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永安药业股价异动背后:公司一季度亏损,实控人被立案并留置
Xin Jing Bao· 2025-06-16 13:30
Core Viewpoint - Yong'an Pharmaceutical (002365) has experienced significant stock price fluctuations, with a cumulative deviation exceeding 20% over two trading days, despite the company indicating no major changes in its fundamentals and warning of high speculation risks [1][2]. Financial Performance - Yong'an Pharmaceutical has faced declining revenues for three consecutive years, with reported revenues of 1.462 billion yuan, 973 million yuan, and 839 million yuan for 2022, 2023, and 2024 respectively, reflecting year-on-year declines of 6.58%, 33.48%, and 13.78% [2]. - The core business of taurine generated 635 million yuan in revenue for 2024, accounting for 75.67% of total revenue, but saw a year-on-year decline of 4.14% despite a 16.32% increase in sales volume due to falling prices [2]. - The company incurred a total loss of 17.588 million yuan from the shutdown of its ethylene oxide facility and Qi'an Hydrogen Energy, which accounted for 28.47% of net profit attributable to shareholders [2]. Management and Governance - The actual controller and chairman of Yong'an Pharmaceutical, Chen Yong, has been placed under investigation and detention, raising concerns about management stability [3]. - Despite the investigation, the company asserts that other board members and senior management are performing their duties normally, and that there has been no change in control or significant impact on daily operations [3]. Future Outlook - Yong'an Pharmaceutical faces multiple challenges, including ongoing performance pressures, obstacles in core business operations, setbacks in new business development, and management changes, raising questions about its future strategies [4].
和讯投顾都业华:关注近期异动板块,可尝试用多头思路寻找机会
He Xun Cai Jing· 2025-06-16 05:46
(原标题:和讯投顾都业华:关注近期异动板块,可尝试用多头思路寻找机会) 6月16日,和讯投顾都业华对几个影响力较大且备受关注的板块进行了分析。 上周五分析时,虽当时阴线未现,但指出该板块前高位置有放量阳线,套人情况明显,突破前高难度较 大。当时还提到,板块虽有两波上涨引起关注,但过前高后仅是对称震荡,做不出三板。若往上突破, 前高位置难过;若过不去,很可能回下沿。星期五的走势正是如此。从经验看,当前位置是重要支撑, 但支撑未到,小级别上未止跌。对于持有证券股的投资者,建议定止损,这是做风控的重要方案,多数 交易大师也采用止损方式。对于想买证券的投资者,需等其止跌,同时要考虑止跌位置和性价比。证券 板块目前并非特别强,不在舞台中央,但对市场影响大、有人气。 与数字货币对比,目前看走势未结束。从15分钟图看,若组成对称震荡,可看作机会,但也有另一种难 认的震荡走势。与数字货币相比,可控核聚变更强,因为数字货币前高没过,上周五已出现较大阴线。 此前分析A50时,在未看到中东军事冲突新闻的情况下,提到军工板块前期上过热点,顶着压力震荡, 可定位为强势震荡。现在军工板块阳线起来且放量,但从板块角度讲,尚未突破。后续走势 ...
广州楼市松绑的目的:让富人多买房,让穷人忙换房 !
Sou Hu Cai Jing· 2025-06-15 13:42
作为国内4个一线城市的广州,虽然和其他3个一线城市北京、上海、深圳相比,有一定的差距,甚至房价还低于福建省的厦门市,但依然属于一 线城市。其政策的变动和调整,依然牵动着人们的神经。这不,最近广州楼市限购松绑政策一出,立即引发了房地产市场强烈反响。业内人士认 为,广州楼市的这次松绑,是"精准调控"的举措,通过差异化政策的设计,既鼓励高收入人群入市置业,多买房,又推动普通家庭改善居住条 件,去换房。 广州楼市的这次松绑,将番禺、黄埔等城市外围区域,纳入了不限购的范围,同时,还放宽了社保缴纳年限要求。引人注目的,是允许已有住房 的家庭,在特定区域新增购房的名额。不过,有钱人会不会继续购房,不太好说;但普通家庭换房,如果条件允许,还有很有可能的。据有关数 据显示,在广州的存量住宅中,户型面积在90平方米以下的,在62%左右,所以说,不少家庭存在着改善的需求。 据报道,在珠江新城等核心区域,这次的政策为高收入人群,预留了特殊通道。虽然名义上还在限购,但通过"认房不认贷"、税费优惠等组合 拳,实际为多套房持有者扫清了障碍。某高端项目销售总监透露,新政后单日接待量激增300%,其中70%是咨询千万级豪宅的企业主(请注意, ...
