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科顺股份:积极降本增效,毛利率有所改善
Tebon Securities· 2024-08-29 01:30
[Table_Main] 证券研究报告 | 公司点评 科顺股份(300737.SZ) 2024 年 08 月 28 日 | --- | --- | --- | |-------------------------------|--------------------|-------| | 买入(维持) 科顺股份( | ):积极降本增效, | | | 所属行业:建筑材料 / 装修建材 | | | | 当前价格 ( 元 ) : 4.00 | 毛利率有所改善 | | 证券分析师 闫广 资格编号:S0120521060002 邮箱:yanguang@tebon.com.cn 王逸枫 资格编号:S0120524010004 邮箱:wangyf6@tebon.com.cn 研究助理 市场表现 -46% -34% -23% -11% 0% 11% 科顺股份 沪深300 -57% | --- | --- | --- | --- | |------------------------------------|----------------|----------------|--------------| | -69% 202 ...
科顺股份:2024年半年报点评:收入端承压、盈利端改善,中期分红率较高
Soochow Securities· 2024-08-28 19:30
Investment Rating - The investment rating for the company is "Accumulate" (downgraded) [1][3] Core Views - The company reported a revenue of 3.471 billion yuan in H1 2024, a year-on-year decrease of 19.96%, while the net profit attributable to shareholders was 93.88 million yuan, an increase of 54.90% year-on-year [2] - The decline in revenue is attributed to reduced demand and risk control measures, with significant drops in revenue from waterproof materials, coatings, and construction services [2] - The gross margin improved year-on-year to 23.45%, up by 2.71 percentage points, due to ongoing optimization of revenue and product structure [2] - Operating cash flow decreased significantly, with a net cash flow from operating activities of -1.431 billion yuan, down 89.71% year-on-year, primarily due to increased cash payments to suppliers [2] - The company declared a cash dividend of 0.8 yuan per 10 shares, resulting in a high dividend payout ratio of 96.10% [2] Summary by Sections Financial Performance - In H1 2024, the company achieved total revenue of 3.471 billion yuan, down 19.96% year-on-year, with a net profit of 93.88 million yuan, up 54.90% year-on-year [2] - The revenue breakdown shows waterproof membranes, coatings, and construction services generating 1.824 billion, 960 million, and 545 million yuan respectively, with declines of 19.71%, 10.71%, and 26.51% [2] Profitability and Costs - The gross margin for H1 2024 was 23.45%, an increase of 2.71 percentage points, with product-specific margins of 21.02%, 33.93%, and 13.78% for membranes, coatings, and construction services respectively [2] - The increase in selling expenses was due to expanded market development efforts in the civil construction sector [2] Cash Flow and Dividends - The net cash flow from operating activities was -1.431 billion yuan, a decrease of 89.71% year-on-year, with a cash payment ratio of 145.65%, up 42.69 percentage points [2] - The company maintained a high dividend payout ratio of 96.10%, distributing 0.8 yuan per 10 shares [2] Future Outlook - The company is expected to benefit from industry standard improvements and increased market share through new production bases and enhanced distribution channels [3] - The profit forecasts for 2024 and 2025 have been adjusted to 199.32 million and 318.40 million yuan respectively, with a new forecast for 2026 at 486 million yuan [3]
科顺股份:国泰君安关于科顺防水科技股份有限公司对外提供担保的核查意见
2024-08-27 15:37
国泰君安证券股份有限公司 关于科顺防水科技股份有限公司 | | 会议时间 | | | 会议名称 | 会议决议 | | --- | --- | --- | --- | --- | --- | | 2019 | 年 12 | 月 | 2 日 | 第二届董事会第十九次会议 | 《关于公司为经销商担保的议案》 | | 2020 | 年 4 | 月 1 | 日 | 第二届董事会第二十一次会议 | 《关于延长公司为经销商担保期限 的议案》 | | 2020 | 年 11 | 月 | 16 日 | 第二届董事会第三十次会议 | 《关于公司增加为经销商担保额度 的议案》 | | 2022 | 年 1 | 月 27 | 日 | 第三届董事会第十一次会议 | 《关于增加为经销商担保额度及延 长担保期限的议案》 | 二、本次担保事项涉及变动的主要内容 2024 年 8 月 27 日,公司召开第四届董事会第七次会议审议通过了《关于公 司延长为经销商担保期限的议案》,为进一步推动公司渠道业务的发展,支持下 游经销商稳定发展,从而更加有效地开拓市场,做大做强销售规模,实现公司业 务的稳定增长,董事会同意公司延长对下游经销商担保的期限,担 ...
