Road King Infrastructure Ltd. is an investment holding company, which engages in the real estate business. The company employs 3,458 full-time employees The firm operates its business through three segments. The Property Development and Investment segment is mainly engaged in the sale of properties. The Investment and Asset Management segment is mainly engaged in the property development and investment integrated with property funds, cultural, tourist and commercial businesses. The Toll Road segment is mainly engaged in the development, operation and management of toll roads.
Resultados financieros en millones de dólares estadounidenses. El ejercicio fiscal es febrero - enero.
Breakdown
TTM
12/31/2024
12/31/2023
12/31/2022
12/31/2021
12/31/2020
Ingresos
3,853
5,536
13,075
17,155
24,677
24,196
Crecimiento de los Ingresos (YoY)
-62%
-57.99%
-24%
-30%
2%
13%
Costo de los ingresos
5,576
6,927
13,723
14,211
19,278
17,689
Utilidad bruta
-1,722
-1,390
-647
2,944
5,399
6,506
Venta, General y Administración
1,885
2,462
2,540
1,929
1,987
1,878
Investigación y Desarrollo
--
--
--
--
--
--
Gastos de Operación
1,797
2,350
2,269
1,785
1,913
1,795
Otras Ingresos (Gastos) No Operativos
-62
-105
-108
-143
-184
-238
Ingreso antes de impuestos
-4,975
-3,340
-3,589
1,098
4,274
4,733
Gasto por Impuesto a la Renta
-470
-32
171
639
2,289
1,949
Ingreso Neto
-5,129
-4,121
-3,961
-495
1,028
1,722
Crecimiento de la Utilidad Neta
36%
4%
700%
-148%
-40%
-43%
Acciones en Circulación (Diluidas)
749.33
749.33
749.33
749.33
749.33
749.33
Cambio de Acciones (YoY)
0%
0%
0%
0%
0%
0%
EPS (Diluido)
-6.84
-5.5
-5.28
-0.66
1.37
2.29
Crecimiento de EPS
36%
4%
700%
-148%
-40%
-43%
Flujo de efectivo libre
1,359
2,033
2,543
2,094
6,378
-1,017
Flujo de efectivo libre por acción
--
--
--
--
--
--
Margen bruto
-44.69%
-25.1%
-4.94%
17.16%
21.87%
26.88%
Margen de operación
-91.33%
-67.55%
-22.3%
6.75%
14.12%
19.47%
Margen de beneficio
-133.11%
-74.44%
-30.29%
-2.88%
4.16%
7.11%
Margen de flujo de caja libre
35.27%
36.72%
19.44%
12.2%
25.84%
-4.2%
EBITDA
--
-3,716
-2,881
1,193
3,534
4,769
Margen de EBITDA
--
-67.12%
-22.03%
6.95%
14.32%
19.7%
D&A para EBITDA
--
24
36
35
49
58
EBIT
-3,519
-3,740
-2,917
1,158
3,485
4,711
Margen de EBIT
-91.33%
-67.55%
-22.3%
6.75%
14.12%
19.47%
Tasa de Impuesto Efectiva
9.44%
0.95%
-4.76%
58.19%
53.55%
41.17%
Follow-Up Questions
Road King Infrastructure Limited'in temel mali tabloları nelerdir?
Son mali tabloya (Form-10K) göre, Road King Infrastructure Limited'in toplam varlıkları $57,513 olup, net pérdida $-4,121'dir.
RKGXF'ün temel finansal oranları nelerdir?
Road King Infrastructure Limited'in cari oranı 1.45, net kâr marjı -74.44, hisse başına satış $7.38'dir.
Road King Infrastructure Limited'in geliri segment veya coğrafya bazında nasıl dağılıyor?
El segmento de ingresos más grande es Road King Infrastructure Limited, con unos ingresos de Property Development and Investment en el último informe de ganancias. En cuanto a la geografía, China es el mercado principal para Road King Infrastructure Limited, con unos ingresos de 5,022,138,000.
Road King Infrastructure Limited kârlı mı?
no, son mali tablolara göre Road King Infrastructure Limited'in net pérdida $-4,121'dir.
Road King Infrastructure Limited'in herhangi bir yükümlülüğü var mı?
sí, Road King Infrastructure Limited'in yükümlülüğü 39,574'dir.
Road King Infrastructure Limited'in tedavüldeki hisse sayısı kaçtır?
Road King Infrastructure Limited'in toplam tedavüldeki hisse sayısı 749.33'dir.