportunity One-Year Holding Period Mixed Securities Investment Fund Fund 55.21 0.67
5 Changsha Fushenhai Private Fund Management Co., Ltd. - Fushenhai Zhisheng No.5 Private Securities Investment Fund Private Securities Investment Fund 40.25 0.49
6 China AMC Energy Conservation and Environmental Protection Equity Securities Investment Fund Class A Fund 32.74 0.40
7 China AMC Low-Carbon Economy One-Year Holding Period Mixed Securities Investment Fund Class A Fund 27.16 0.33
8 China AMC Core Growth Mixed Securities Investment Fund Class A Fund 25.54 0.31
9 China AMC New Materials Leader Mixed Initiated Securities Investment Fund Class A Fund 1.43 0.02
10 Huiquan Anying Return Bond Securities Investment Fund Class A Fund 0.10 0.00

5. Concept Sectors

  • Apple Concept
  • Wearable Technology
  • Automotive Electronics
  • New Energy Vehicles
  • Consumer Electronics
  • Composite Copper Foil
  • Margin Trading
  • Restructuring Stocks
  • Fund Increased Holdings
  • Specialized and Sophisticated SMEs
  • New Private Placement
  • ChiNext Small Cap

Remarks

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