维科精密 (301499)
Shanghai Vico Precision Mold &Plastics Co., Ltd.
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Stock Details
1. Key Indicators
- Total Shares(W): 13825.49
- Circulating A-Shares(W): 3456.37
- Earnings Per Share(RMB): 0.2500
- Net Assets Per Share(RMB): 9.2494
- Operating Revenue(W RMB): 69338.22
- Total Profit(W RMB): 3714.00
- Net Profit Attributable to Parent(W RMB): 3486.60
- Net Profit Growth Rate(%): 15.27
- Weighted Return on Equity(%): 2.7300
- Operating Cash Flow Per Share(RMB): 0.5590
- Undistributed Profit Per Share(RMB): 1.4145
- Capital Reserve Per Share(RMB): 6.6493
2. Main Business
The main business covers:
- Automotive electronic precision components
- Non-automotive connectors and components
- R&D, production and sales of precision molds
3. Company Basic Information
- Company Name: Shanghai Vico Precision Mold and Plastics Co., Ltd.
- Listing Date: 2023-07-21
- Industry: Automotive Manufacturing
- Address: No.598 Beiheng Shahe Road, Minhang District, Shanghai
- Website: www.vico.com.cn
- Company Profile: On March 8, 2021, the shareholders' meeting of Vico Limited passed a resolution to convert Vico Limited into a joint stock company as of February 28, 2021 as the audit and evaluation reference date. According to the Audit Report issued by PwC (PwC Zhong Tian Te Shen Zi (2021) No. 1850), the net assets of Vico Limited as of February 28, 2021 were RMB 469.3614 million; according to the Asset Appraisal Report issued by China United Assets Appraisal Group Co., Ltd. (Zhong Lian Ping Bao Zi [2021] No. 1052), the appraisal value of net assets of Vico Limited as of February 28, 2021 under the asset-based method was RMB 511.8116 million. The shareholders' meeting of Vico Limited agreed to use the audited net assets of RMB 469.3614 million as of February 28, 2021 as the capital contribution, converted into 103,691,149 shares at a ratio of 4.5265:1, with a par value of RMB 1 per share, corresponding to a total share capital of RMB 103.691149 million, and the portion of net assets exceeding the total share capital was included in capital reserve.
4. Top 10 Circulating Shareholders
| Rank | Institution Name | Institution Type | Shares Held (W) | Percentage Held (%) |
|---|---|---|---|---|
| 1 | GF GEM Index Enhanced Securities Investment Fund A Class | Fund | 73.67 | 2.13 |
| 2 | J. P. Morgan Securities PLC - Proprietary Funds | QFII | 25.52 | 0.74 |
| 3 | Goldman Sachs & Co. LLC | QFII | 24.92 | 0.72 |
5. Concept Sectors
- Fuel Cell
- Automotive Electronics
- Autonomous Driving
- New Energy Vehicles
- Chip
- Hydrogen Energy
- Consumer Electronics
- Natural Gas
- Thermal Management
- High-Voltage Fast Charging
- Millimeter Wave Radar
- PCB Concept
- Margin Trading
- Bonus Share Potential
- Convertible Bond Issuance
- Specialized, Refined, Distinctive and Innovative (SRDI)
Remarks
- Data update date: 2026-01-01
- Data source: Public Market Information
