Dingjide 鼎际得
9 significant filings since 30 May 2026: 3 on equity incentive, 2 on guarantee or financial assistance and 2 on buyback, and 2 other kinds. The latest, on 12 Sep 2026: 辽宁鼎际得石化股份有限公司关于为子公司提供担保的进展公告.
自 30 May 2026 起有 9 份重大公告:equity incentive 3 份、guarantee or financial assistance 2 份、buyback 2 份,另有 2 类。最新一份(12 Sep 2026):辽宁鼎际得石化股份有限公司关于为子公司提供担保的进展公告。
As of 25 Sep 2026 截至2026年9月25日
Dingjide, listed in 2022, operates in the chemical products industry. The company reported a turnaround in attributable net profit in 2025, moving from a loss of -RMB12.1m in 2024 to a profit of RMB11.4m, with revenue rising to RMB840.5m. In the first half of 2026, performance strengthened further, with revenue at RMB703.7m and net profit reaching RMB43.6m. However, financial risks persist. The company generated an operating cash outflow per share of -RMB1.10 in 2025, a reversal from the RMB1.00 inflow in 2024. Its current ratio stood at 0.72 as of 30 Jun 2026, below 1, indicating current liabilities exceed current assets. These factors suggest liquidity pressure despite improved profitability.
鼎际得于2022年上市,属于化学制品行业。公司2025年归母净利润扭亏为盈,从2024年的-1,213.2万元转为盈利1,142.1万元,营业收入增至8.41亿元。2026年上半年进一步改善,营业收入达7.04亿元,归母净利润达4,357.8万元。但财务风险仍然存在。2025年每股经营现金流为-1.10元,由2024年的1.00元转为流出。截至2026年6月30日,流动比率为0.72,低于1,表明流动负债超过流动资产。尽管盈利能力改善,公司仍面临流动性压力。
| Flag 标记 | Risk 风险 | Mechanism 影响机制 |
|---|---|---|
| Operating cash outflow 经营现金净流出 | The company generated an operating cash outflow in 2025. 公司2025年经营现金流为净流出。 | An operating cash outflow indicates the company is spending more cash than it generates from core operations, which can strain liquidity and limit its ability to invest or meet obligations. In 2025, operating cash flow per share was -RMB1.10, compared to RMB1.00 in 2024. 经营现金流净流出表明公司核心业务产生的现金少于支出,可能影响流动性,限制投资或偿债能力。2025年每股经营现金流为-1.10元,而2024年为1.00元。 |
| Current ratio below 1: current liabilities exceed current assets 流动比率低于1:流动负债超过流动资产 | Current liabilities exceed current assets as the current ratio is below 1. 流动负债超过流动资产,因流动比率低于1。 | A current ratio below 1 means the company has fewer current assets than current liabilities, raising concerns about short-term solvency. As of 30 Jun 2026, the current ratio was 0.72. 流动比率低于1表明公司流动资产少于流动负债,引发短期偿债能力担忧。截至2026年6月30日,流动比率为0.72。 |
- Whether the operating cash flow turns positive in the full-year 2026 results.
2026年全年经营现金流是否转为正值。 - The movement in receivable days and inventory days in the next interim report.
下一中期报告中应收账款周转天数和存货周转天数的变化。 - Whether the current ratio remains below 1 in the next balance sheet filing.
下次资产负债表中流动比率是否仍低于1。 - The year-on-year change in revenue for the full year 2026.
2026年全年营业收入的同比变化。 - The attributable net profit for the full year 2026 compared to 2025.
2026年全年归母净利润与2025年的比较。 - The net profit excluding non-recurring items for full-year 2026.
2026年全年扣除非经常性损益后的净利润。
- Company: Dingjide 鼎际得, Shanghai Stock Exchange 603255; industry Chemical Products; listed 18 Aug 2022.
公司:鼎际得,上海证券交易所 603255;行业:化学制品;上市日期:2022年8月18日。 - Close on 24 Sep 2026 RMB32.57; close on 24 Sep 2025 RMB36.76, RMB36.72 in today's terms; one-year change, adjusted for distributions and share changes -11.3%.
2026年9月24日收盘价32.57元;2025年9月24日收盘价36.76元(前复权36.72元);一年涨跌幅(复权)-11.3%。 - 52-week range in today's terms, adjusted for distributions and share changes RMB23.85 to RMB39.15.
52周区间(前复权)23.85元至39.15元。 - In the last 12 months 4 trading days closed 9% or more above or below the day before (all days, not only this year). The 4 most recent of them: 7 Apr 2026 +10.0%; 1 Jun 2026 -10.0%; 14 Jul 2026 +10.0%; 16 Sep 2026 +10.0%. No two of the 4 fell on consecutive trading days.
近12个月共有4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4个:2026年4月7日 +10.0%;2026年6月1日 -10.0%;2026年7月14日 +10.0%;2026年9月16日 +10.0%。其中任意两个交易日均不相邻。 - Market capitalisation RMB4.37bn; P/E TTM 86.0; price to book 2.72x.
总市值43.65亿元;市盈率(TTM)86.0;市净率2.72倍。 - Revenue 2025 RMB840.5m; 2024 RMB780.8m; change +7.7%.
营业收入2025年8.41亿元;2024年7.81亿元;同比+7.7%。 - Attributable net profit 2025 RMB11.4m; 2024 -RMB12.1m; change +194.1% (from a loss to a profit).
归属于母公司股东的净利润2025年1,142.1万元;2024年-1,213.2万元;同比+194.1%(扭亏为盈)。 - Net profit excluding non-recurring items, 2025 change +183.7%.
2025年扣除非经常性损益后的净利润同比+183.7%。 - Basic EPS 2025 RMB0.08; 2024 -RMB0.09.
基本每股收益2025年0.08元;2024年-0.09元。 - Operating cash flow per share 2025 -RMB1.10; 2024 RMB1.00; operating cash flow to net profit -12.63x.
每股经营现金流2025年-1.10元;2024年1.00元;经营现金流与净利润之比-12.63倍。 - 2025 gross margin 13.7%; net margin 1.4%; ROE 0.7%.
2025年毛利率13.7%;净利率1.4%;净资产收益率0.7%。 - At 30 Jun 2026: liabilities to assets 69.8%; current ratio 0.72; quick ratio 0.42; receivable days 83; inventory days 138.
截至2026年6月30日:资产负债率69.8%;流动比率0.72;速动比率0.42;应收账款周转天数83;存货周转天数138。 - Period to 30 Jun 2026 (six months, not comparable with the full years above): revenue RMB703.7m, change +60.5%; attributable net profit RMB43.6m, change +931.1%; operating cash flow per share RMB2.21.
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7.04亿元,同比+60.5%;归母净利润4,357.8万元,同比+931.1%;每股经营现金流2.21元。 - Ownership: controlling shareholder 营口鼎际得实业发展有限公司,张再明; actual controller 张再明; largest holder at 30 Jun 2026: 营口鼎际得实业发展有限公司, 42.56%.
股权:控股股东:营口鼎际得实业发展有限公司,张再明;实际控制人:张再明;2026年6月30日第一大股东:营口鼎际得实业发展有限公司,持股42.56%。 - Latest distribution: ex-date 2 Jul 2026, cash RMB0.03 per share.
最近一次分配:除权除息日2026年7月2日,每股现金0.03元。 - Aurelian Grade C, score 58.1 of 100, graded within a peer group of 185 companies in its industry; no rank among peers is given.
金源评级C,得分58.1(满分100),于行业同业185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。