Tonyshare 同享科技
3 significant filings since 30 May 2026: 2 on guarantee or financial assistance and 1 on dividend. The latest, on 31 Jul 2026: 关于公司及境外全资孙公司拟向银行新增综合授信额度暨为境外全资孙公司提供担保的公告.
自 30 May 2026 起有 3 份重大公告:guarantee or financial assistance 2 份、dividend 1 份。最新一份(31 Jul 2026):关于公司及境外全资孙公司拟向银行新增综合授信额度暨为境外全资孙公司提供担保的公告。
As of 25 Sep 2026 截至2026年9月25日
Tonyshare 同享科技, listed in 2020, operates in the solar power equipment industry. The company reported revenue growth of 21.0% in 2025 to RMB3.23bn, but attributable net profit fell by 48.7% to RMB21.7m. Profit quality is weak, with operating cash flow per share at -RMB5.01 in 2025, far below net profit, resulting in a cash flow to profit ratio of -25.41x. The company's financial leverage is high, with liabilities at 78.0% of assets as of 30 Jun 2026. The operating cash flow turned from an inflow in 2024 to an outflow in 2025. Share price has declined 31.5% over one year, and volatility is evident with three large daily moves in the past 12 months. The controlling shareholder remains 苏州同友投资管理合伙企业(有限合伙), holding 49.65%.
同享科技2020年上市,属于光伏设备行业。2025年营业收入达32.33亿元,同比增长21.0%,但归母净利润同比下降48.7%至2,169.9万元。盈利质量偏弱,2025年每股经营现金流为-5.01元,远低于净利润,经营现金流与净利润之比为-25.41倍。截至2026年6月30日,资产负债率达78.0%,财务杠杆较高。2024年经营现金流为流入,2025年转为流出。过去一年股价下跌31.5%,近12个月出现三次单日涨跌幅超9%的波动。控股股东苏州同友投资管理合伙企业(有限合伙)持股49.65%。
| Flag 标记 | Risk 风险 | Mechanism 影响机制 |
|---|---|---|
| Operating cash outflow 经营现金净流出 | The company faces a turn to operating cash outflows. 公司经营现金流由正转负。 | Operating cash flow per share was RMB1.34 in 2024 and turned to -RMB5.01 in 2025, indicating a deterioration in cash generation. The first half of 2026 reported an outflow of -RMB5.99 per share, showing continued pressure. 2024年每股经营现金流为1.34元,2025年转为-5.01元,显示现金生成能力恶化。2026年上半年每股经营现金流为-5.99元,表明现金流压力持续。 |
| Liabilities at 70% of assets or more 资产负债率达70%或以上 | Liabilities represent a high proportion of assets. 负债占资产比例较高。 | Liabilities to assets stood at 78.0% as of 30 Jun 2026, limiting financial flexibility and increasing refinancing and solvency risks if operating conditions weaken. 截至2026年6月30日,资产负债率为78.0%,若经营环境恶化,财务弹性受限,再融资及偿债风险上升。 |
- Change in attributable net profit for the full year 2026 compared to 2025.
2026全年归母净利润较2025年的变动情况。 - Operating cash flow per share in the 2026 annual report.
2026年年报中的每股经营现金流。 - Liabilities to assets ratio as of 31 Dec 2026.
截至2026年12月31日的资产负债率。 - Revenue growth rate for the full year 2026 versus 2025.
2026全年营业收入增速与2025年的比较。 - Receivable days as of 31 Dec 2026.
截至2026年12月31日的应收账款周转天数。 - Any change in the shareholding percentage of 苏州同友投资管理合伙企业(有限合伙).
苏州同友投资管理合伙企业(有限合伙)持股比例的变动。
- Company: Tonyshare 同享科技, Beijing Stock Exchange 920167; industry Solar Power Equipment; listed 27 Jul 2020.
公司:同享科技,北京证券交易所 920167;行业:光伏设备;上市日期:2020年7月27日。 - Close on 24 Sep 2026 RMB13.44; close on 24 Sep 2025 RMB19.66, RMB19.63 in today's terms; one-year change, adjusted for distributions and share changes -31.5%.
