سر. صندوق بازنشستگی (حق تقدم)
وصندوقح |
Warrant
-
Exchange
چندرشته ای صنعتی ( چندرشته ای صنعتی )
Category:
چندرشته ای صنعتی
Sub Category:
چندرشته ای صنعتی
Status:
Prohibited-bourse.motevaghef
Last:
12,700
2.31
Close:
13,000
0.00
Financial Relations
Assembly
Midterm
Forecast
2021-07-22
Fiscal year 2021-03-19
|
2020-07-21
Fiscal year 2020-03-19
|
2019-07-22
Fiscal year 2019-03-20
|
|||||
---|---|---|---|---|---|---|---|
سود خالص به فروش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
99.46 | 99.26 | 99.34 | |
سود ناخالص به فروش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
99.46 | 99.30 | 99.36 | |
حاشیه سود عملیاتی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
99.59 | 99.27 | 98.78 | |
سود ناویژه به فروش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
100.00 | 100.00 | 100.00 | |
سود به سود ناویژه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
99.46 | 99.26 | 99.34 | |
بازده دارایی ها ROA |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
42.22 | 33.87 | 20.68 | |
درصد بازده سرمایه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
221.58 | 103.32 | 50.57 | |
بازدهی سرمایه ROE |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
55.99 | 40.64 | 26.49 | |
بازده سرمایه در گردش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
264.51 | 220.16 | 534.64 | |
بازده دارایی ثابت |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
8,050.79 | 3,489.82 | 1,770.52 | |
سنجش سودمندی وام |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
1.33 | 1.20 | 1.28 | |
نسبت جاری |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
1.65 | 1.92 | 1.18 | |
نسبت آنی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
1.65 | 1.92 | 1.17 | |
نسبت نقدینگی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.26 | 0.57 | 0.31 | |
نسبت کفایت نقد |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
- | 0.99 - | 0.97 - | |
نسبت گردش نقد |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
- | 1.10 | 0.28 | |
سرمایه در گردش خالص |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
22.62 Million | 12.67 Million | 2.55 Million | |
نسبت دارایی های جاری |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.41 | 0.32 | 0.26 | |
دوره وصول مطالبات |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
292.14 | 240.17 | 329.75 | |
نسبت کالا به سرمایه در گردش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
- | - | 0.01 | |
گردش سرمایه جاری |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
2.66 | 2.22 | 5.38 | |
گردش دارایی های ثابت |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
80.95 | 35.16 | 17.82 | |
گردش مجموع دارایی ها |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.42 | 0.34 | 0.21 | |
نسبت بدهی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.25 | 0.17 | 0.22 | |
نسبت بدهی به ارزش ویژه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.33 | 0.20 | 0.28 | |
نسبت بدهی جاری به ارزش ویژه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.33 | 0.20 | 0.28 | |
نسبت مالکانه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
75.42 | 83.33 | 78.06 | |
نسبت پوشش بدهی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
30.63 | 45.68 | 53.25 |
2021-07-22
Fiscal year 2021-03-19
|
2020-07-21
Fiscal year 2020-03-19
|
2019-07-22
Fiscal year 2019-03-20
|
|||||
---|---|---|---|---|---|---|---|
سود خالص به فروش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
99.46 | 99.26 | 99.34 | |
سود ناخالص به فروش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
99.46 | 99.30 | 99.36 | |
حاشیه سود عملیاتی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
99.59 | 99.27 | 98.78 | |
سود ناویژه به فروش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
100.00 | 100.00 | 100.00 | |
سود به سود ناویژه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
99.46 | 99.26 | 99.34 | |
بازده دارایی ها ROA |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
42.22 | 33.87 | 20.68 | |
درصد بازده سرمایه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
221.58 | 103.32 | 50.57 | |
بازدهی سرمایه ROE |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
55.99 | 40.64 | 26.49 | |
بازده سرمایه در گردش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
264.51 | 220.16 | 534.64 | |
بازده دارایی ثابت |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
8,050.79 | 3,489.82 | 1,770.52 | |
سنجش سودمندی وام |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
1.33 | 1.20 | 1.28 | |
نسبت جاری |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
1.65 | 1.92 | 1.18 | |
نسبت آنی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
1.65 | 1.92 | 1.17 | |
نسبت نقدینگی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.26 | 0.57 | 0.31 | |
نسبت کفایت نقد |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
- | 0.99 - | 0.97 - | |
نسبت گردش نقد |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
- | 1.10 | 0.28 | |
سرمایه در گردش خالص |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
22.62 Million | 12.67 Million | 2.55 Million | |
نسبت دارایی های جاری |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.41 | 0.32 | 0.26 | |
دوره وصول مطالبات |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
292.14 | 240.17 | 329.75 | |
نسبت کالا به سرمایه در گردش |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
- | - | 0.01 | |
گردش سرمایه جاری |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
2.66 | 2.22 | 5.38 | |
گردش دارایی های ثابت |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
80.95 | 35.16 | 17.82 | |
گردش مجموع دارایی ها |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.42 | 0.34 | 0.21 | |
نسبت بدهی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.25 | 0.17 | 0.22 | |
نسبت بدهی به ارزش ویژه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.33 | 0.20 | 0.28 | |
نسبت بدهی جاری به ارزش ویژه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
0.33 | 0.20 | 0.28 | |
نسبت مالکانه |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
75.42 | 83.33 | 78.06 | |
نسبت پوشش بدهی |
1400/04/31
Fiscal year 1399/12/29
|
1399/04/31
Fiscal year 1398/12/29
|
1398/04/31
Fiscal year 1397/12/29
|
30.63 | 45.68 | 53.25 |
2017-01-24
Fiscal year 2017-09-22
|
2013-09-18
Fiscal year 2014-09-22
|
2012-05-01
Fiscal year 2012-09-21
|
|||||
---|---|---|---|---|---|---|---|
سود خالص به فروش |
1395/11/05
Fiscal year 1396/06/31
|
1392/06/27
Fiscal year 1393/06/31
|
1391/02/12
Fiscal year 1391/06/31
|
99.38 | 101.62 | 96.08 | |
سود ناخالص به فروش |
1395/11/05
Fiscal year 1396/06/31
|
1392/06/27
Fiscal year 1393/06/31
|
1391/02/12
Fiscal year 1391/06/31
|
99.38 | 101.62 | 96.08 | |
حاشیه سود عملیاتی |
1395/11/05
Fiscal year 1396/06/31
|
1392/06/27
Fiscal year 1393/06/31
|
1391/02/12
Fiscal year 1391/06/31
|
100.22 | 99.52 | 99.33 | |
سود ناویژه به فروش |
1395/11/05
Fiscal year 1396/06/31
|
1392/06/27
Fiscal year 1393/06/31
|
1391/02/12
Fiscal year 1391/06/31
|
100.00 | 100.00 | 100.00 | |
سود به سود ناویژه |
1395/11/05
Fiscal year 1396/06/31
|
1392/06/27
Fiscal year 1393/06/31
|
1391/02/12
Fiscal year 1391/06/31
|
99.38 | 101.62 | 96.08 | |
درصد بازده سرمایه |
1395/11/05
Fiscal year 1396/06/31
|
1392/06/27
Fiscal year 1393/06/31
|
1391/02/12
Fiscal year 1391/06/31
|
17.26 | 114.95 | 48.10 |