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600030.SH上海证券交易所 · 主板 Main

CITIC Securities 中信证券

Securities Firms 证券Ⅱ
¥26.29−¥0.50 · −1.87%Delayed 行情延迟 · 24 Sep 2026 · 16:14 CST · CNY
Open 开盘
¥26.75
High 最高
¥26.75
Low 最低
¥26.25
Prev Close 昨收
¥26.79
Volume 成交量
7,125.1万股
Turnover 成交额
¥19亿
Mkt Cap 总市值
¥4,108亿
P/E 市盈率
10.4×
Recent Activity 近期动态All Filings 全部公告 →

15 significant filings since 31 May 2026: 10 on guarantee or financial assistance, 2 on dividend and 2 on earnings pre-announcement, and 1 other kind. The latest, on 24 Sep 2026: 中信证券股份有限公司关于间接子公司发行中期票据并由全资子公司提供担保的公告. On 11 Jul 2026 the company said it expects net profit for the period ending 30 Jun 2026 to rise by 70.15% from the same period a year earlier.
自 31 May 2026 起有 15 份重大公告:guarantee or financial assistance 10 份、dividend 2 份、earnings pre-announcement 2 份,另有 1 类。最新一份(24 Sep 2026):中信证券股份有限公司关于间接子公司发行中期票据并由全资子公司提供担保的公告。11 Jul 2026 公司预告截至 30 Jun 2026 的净利润较上年同期上升 70.15%。

Price History 价格走势

250 trading days 个交易日 · High 最高 ¥29.61 · Low 最低 ¥23.54
24.0025.0026.0027.0028.0029.00
Volume 成交量
5.94亿
Sep 25Dec 25Mar 26Jun 26Sep 26
EPS Trend 预测变化
FY2026FY2027
Now 当前2.562.80
7 days ago2.562.80
30 days ago2.562.80
60 days ago2.482.69
90 days ago2.402.62

Consensus is the median of each broker's latest forecast from the 120 days before each date. With fewer than 3 brokers, the broker count is shown. 一致预期为各券商在该日期前 120 天内最新预测的中位数;不足 3 家时显示券商数。

FY2026 Consensus by Month 预测路径
3.041.42

Consensus moved from 1.64 in Oct 2024 to 2.56 in Sep 2026 (+56.1%). 一致预期从 Oct 2024 的 1.64 变为 Sep 2026 的 2.56 (+56.1%)。 The shaded band runs from the lowest to the highest broker forecast.

Revisions 预测调整
FY2026FY2027
Last 30 days▲ 0 ▼ 0 = 0▲ 0 ▼ 0 = 0
Last 90 days▲ 3 ▼ 1 = 1▲ 3 ▼ 1 = 1

Each broker's latest forecast is compared with its previous forecast for the same year. A move within 0.5% counts as unchanged. 每家券商的最新预测与其对同一年度的上一次预测比较,变动在 0.5% 以内视为不变。

Consensus vs Reported 预测与实际
YearFiledConsensusBrokers 券商Reported 实际Surprise 偏差
FY202129 Mar 20221.7831.69-5.1%

Surprise is reported EPS against the consensus on the day before the annual report was filed. 偏差为实际每股收益与年报披露前一日一致预期之差。

A surprise needs at least 3 brokers forecasting in the 120 days before the filing. FY2025 had 1 and FY2024 had 0. 惊喜幅度需公告前120天内至少3家券商预测;FY2025仅1家;FY2024仅0家。