2026年9月24日收盘价13.44元;2025年9月24日收盘价19.66元(前复权19.63元);一年涨跌幅(复权)-31.5%。 - 52-week range in today's terms, adjusted for distributions and share changes RMB13.32 to RMB24.03.
52周区间(前复权)13.32元至24.03元。 - In the last 12 months 3 trading days closed 9% or more above or below the day before (all days, not only this year). The 3 most recent of them: 23 Jan 2026 +9.3%; 9 Feb 2026 +24.0%; 29 Apr 2026 +15.1%. No two of the 3 fell on consecutive trading days.
近12个月共有3个交易日收盘涨跌幅达9%及以上(为全部交易日,不限于今年)。其中最近3个:2026年1月23日 +9.3%;2026年2月9日 +24.0%;2026年4月29日 +15.1%。其中任意两个交易日均不相邻。 - Market capitalisation RMB1.48bn; P/E TTM 23.8; price to book 2.20x.
总市值14.79亿元;市盈率(TTM)23.8;市净率2.20倍。 - Revenue 2025 RMB3.23bn; 2024 RMB2.67bn; change +21.0%.
营业收入2025年32.33亿元;2024年26.73亿元;同比+21.0%。 - Attributable net profit 2025 RMB21.7m; 2024 RMB42.3m; change -48.7%.
归属于母公司股东的净利润2025年2,169.9万元;2024年4,228.9万元;同比-48.7%。 - Net profit excluding non-recurring items, 2025 change -60.0%.
2025年扣除非经常性损益后的净利润同比-60.0%。 - Basic EPS 2025 RMB0.20; 2024 RMB0.39.
基本每股收益2025年0.20元;2024年0.39元。 - Operating cash flow per share 2025 -RMB5.01; 2024 RMB1.34; operating cash flow to net profit -25.41x.
每股经营现金流2025年-5.01元;2024年1.34元;经营现金流与净利润之比-25.41倍。 - 2025 gross margin 5.5%; net margin 0.7%; ROE 3.5%.
2025年毛利率5.5%;净利率0.7%;净资产收益率3.5%。 - At 30 Jun 2026: liabilities to assets 78.0%; current ratio 1.21; quick ratio 1.11; receivable days 161; inventory days 21.
截至2026年6月30日:资产负债率78.0%;流动比率1.21;速动比率1.11;应收账款周转天数161;存货周转天数21。 - Period to 30 Jun 2026 (six months, not comparable with the full years above): revenue RMB1.87bn, change +18.4%; attributable net profit RMB47.6m, change +568.9%; operating cash flow per share -RMB5.99.
截至2026年6月30日的报告期(六个月,不可与上述全年数据直接比较):营业收入18.70亿元,同比+18.4%;归母净利润4,763.8万元,同比+568.9%;每股经营现金流-5.99元。 - Ownership: actual controller 陆利斌,周冬菊; controlling shareholder 苏州同友投资管理合伙企业(有限合伙); largest holder at 30 Jun 2026: 苏州同友投资管理合伙企业(有限合伙), 49.65%.
股权:实际控制人:陆利斌,周冬菊;控股股东:苏州同友投资管理合伙企业(有限合伙);2026年6月30日第一大股东:苏州同友投资管理合伙企业(有限合伙),持股49.65%。 - Latest distribution: ex-date 8 Jul 2026, cash RMB0.03 per share.
最近一次分配:除权除息日2026年7月8日,每股现金0.03元。 - Aurelian Grade C, score 52.4 of 100, graded within a peer group of 69 companies in its industry; no rank among peers is given.
金源评级C,得分52.4(满分100),于行业同业69家中评定;未提供其在同业中的排名。 - Not held for this report: receivable ageing, litigation case amounts, the order book, the auditor's opinion and key audit matters, segment revenue.
本报告未掌握:应收账款账龄、诉讼案件金额、在手订单、审计意见及关键审计事项、分部收入。