Shanghai Chinafortune Co., Ltd., through its subsidiaries, engages in the securities business in China. The company is also involved in the securities and futures brokerage business, agency sales of financial products business, investment consulting business, investment transactions in securities and derivative financial instruments, collective and targeted asset management, and asset management business; securities sponsorship, underwriting, and financial advisory business; and margin trading, stock pledge repurchase, agreed repurchase securities, and equity investment businesses. Additionally, it issues securities research reports and develops trading systems for exchanges and financial institutions. The company was formerly known as Shanghai Jinling Co., Ltd. and changed its name to Shanghai Chinafortune Co., Ltd. in January 2013. Shanghai Chinafortune Co., Ltd. was founded in 1952 and is based in Shanghai, China.
Frequently asked questions
What sector does Shanghai Chinafortune Co Ltd (600621) operate in?
Shanghai Chinafortune Co Ltd belongs to the Real Estate sector and operates in the Financial Conglomerates industry.
What is Shanghai Chinafortune Co Ltd (600621) current stock price?
As of the latest data, Shanghai Chinafortune Co Ltd stock price is CN¥14.10, with a previous close of CN¥12.82. Shanghai Chinafortune Co Ltd gained CN¥1.28 in the last trading session, representing a 9.98% increase.
What is Shanghai Chinafortune Co Ltd (600621) current market capitalization?
Shanghai Chinafortune Co Ltd market cap is approximately 14.96 billion.
What is Shanghai Chinafortune Co Ltd (600621) Earnings Per Share (EPS)?
The trailing EPS is CN¥0.77.
What is Shanghai Chinafortune Co Ltd (600621) Price-to-Earnings (P/E) ratio?
Shanghai Chinafortune Co Ltd current P/E ratio is 18.31.
Does Shanghai Chinafortune Co Ltd (600621) pay dividends?
No. Shanghai Chinafortune Co Ltd does not pay a dividend.
What is Shanghai Chinafortune Co Ltd (600621) beta (volatility) score?
Shanghai Chinafortune Co Ltd has a beta of 0.575, indicating lower volatility than the overall market.