科顺股份:关于使用部分暂时闲置募集资金进行现金管理的公告
2024-08-27 15:37
科顺防水科技股份有限公司 关于使用部分暂时闲置募集资金进行现金管理的公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连 带法律责任。 证券代码:300737 证券简称:科顺股份 公告编号:2024-091 债券代码:123216 债券简称:科顺转债 科顺防水科技股份有限公司(以下简称"公司")于 2024 年 8 月 27 日召开第四届董事会第七次会议和第四届监事会第三次会议,分别 审议通过了《关于使用部分暂时闲置募集资金进行现金管理的议案》, 同意公司使用不超过人民币 5 亿元的部分暂时闲置募集资金购买银行、 证券公司或信托公司等金融机构发行的满足安全性高、流动性好、期 限不超过十二个月要求的低风险现金管理类产品,使用期限自董事会 审议通过之日起 12 个月内有效。在上述额度和期限范围内,资金可以 循环滚动使用。现将具体情况公告如下: 一、募集资金基本情况 根据中国证券监督管理委员会出具的《关于同意科顺防水科技股 份有限公司向不特定对象发行可转换公司债券注册的批复》(证监许可 〔2023〕1281 号),公司向不 ...
科顺股份:募集资金2024年半年度存放与使用情况的专项报告
2024-08-27 15:37
证券代码:300737 证券简称:科顺股份 公告编号:2024-089 债券代码:123216 债券简称:科顺转债 科顺防水科技股份有限公司 募集资金 2024 年半年度存放与使用情况的专项报告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连 带法律责任。 根据中国证券监督管理委员会《上市公司监管指引第 2 号——上 市公司募集资金管理和使用的监管要求》和深圳证券交易所印发的 《深圳证券交易所上市公司自律监管指引第 2 号——创业板上市公 司规范运作》的规定,将本公司募集资金 2024 年半年度存放与使用 情况专项说明如下: 一、募集资金基本情况 税),扣除发行费用后,公司本次募集资金净额为 2,181,313,649.94 元。上述募集资金到位情况业经天健会计师事务所(特殊普通合伙) 验证,并由其出具《验资报告》(天健验〔2023〕422 号)。 (二)募集资金使用和结余情况 截至 2024 年 6 月 30 日,公司实际已累计使用募集资金人民币 80,220.84 万元,其中:2024 年上半年公司以募集资金直接 ...
科顺股份:关于控股股东的一致行动人部分股份质押的公告
2024-08-27 15:37
| 证券代码:300737 | 证券简称:科顺股份 | 公告编号:2024-093 | | --- | --- | --- | | 债券代码:123216 | 债券简称:科顺转债 | | 科顺防水科技股份有限公司 关于控股股东的一致行动人部分股份质押的公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连 带法律责任。 科顺防水科技股份有限公司(以下简称"公司")近日接到控股 股东的一致行动人陈智忠先生通知,获悉陈智忠先生将其所持有本公 司的部分股份办理了质押业务,具体情况如下: 二、股东股份累计质押情况 截至公告披露日,控股股东及其一致行动人所持质押股份情况如下: | | | | 本次质押前质 | 本次质押后质 | 占其所 | 占公司 | 已质押股份情况 | | 未质押股份情况 | | | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | | 股东 | 持股数量 | 持股比例 | 押股份数量 | 押股份数量 | 持股份 | 总股本 | ...
