Hangzhou Tigermed Consulting Co., Ltd

SZSE
300347
Promoção
Lucratividade por seis meses: +15.96%
Rendimento de dividendos: 0%
Setor: Healthcare

Relatórios Hangzhou Tigermed Consulting Co., Ltd

Capitalização

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 LTM Média de 5 anos CAGR 5
Capitalização, bilhão ¥
28.54 20.77 20.48 37.34 451.09 79.97 135.64 85.64 70.62 54.73 164.59 -30.99
Receita, bilhão ¥
0.957 1.17 1.69 2.3 2.8 3.19 5.21 7.09 7.36 7.07 5.13 21.32
Lucro líquido, bilhão ¥
0.1563 0.1407 0.301 0.4722 0.8416 1.75 2.87 2.01 2.02 2.06 1.90 19.14
EV, bilhão ¥
27 28.59 20.62 20.29 37.31 450.01 80.09 66.13 50.12 130.77 26.66
EBIT, bilhão ¥
0.1846 0.235 0.2409 0.4701 0.6728 1.08 1.12 1.92 2.58 1.69 1.68 9.37
Ebitda, bilhão ¥
0.2664 0.2764 0.5006 0.731 1.01 1.27 2.11 2.42 2.03 1.9 1.77 14.98
Valor do equilíbrio, bilhão ¥
0.8635 1 1.63 2.5 2.67 4.23 16.12 18.12 19.58 21.03 15.82 37.82
FCF, bilhão ¥
0.0056 0.0987 0.1303 0.269 0.4305 0.4246 0.8422 1.06 0.9089 0.8801 0.8232 15.69
Opera.Mnoe Stream, bilhão ¥
0.0437 0.1857 0.1919 0.315 0.5222 0.5276 0.9987 1.42 1.36 1.19 1.10 17.67
Lucro operacional, bilhão ¥
0.1695 0.2137 0.1979 0.4168 0.5959 1.08 1.12 1.92 2.58 1.69 1.68 9.37
Ópera. Despesas, bilhões ¥
0.1312 0.2026 0.2679 0.3221 0.4614 0.552 0.6347 0.8928 0.9977 1.01 0.8174 12.84
Capex, bilhão ¥
0.0381 0.0871 0.0617 0.046 0.0917 0.1029 0.1565 0.3686 0.4486 0.3138 0.2781 24.98


Saldo contábil

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 LTM Média de 5 anos CAGR 5
Dinheiro, bilhão ¥
0.2266 0.3645 0.5368 0.7045 2.04 10.12 8.54 7.86 7.41 7.65 7.19 29.43
Investimentos de curto prazo ¥
-0.0022 -0.0018 -0.0015 -0.0067 -0.0094 -0.0198 0.026 0.0292 0.0249 0.0942 0.0309 -236.61
Investimentos de longo prazo ¥
0.1937 0.4608 0.8826 1.33 0.7168 61.88
Contas a receber ¥
0.3323 0.4442 0.5458 0.7239 0.8829 1.25 1.46 2.22 3.15 3.73 2.36 24.44
Total de ativos circulantes ¥
0.787 0.6887 1.09 1.35 1.6 3.37 11.65 10.85 11.11 11.34 9.66 27.47
Ativos puros, bilhões ¥
0.0811 0.1505 0.194 0.2003 0.202 0.2549 0.4258 0.6827 1.12 1.33 0.7627 39.15
Ativos, bilhões ¥
1.36 1.61 2.39 3.58 4.28 7.53 19.51 23.74 27.45 29.7 21.59 31.58
Dívida de curto prazo ¥
0.2761 0.2671 0.183 0.3155 0.6442 0.8971 0.1059 0.7826 2.07 2.49 1.27 22.65
Dívida de longo prazo ¥
0.0074 0.0072 0.0367 0.036 0.0228 0.0568 0.2446 0.4342 0.1589 64.54
Dívida, bilhão ¥
0.4407 0.5441 0.5485 0.7642 1.25 2.01 1.65 3.14 4.77 5.23 3.36 21.08
Dívida pura, bilhão ¥
-0.156 0.0477 -0.1653 -0.2038 -0.0568 -0.9909 -9.74 -7.35 -5.06 -4.06 -5.4402 32.59
Dívida, bilhão ¥
0.2835 0.2743 0.2196 0.3515 0.6671 0.954 2.31 2.92 2.83 1.44 52.72
Receita de juros ¥
0.0031 0.008 0.0078 0.0255 0.1104 0.2559 0.2273 0.2298 0.1698 55.23
Despesas com juros, bilhões ¥
0.0044 0.004 0.0091 0.0117 0.0194 0.0404 0.0508 0.0249 0.0832 0.1199 0.0638 24.30
Renda de juros pura, bilhão ¥
-0.007 -0.0045 -0.0121 -0.0158 0.059 0.2282 0.138 0.1057 0.1030 -246.25
Boa vontade ¥
0.339 0.4697 0.6022 1.05 1.03 1.16 1.44 1.78 2.49 2.76 1.93 18.93
Depreciação, bilhão ¥
0.0121 0.0314 0.0355 0.0305 0.0582 -0.0752 0.1447 0.1889 -0.1598 0.339 0.0875 -235.14
Custo, bilhão ¥
0.329 0.5347 0.7279 0.9626 1.31 1.5 1.68 2.94 4.28 4.66 3.01 25.45
Suprimentos médicos ¥
0.000295 0.000437 0.0001 0.0000 0.000519 0.0012 0.0047 0.0061 0.0222 0.0234 0.0115 81.14


