CMST Development Co Rule of 40
Rule of 40 for CMST Development Co (600787.SS) pr. 16. aug. 2026 er -5,68 %. I foregående år var Rule of 40 -11,55 % — en ændring på -50,83 % (højere).
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Rule of 40
-5,68 %
YoY
-50,83%
Senest opdateret:
Rule of 40 for CMST Development Co er 2026 -5,68 % . Rule of 40 for CMST Development Co var 2025 -11,55 % . Det falder dermed med -50,83% højere sammenlignet med året før.
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CMST Development Co Aktieanalyse
Hvad laver CMST Development Co? The CMST Development Co Ltd is a China-based company specializing in various business areas. The company was established in 1995 and has experienced strong growth since then.
CMST Development Co Ltd's business model is based on the development and marketing of real estate projects, as well as providing infrastructure and engineering services to customers from different industries. The company is also engaged in building materials and financial services.
Among the various divisions of CMST Development Co Ltd, the real estate development and infrastructure services have proven to be particularly successful. The company has realized its real estate projects in many parts of China, including Beijing, Shanghai, Guangzhou, and other major cities.
An example of a successful real estate project by CMST Development Co Ltd is the "OCT Bay" in Shenzhen, one of the fastest-growing cities in China. OCT Bay is a large leisure and shopping center with a water park, marina, and numerous shops and restaurants. The project has helped strengthen Shenzhen's image as one of the most attractive cities in China.
In the infrastructure services division, CMST Development Co Ltd offers a wide range of services, including planning, design, engineering, and construction of roads, bridges, tunnels, and other important infrastructure projects. The company has also undertaken major projects in this field in collaboration with the government.
CMST Development Co Ltd is also involved in the manufacturing and sale of building materials, including cement products, steel, and tiles. The company aims to provide high-quality products at an affordable price.
Furthermore, the company offers financial services, including asset management, credit, and insurance. The finance sector aims to diversify the company's business and offer customers a broader range of services.
Overall, CMST Development Co Ltd has built an excellent reputation as a reliable and successful company over the past decades. The company has received many awards for its outstanding achievements and is equally respected in China and international markets.
Among CMST Development Co Ltd's long-term goals is to continue offering innovative and high-quality services and products to meet the needs of customers and drive the company's growth. CMST Development Co er et af de mest populære virksomheder på Eulerpool.com.
Hyppigt stillede spørgsmål om CMST Development Co aktie
Rule of 40 for CMST Development Co er -5,68 % i 2026.
På Eulerpool kan du finde den fuldstændige historiske udvikling af Rule of 40 CMST Development Co siden 2006 – med årlige værdier, diagrammer og detaljeret analyse.
Rule of 40 siger, at en virksomheds omsætningsvækstrate plus fortjenstmargin skal overstige 40%. Det bruges bredt til at vurdere SaaS- og højtvækstvirksomheder.
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Kvalitet — CMST Development Co
Alle nøgletal — CMST Development Co
Værdiansættelse
Resultatopgørelse
Marginer
Balance
- Samlede aktiver
- Omsætningsaktiver
- Likvide midler
- Tilgodehavender
- Lagerbeholdning
- Materielle anlægsaktiver
- Goodwill
- Immaterielle aktiver
- Egenkapital
- Forpligtelser
- Gæld
- Kortfristede gældsforpligtelser
- Langfristet gæld
- Kortfristet gæld
- Tilbageholdt overskud
- Bogført værdi pr. aktie
- Materiel bogført værdi pr. aktie
- Arbejdskapital
- Investeringer
- Leverandørgældsforpligtelser
- Anlægsaktiver
- Kortfristede investeringer
- Langfristede investeringer
- Nettogæld
- Egne aktier
- Minoritetsinteresser
- Udskudt skatteforpligtelse
- Netto materielle aktiver
- Goodwill/Aktiver
- Immaterielle aktiver/Aktiver
Pengestrøm
- Operativt cash flow
- Investeringsudgifter
- Frit cash flow
- FCF pr. aktie
- Udbetalt udbytte
- Aktietilbagekøb
- Investeringscash flow
- Finansieringscash flow
- CapEx/Omsætning
- Cash flow pr. aktie
- Aktiebaseret kompensation
- Ændring i arbejdskapital
- Akquisitioner (netto)
- Netto likviditetsændring
- CapEx/OCF
- FCF/Resultat
- FCF-konvertering
- Likviditetskonvertering
- Samlet aktionærudbetaling
- CapEx/Afskrivninger
Rentabilitet
- ROE
- ROA
- ROCE
- ROIC
- Aktivomsætning
- Lageromsætning
- Tilgodehavendeomsætning
- Dage til betaling af salg
- Dage for lagerbeholdning
- Dage skyld til betaling
- Cash conversion cycle
- CROIC
- Bruttoavance/Aktiver
- Omsætning af anlægsaktiver
- Egenkapitalomsætning
- Arbejdskapitalomsætning
- Gældsomveksling
- Kapitalintensitet
- Tilgodehavender/Omsætning
- Lagerbeholdning/Omsætning
- EBIT/Aktiver
Gearing
Vækst
- Omsætningsvækst
- Omsætningsvækst 3-årigt CAGR
- Omsætningsvækst 5-årigt CAGR
- Omsætningsvækst 10-årigt CAGR
- Driftsvækst
- EPS-vækst
- EBIT-vækst
- EBIT CAGR 3Y
- EBIT CAGR 5Y
- EBIT CAGR 10Y
- Dividendevækst
- FCF-vækst
- Bogført værdi-vækst
- Resultaatvækst CAGR 3Y
- Resultaatvækst CAGR 5Y
- Resultaatvækst CAGR 10Y
- EPS-vækst CAGR 3Y
- EPS-vækst CAGR 5Y
- EBITDA-vækst YoY
- EBITDA-vækst CAGR 3Y
- EBITDA-vækst CAGR 5Y
- Bruttoavancevækst
- OCF-vækst YoY
- Medarbejdertilvækst
- Dividend CAGR 3år
- Dividend CAGR 5år
- Dividend CAGR 10år
- Aktivvækst
- Egenkapitalvækst
- Gældsværkst
- CapEx-vækst
- FCF CAGR 3år
- FCF CAGR 5år
- Markedsværdivækst
- Aktievækst