科顺股份(300737) - 2024 Q2 - 季度财报
2024-08-27 15:37
Financial Performance - The cumulative main business income of large-scale waterproof building materials enterprises in China is 77.585 billion RMB, down 6.1% year-on-year[3]. - The company's operating revenue for the reporting period was ¥3,470,949,603.98, a decrease of 19.96% compared to the same period last year[15]. - Net profit attributable to shareholders was ¥93,877,220.56, representing an increase of 54.90% year-on-year[15]. - The net cash flow from operating activities was -¥1,430,750,122.92, a decline of 89.71% compared to the previous year[15]. - The total assets at the end of the reporting period amounted to ¥14,149,618,002.37, reflecting a growth of 2.68% from the end of the previous year[15]. - The company achieved operating revenue of 3.47 billion yuan in the reporting period, a decrease of 19.96% compared to the previous year, primarily due to industry cyclical factors and reduced downstream demand[41][42]. - The gross profit margin increased to 23.45%, up 2.71 percentage points year-on-year, attributed to the company's focus on "high-quality development" and effective cost reduction measures[41]. - The company reported a total revenue of 775.85 million yuan, a decrease of 6.1% compared to the previous year[66]. Market and Industry Trends - The total production of waterproof materials in China is projected to be 3.059 billion square meters in 2023, a decrease of 11.5% compared to 2022[3]. - The company operates in the construction waterproofing industry, which is affected by the reduced number of engineering projects in China[3]. - The market for waterproof materials is expected to expand, driven by the ongoing development of downstream application industries[20]. - The proportion of high polymer waterproof membranes is steadily increasing, indicating a shift in product structure within the industry[21]. - The government has strengthened quality supervision in the waterproof industry, raising entry barriers and enhancing industry concentration[24]. Risks and Challenges - The company faces risks related to the fluctuation of raw material prices, which include asphalt and various petrochemical products, potentially impacting profitability[4]. - The company's accounts receivable balance has increased due to business expansion, posing a risk if major debtors experience financial difficulties[5]. - The company has limited bargaining power over the prices of major raw materials, which could affect its cost structure[4]. - The company is facing risks related to raw material price fluctuations, particularly for petroleum-based products, which could impact profitability if prices rise significantly[67]. - The company aims to optimize customer and product structures to mitigate risks from potential declines in downstream demand[66]. Corporate Governance and Compliance - The company emphasizes the importance of accurate financial reporting and has ensured compliance with legal responsibilities[2]. - The company’s legal representative is Chen Weizhong, who oversees the financial reporting process[10]. - The company has established a risk management system to control the scale of hedging business, ensuring it does not affect normal operations[64]. - The company has not faced any administrative penalties related to environmental issues during the reporting period[98]. - The company has successfully implemented a series of environmental management systems to ensure compliance with national and local regulations[100]. Research and Development - The company focuses on both independent and collaborative R&D, with a structured process that includes product design, testing, and mass production[34]. - The company has a total of 1,132 patent applications, including 506 inventions, with 747 valid patents currently held[38]. - The company is dedicated to innovation, optimizing its R&D platform, and enhancing supply chain management to maintain industry competitiveness[106]. Environmental Responsibility - The company has established a comprehensive environmental management system, aiming for ISO14001 and ISO50001 certifications to enhance its green development[80]. - The company is committed to sustainable practices, utilizing biodegradable materials in its products to ensure environmental safety and health[29]. - The company has implemented energy-saving and emission-reduction technologies, contributing to a reduction in greenhouse gas emissions[98]. - The company has actively engaged in community support through volunteer services and donations, focusing on education and poverty alleviation initiatives[101]. Shareholder Information - The company plans to distribute cash dividends of 0 RMB per 10 shares to all shareholders, with no stock dividends or capital reserve transfers[6]. - The company reported a cash dividend of RMB 0.80 per share (before tax), totaling RMB 90,217,470.24, with a total cash distribution (including other methods) of RMB 212,933,723.66[73]. - The company has a total of 1,127,718,378 shares as the basis for profit distribution, with 100% of the cash dividend amount allocated from the total profit distribution[74]. - The largest shareholder, Chen Weizhong, holds 23.21% of the shares, totaling 273,260,362 shares, with 238,695,271 shares being restricted[124]. Financial Instruments and Accounting - The company adheres to the accounting standards for enterprises, ensuring that the financial statements accurately reflect its financial position and operating results[178]. - The company utilizes the effective interest method for subsequent measurement of financial assets and liabilities at amortized cost[193]. - Financial assets are derecognized when the contractual rights to cash flows have expired or when they are transferred and meet derecognition criteria[193]. - The company measures expected credit losses based on the weighted average of credit losses for financial instruments[194]. Employee and Talent Management - The company has been recognized as a "High-skilled Talent Training Base" by the Foshan Human Resources and Social Security Bureau, highlighting its commitment to talent development[37]. - The company has developed a robust employee welfare system, promoting professional development and ensuring employee rights[104]. - The number of employees participating in the employee stock ownership plan is 1,022, holding a total of 36,786,200 shares, which accounts for 3.12% of the company's total equity[77].