Promoção

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 LTM Média de 5 anos CAGR 5
EPS 0.1791 0.2015 0.4001 0.63 1.14 2.21 3.32 2.32 2.35 2.24 2.27 15.57
O preço da ação do AO 27.01 35.18 42.75 63.15 161.61 127.8 104.8 54.97 49.91 49.91 99.82 -20.94
O número de ações da AO, milhões 640.58 646.01 706.24 750.3 750.14 749.6 821.24 864.03 872.42 872.44 835.95 3.08
FCF/Promoção 0.0087 0.1527 0.1844 0.3585 0.5739 0.5665 1.03 1.22 1.04 1.01 0.9733 12.26


Eficiência

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM Média na indústria Média de 5 anos CAGR 5
ROE, % 15.59 8.65 12.02 17.69 19.92 10.86 15.86 10.25 9.63 10.19 17.91 13.30 -13.53
Roa, % 9.71 5.89 8.4 11.03 11.17 8.97 12.11 7.31 6.82 4.08 8.30 9.28 -9.40
ROIC, % 14.95 15.85 10.82 12.73 17.95 21.38 11.41 10.92 14.88 -3.02
Ros, % 17.84 20.52 30.02 54.81 55.13 28.32 27.53 29.14 29.14 29.14 23.77 33.85 -11.97
Roce, % 13.1 16.68 22.18 19.64 6.29 9.31 11.39 6.9 0 0 0.00 10.71 -18.88
EBIT margem 0 0 0.00
Lucratividade do EBITDA 23.54 29.67 31.78 36.01 39.69 40.43 34.19 27.57 26.87 26.87 28.48 33.75 -7.51
Pura lucratividade 16.33 11.98 17.84 20.52 30.02 54.81 55.13 28.32 27.53 29.08 23.79 39.16 -1.72
Eficiência operacional, % 24.71 25.9 38.69 35.16 36.81 36.45 22.96 0 0 0 0.00 34.01 -9.91
FCF lucratividade, % 0.0205 0.3457 0.6271 1.31 1.15 0.0941 1.05 0.7779 1.06 1.25 0.8464 67.75


Coeficientes

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 LTM Média na indústria Média de 5 anos CAGR 5
P/e
182.62 147.66 68.03 79.09 535.97 45.7 47.19 42.68 34.88 27.81 33.38 141.28 -42.10
P/bv
28.47 12.77 8.18 13.99 106.76 4.96 7.48 4.37 3.36 2.87 5.66 25.39 -49.93
P/s
29.82 17.68 12.14 16.23 160.92 25.05 26.02 12.09 9.6 8.09 9.95 46.74 -43.10
P/fcf
76.13 86.74 1062.28 94.96 128.55 94.22 80.24 0 0 0 0.00 292.05 -40.35
E/p
0.0147 0.0126 0.0019 0.0219 0.0212 0.0234 0.0287 0.0376 0.0376 0.0376 0.04 0.0297 12.14
EV/EBIT
0 0 0 0.00
EV/EBITDA
137.29 107.31 74.61 40.54 51.03 445.81 33.06 32.61 18.94 25.59 120.61 -4.26
EV/S
29.87 17.56 12.03 16.22 160.53 11.3 8.99 7.09 7.09 7.09 9.50 39.00 -46.42
EV/FCF
289.78 158.34 75.44 86.66 1059.72 88.12 75.14 0 0 0 0.00 277.02 -0.08
Dívida/Ebitda
1.03 0.7945 0.7021 0.9125 0.9451 0.9545 1.44 1.49 1.49 1.49 0.59 1.26 9.53
NetDebt/Ebitda
-0.4072 -0.0777 -0.9817 -7.69 -3.49 -2.09 -2 0 0 0 0.00 -3.2503 15.29
Dívida/índice
0.1704 0.092 0.0981 0.1559 0.1266 0.0842 0.0984 0 0 0 0.00 0.1126 0.06
Dívida/patrimônio líquido
0.2737 0.135 0.1404 0.25 0.2258 0.1181 0.139 0 0 0 0.00 0.1747 -0.20
Dívida/lucro líquido
1.76 1.56 1.17 1.41 1.13 1.15 1.44 1.37 1.37 1.37 0.75 1.29 3.93
Peg
-19.69 -19.69 -8.11 -19.6900 0.00
Beta
0 -0.0344 0 0 0.00 -0.0344 0.00
ÍNDICE ALTMAN
7.31 9.04 72.58 5.38 7.45 4.24 0 0 0 0 0.00 19.74 -14.05


Dividendos

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 LTM Média na indústria Média de 5 anos CAGR 5
Div. Pagamento, bilhão
0.046 0.0461 0.0591 0.0623 0.1266 0.266 0.2713 0.2842 0.492 0.5899 0.3807 17.27
Dividendo
0.1333 0.1333 0.0667 0.0667 0.1333 0.2333 0.278 0.3 0.5 0.55 0.3723 18.71
Div renda, AO, %
0.3145 0.3018 0.2267 0.2443 0.2678 0.0388 0.2855 0.1911 0.5094 0.6795 1.17 0.3409 77.28
Dividendos / lucro, %
29.48 42.03 20.71 26.82 31.6 15.5 9.89 24.52 29.13 21.01 29.29 22.13 -1.61


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2023 2024 CAGR 5
Funcionários, pessoas
9 233 9 233 0.00