Meter Instruments 迈拓股份
2 significant filings since 30 May 2026: 1 on dividend and 1 on major holder selling. The latest, on 9 Jul 2026: 关于2025年年度权益分派实施公告.
自 30 May 2026 起有 2 份重大公告:dividend 1 份、major holder selling 1 份。最新一份(9 Jul 2026):关于2025年年度权益分派实施公告。
As of 25 Sep 2026 截至2026年9月25日
Meter Instruments 迈拓股份 is a general-purpose machinery company listed on the Shenzhen Stock Exchange since 7 Jun 2021. The company reported revenue of RMB397.6m and attributable net profit of RMB92.3m in 2025, with both figures rising from 2024. Profitability metrics improved, including a net margin of 23.2% and ROE of 7.2%. Operating cash flow per share was RMB0.79 in 2025, ahead of net profit. However, the first half of 2026 showed a sharp decline, with profit down 72.6% and negative operating cash flow per share at -RMB0.09. Receivables remain a concern, taking 481 days to collect. The company has strong liquidity, with a current ratio of 5.89 and low leverage at a liabilities to assets ratio of 13.9%. The actual controller is 孙卫国, who holds 36.48%.
迈拓股份是一家通用设备公司,于2021年6月7日在深圳证券交易所上市。公司2025年实现营业收入3.98亿元,归母净利润9,226.6万元,较2024年均有所增长。盈利能力改善,净利率达23.2%,净资产收益率为7.2%。2025年每股经营现金流为0.79元,高于净利润。但2026年上半年业绩大幅下滑,归母净利润同比减少72.6%,每股经营现金流为-0.09元。应收账款周转天数达481天,回款周期长。公司流动性充足,流动比率为5.89,资产负债率仅为13.9%。实际控制人为孙卫国,持股36.48%。
| Flag 标记 | Risk 风险 | Mechanism 影响机制 |
|---|---|---|
| Receivables take over 180 days to collect 应收账款周转天数超过180天 | Receivables take over 180 days to collect. 应收账款周转天数超过180天。 | Long collection periods increase the risk of bad debts and strain cash flow. With receivable days at 481, the company faces elevated liquidity risk despite strong reported profits. 回款周期过长会增加坏账风险并加剧现金流压力。尽管利润表现良好,但应收账款周转天数达481天,公司仍面临较高的流动性风险。 |
- Change in attributable net profit for the full year 2026.
2026年全年归母净利润变动情况。 - Operating cash flow per share in the 2026 annual report.
2026年年报中每股经营现金流。 - Receivable days as of 31 Dec 2026.
截至2026年12月31日的应收账款周转天数。 - Revenue growth in the second half of 2026.
2026年下半年营业收入增长情况。 - Liabilities to assets ratio at year-end 2026.
2026年末资产负债率。 - Any change in the shareholding of the actual controller 孙卫国.
实际控制人孙卫国持股比例的变动。
- Company: Meter Instruments 迈拓股份, Shenzhen Stock Exchange 301006; industry General-purpose Machinery; listed 7 Jun 2021.
公司:迈拓股份,深圳证券交易所 301006;行业:通用设备;上市日期:2021年6月7日。 - Close on 24 Sep 2026 RMB13.91; close on 24 Sep 2025 RMB16.70, RMB16.44 in today's terms; one-year change, adjusted for distributions and share changes -15.4%.
2026年9月24日收盘价13.91元;2025年9月24日收盘价16.70元(前复权16.44元);一年涨跌幅(复权)-15.4%。 - 52-week range in today's terms, adjusted for distributions and share changes RMB11.30 to RMB18.98.
52周区间(前复权)11.30元至18.98元。 - Market capitalisation RMB1.94bn; P/E TTM 29.1; price to book 1.49x.
总市值19.37亿元;市盈率(TTM)29.1;市净率1.49倍。 - Revenue 2025 RMB397.6m; 2024 RMB358.5m; change +10.9%.
营业收入2025年3.98亿元;2024年3.58亿元;同比+10.9%。 - Attributable net profit 2025 RMB92.3m; 2024 RMB79.2m; change +16.5%.
归属于母公司股东的净利润2025年9,226.6万元;2024年7,920.3万元;同比+16.5%。 - Net profit excluding non-recurring items, 2025 change +14.2%.
2025年扣除非经常性损益后的净利润同比+14.2%。 - Basic EPS 2025 RMB0.67; 2024 RMB0.58.
基本每股收益2025年0.67元;2024年0.58元。 - Operating cash flow per share 2025 RMB0.79; 2024 RMB0.15; operating cash flow to net profit 1.19x.
每股经营现金流2025年0.79元;2024年0.15元;经营现金流与净利润之比1.19倍。 - 2025 gross margin 51.9%; net margin 23.2%; ROE 7.2%.
2025年毛利率51.9%;净利率23.2%;净资产收益率7.2%。 - At 30 Jun 2026: liabilities to assets 13.9%; current ratio 5.89; quick ratio 5.20; receivable days 481; inventory days 302.
截至2026年6月30日:资产负债率13.9%;流动比率5.89;速动比率5.20;应收账款周转天数481;存货周转天数302。 - Period to 30 Jun 2026 (six months, not comparable with the full years above): revenue RMB149.4m, change -10.6%; attributable net profit RMB9.7m, change -72.6%; operating cash flow per share -RMB0.09.
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1.49亿元,同比-10.6%;归母净利润968.5万元,同比-72.6%;每股经营现金流-0.09元。 - Ownership: actual controller 孙卫国; largest holder at 30 Jun 2026: 孙卫国, 36.48%.
股权:实际控制人:孙卫国;2026年6月30日第一大股东:孙卫国,持股36.48%。 - Latest distribution: ex-date 16 Jul 2026, cash RMB0.20 per share.
最近一次分配:除权除息日2026年7月16日,每股现金0.20元。 - Aurelian Grade D, score 43.2 of 100, graded within a peer group of 256 companies in its industry; no rank among peers is given.
金源评级D,得分43.2(满分100),于行业同业256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。