科顺股份:2024年半年度非经营性资金占用及其他关联资金往来情况汇总表
2024-08-27 15:37
2024 年半年度非经营性资金占用及其他关联资金往来情况汇总表 单位:万元 | | | 占用方与公 | 公司核算的 | 2024 | 年期初占用资 | 2 0 24 年半年度占用 | 2 0 24 年半年度 | 2024 | 年半年度偿还 | 2024 | 年半年度占用 | 占用形成 | | | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | | 非经营性资金占用 | 资金占用方名称 | 司的关联关 | 会计科目 | | 金余额 | 累计发生金额(不 | 占用资金的利 | | 累计发生金额 | | 资金余额 | 原因 | 占用性质 | | | | 系 | | | | 含利息) | 息(如有) | | | | | | | | 控股股东、实际控制 | | | | | | | | | | | | | | | 人及其附属企业 | | | | | | | | | | | | | | | 小计 | - | - | - | | | | | | | | | | - | | 前控股股东、实际控 | | | | ...
科顺股份:国泰君安关于科顺股份使用暂时闲置募集资金进行现金管理的核查意见
2024-08-27 15:37
使用暂时闲置募集资金进行现金管理的核查意见 国泰君安证券股份有限公司 关于科顺防水科技股份有限公司 1 | | | | | | 单位:万元 | | --- | --- | --- | --- | --- | --- | | 序号 | 项目名称 | 项目总投资 | 调整前拟投入 募集资金金额 | 调整后拟投入 募集资金金额 | 募集资金累 计投入金额 | | | 安徽滁州防水材料扩产 | | | | | | 1 | | 95,674.05 | 81,000.00 | 79,731.36 | 38.86 | | | 项目 | | | | | | 2 | 福建三明防水材料扩产 | 34,337.11 | 28,000.00 | 28,000.00 | 3,373.86 | | | 项目 | | | | | | 3 | 重庆长寿防水材料扩产 | 22,432.32 | 19,000.00 | 19,000.00 | 1,098.21 | | | 项目 | | | | | | 4 | 智能化升级改造项目 | 28,964.32 | 26,000.00 | 26,000.00 | 10,309.91 | | 5 | | ...
科顺股份:关于延长为经销商担保期限的公告
2024-08-27 15:37
证券代码:300737 证券简称:科顺股份 公告编号:2024-090 债券代码:123216 债券简称:科顺转债 科顺防水科技股份有限公司 关于延长为经销商担保期限的公告 本公司及董事会全体成员保证公告内容的真实、准确和完整,没有虚假记载、 误导性陈述或者重大遗漏,并对其内容的真实性、准确性和完整性承担个别及连 带法律责任。 一、前次担保情况概述 保期限。 为进一步推动公司渠道业务的发展,支持下游经销商稳定发展, 从而更加有效地开拓市场,做大做强销售规模,实现公司业务的稳定 增长,董事会同意公司延长对下游经销商担保的期限,担保期限延长 至 2025 年 1 月 26 日起不超过 36 个月,即担保期限为不超过 2028 年 1 月 26 日。 四、监事会意见 公司在风险可控的前提下,为符合资质条件的下游经销商向公司 指定的银行等金融机构贷款延长担保期限,不会对公司产生不利的影 响,不会损害公司和全体股东的利益,符合《公司章程》《深圳证券 交易所创业板股票上市规则》《深圳证券交易所上市公司自律监管指 引第 2 号——创业板上市公司规范运作》等相关规定的要求。因此, 监事会同意公司为经销商向公司指定的银行等金融 ...