【行情异动复盘】期货盯盘神器早盘分享:烧碱形成多个空头堆积带,纯碱、PTA出现多枚主买资金炸弹推动价格上涨,一图了解甲醇、菜粕等热门品种出现的关键市场信号。
news flash· 2025-06-13 05:04
Group 1 - The core viewpoint highlights significant market movements in various commodities, particularly in caustic soda, soda ash, and PTA, indicating a bullish trend driven by substantial buying activity [1] - Caustic soda has formed multiple short-selling accumulation zones, suggesting potential price volatility in the near future [1] - PTA's main contract experienced multiple major buying signals, with a total transaction amount of 50.61 billion, contributing to price increases [5] Group 2 - ULU JULU UN recorded a transaction amount of 15.92 billion, with a main buying proportion of 54.93%, which also supported price growth [3]
【行情异动复盘】期货盯盘神器早盘分享:白糖形成多个空头堆积带,尿素出现多枚主卖资金炸弹,一图了解烧碱、玻璃等热门品种出现的关键市场信号。
news flash· 2025-06-12 04:54
行情异动复盘 期货盯盘神器早盘分享:白糖形成多个空头堆积带,尿素出现多枚主卖资金炸弹,一图了解烧碱、玻璃等热门品种出现的关键 市场信号。 免责声明:本产品不提供投资咨询或投顾服务,所展示的信息仅供参考,不构成任何投资建议。 相关链接 成交额6.99亿 蛋白 56.12% 烧碱主力合约在10:02出现一枚主买资金炸弹,成交 额为6.99亿,主买占比56.12%,推动价格迅速上 涨。 尿素主力合约在早盘出现多枚主卖资金炸弹,推动 价格持续下跌。 ...
矿业大亨抄底*ST亚振 7个交易日浮盈超5亿元
Mei Ri Jing Ji Xin Wen· 2025-06-11 14:31
亚振家居称,经申请,公司股票自2025年6月12日开市起停牌,自披露核查公告后复牌,预计停牌时间不超过3个交易日。 值得注意的是,由于亚振家居2024年度经审计的扣除非经常性损益后的净利润为负值,且扣除与主营业务无关的业务收入和不具备商业实质的 收入后的营业收入低于3亿元,亚振家居股票于今年5月6日起实施退市风险警示。 换言之,如果亚振家居在2025年还出现《股票上市规则》相关条款规定的任意情形之一,公司股票将被上海证券交易所决定终止上市。 每经记者|赵李南 每经编辑|马子卿 6月11日,*ST亚振(SH603389,股价12.95元,市值34.03亿元,此前简称"亚振家居")公告称,其股票从6月12日开始停牌核查。 值得注意的是,今年5月以来,亚振家居股价大涨,多次触及股票交易异常波动。 《每日经济新闻》记者注意到,此前以吴涛为首的矿业资本以协议价5.68元/股拿下亚振家居约30%股权,截至6月11日收盘浮盈约128%。以股份 过户登记的日期,即今年5月30日开始计算,吴涛在7个交易日里浮盈超过5亿元。 自6月12日开市起停牌,预计停牌时间不超过3个交易日 "公司郑重提醒广大投资者,公司股价可能存在短期涨幅 ...
【行情异动复盘】期货盯盘神器早盘分享:硅铁形成多个多头堆积带,尿素、纯碱出现主卖资金炸弹推动价格下跌,一图了解甲醇、玻璃等热门品种出现的关键市场信号。
news flash· 2025-06-11 04:50
行情异动复盘 期货盯盘神器早盘分享:硅铁形成多个多头堆积带,尿素、纯碱出现主卖资金炸弹推动价格下跌,一图了解甲醇、玻璃等热门 品种出现的关键市场信号。 | Acres of the Resident of Concession, STATUTE AND THE FOR | | | --- | --- | | of the Real Property of Real Property | | | of the Real Property of the | 11:2 | 甲醇主力合约在11:20与11:22出现两枚主买资金炸 弹,主买占比分别为80.85%与73.72%,推动价格 上涨。 版交部3.59亿 相关链接 尿素主力合约在10:08出现主卖资金炸弹,成交额为 3.59亿,主卖占比72.63%,推动价格迅速下跌。 ...
午后大回踩,有什么内幕?
Hu Xiu· 2025-06-10 11:15
我们关注一个时间点:市场出现异动时是北京时间下午1点多。倒推回去,大概是欧洲(伦敦)时间凌 晨7、8点钟,也就是第二天中美贸易谈判马上要开始的时间点。在这个节骨眼上,我们看到特朗普这边 释放了一句话:"跟中国的谈判并不容易。"这让大家产生了不好的联想。因为市场原本预期谈判进入第 二天,进展会比较顺利,至少能拿出一些结果。 新闻解读评级说明:五星重磅,四星重要,三星级以下大家选择听。 1、午后大回踩,有什么内幕? 今天,我们主要探讨了一个话题:市场上突然出现的异动。在下午1点多,中国内地市场在没有任何突 发性坏消息的情况下,出现了向下的大幅回踩。香港市场也跟随下跌,跌幅更大。这不仅是中国资产, 大家可以看到,全球包括欧洲市场以及美国方面(尽管美国没有正常交易,但股指期货所代表的价格指 数)也都齐刷刷地出现了下跌。 那么,这到底意味着什么呢?是不是有一些我们还没有认知到的、尚未看到的坏消息正在发酵呢?实际 上,个人认为,这个波动可能还是与中美贸易谈判有关。 本篇评级为★★★,主要围绕以下内容展开: 然而,美国总统突然说谈判并不容易,是不是又会一波三折,飞出一个黑天鹅呢?但实际上,我们看到 这一次双方的谈判还是非常 ...
山金期货贵金属策略报告-20250610
Shan Jin Qi Huo· 2025-06-10 11:13
Report Industry Investment Rating No relevant content provided. Core View of the Report - The short - term trend of precious metals is expected to be volatile and bullish, with a high - level oscillation in the medium - term and a step - up movement in the long - term. The price trend of gold serves as an anchor for the price of silver. [1][5] - For both gold and silver, the recommended strategy is for conservative investors to wait and see, while aggressive investors can buy low and sell high. It is advised to manage positions well and set strict stop - loss and take - profit levels. [2][6] Summary by Relevant Catalogs Gold - **Market Performance**: Today, the precious metals market showed a pattern of weak gold and strong silver. The main contract of Shanghai Gold Futures closed down 0.03%, while the main contract of Shanghai Silver Futures closed up 0.62%. [1] - **Core Logic**: In the short term, there are still risks of repeated Trump - era trade wars, economic recession, and geopolitical fluctuations. The risk of stagflation in the US economy is increasing, and the Fed maintains a cautious attitude towards interest rate cuts. [1] - **Attributes Analysis** - **Safe - haven Attribute**: A phone call between Chinese and US leaders is expected to focus on rare earths and export controls in Sino - US trade talks. [1] - **Monetary Attribute**: The New York Fed's consumer expectations survey shows that in May, US public anxiety about the future inflation path eased. The one - year inflation expectation of respondents was 3.2% (down from 3.6% in April). The US added 139,000 non - farm payrolls in May, higher than the market expectation of 130,000. Employment growth continued to slow under the influence of trade policy uncertainties, and the unemployment rate remained at 4.2% for the third consecutive month. The market currently expects the Fed's next interest rate cut to be in September, and the expected total rate - cut space in 2025 has dropped to around 50 basis points. The US dollar index and US Treasury yields are oscillating weakly. [1] - **Commodity Attribute**: The rebound of the CRB commodity index is under pressure, and the appreciation of the RMB is negative for domestic prices. [1] - **Data Summary**: Various data such as international and domestic prices, basis and spreads, positions, inventories, CFTC managed fund net positions, and gold ETFs are presented, showing different changes compared to the previous day and the previous week. For example, the Comex gold main contract closed at $3346.70 per ounce, up $15.70 (0.47%) from the previous day and down $59.70 (-1.75%) from the previous week. [2] Silver - **Influencing Factors**: The price trend of gold is the anchor for the price of silver. In terms of capital, CFTC silver net long positions and iShare silver ETF have increased their positions again. In terms of inventory, the recent visible inventory of silver has increased slightly. [5] - **Data Summary**: Similar to gold, data on international and domestic prices, basis and spreads, positions, inventories, CFTC managed fund net positions, and silver ETFs are provided. For instance, the Comex silver main contract closed at $36.91 per ounce, up $0.77 (2.15%) from the previous day and up $1.98 (5.65%) from the previous week. [6] Fundamental Key Data - **Fed - related Data**: The upper limit of the federal funds target rate, the discount rate, and the reserve balance interest rate (IORB) are all 4.50%, 4.50%, and 4.40% respectively, with a decrease of 0.25 percentage points compared to the previous value. The Fed's total assets are $6723.632 billion, down $514 million (-0.00%) from the previous day. [8] - **Other Economic Indicators**: Include M2 growth rate, ten - year US Treasury real yield, US dollar index, US Treasury yield spreads, inflation indicators (CPI, PCE), economic growth indicators (GDP), unemployment rate, employment data, real estate market data, consumption data, industrial data, trade data, and central bank gold reserves. For example, the CPI (year - on - year) is 2.30%, down 0.10 percentage points; the GDP (annualized year - on - year) is 2.00%, down 0.90 percentage points. [9][10][12] - **Fed Interest Rate Expectations**: According to the CME FedWatch tool, the probability of different interest rate ranges at various Fed meetings from June 2025 to December 2026 is presented. For example, at the June 18, 2025 meeting, the probability of the federal funds rate being in the 425 - 450 range is 99.9%. [13]
金鹰股份:锂电池材料业务收入占比较小
news flash· 2025-06-10 09:52
金鹰股份(600232)发布异动公告,公司股票于2025年6月5日、6月6日和6月9日连续三个交易日内日收 盘价格涨幅偏离值累计达到20%,属于股票交易异常波动的情形。公司主营业务为纺织、纺织机械、塑 料机械及锂电池材料业务,其中锂电池材料业务2024年营业收入2172.21万元,占公司主营业务收入的 1.70%,占比较小。公司未涉及固态电池业务。截至本公告日,公司主营业务、生产经营情况以及经营 环境与前期披露的信息相比未发生重大变化,内部经营秩序正常。 ...