RoadMain T Co Ltd (SHG:603860) — Stock Price

CN¥26.28 CNY
▼ -0.42% today

RoadMain T Co Ltd (SHG:603860) is currently trading at CN¥26.28 CNY, down 0.42% today. Over the past 52 weeks, shares have ranged between CN¥22.46 and CN¥33.49. This page tracks RoadMain T Co Ltd's live share price on the SHG exchange, its daily price and volume history, and — where reported — its income statement, balance sheet, cash flow statement, and earnings history. For company valuation and market capitalisation context, see 603860 stock market capitalisation.

RoadMain T Co Ltd (603860) Stock Price Chart — Daily History & Trading Volume

The chart below tracks RoadMain T Co Ltd's daily closing share price and trading volume on the SHG exchange over the past year, giving a clear view of recent price momentum and liquidity.

RoadMain T Co Ltd Income Statement — Revenue, Profit & Earnings by Year

RoadMain T Co Ltd's annual income statement shows how revenue converts into profit each fiscal year, including gross profit, operating income, EBITDA, and net income.

Fiscal Year 20252024202320222021
Total Revenue CN¥273.35 Million CN¥259.96 Million CN¥260.54 Million CN¥224.76 Million CN¥203.29 Million
Cost of Revenue CN¥145.43 Million CN¥125.56 Million CN¥131.08 Million CN¥115.57 Million CN¥104.65 Million
Gross Profit CN¥127.92 Million CN¥134.40 Million CN¥129.46 Million CN¥109.18 Million CN¥98.64 Million
Research & Development CN¥18.15 Million CN¥17.22 Million CN¥19.32 Million CN¥16.99 Million CN¥12.73 Million
SG&A CN¥46.77 Million CN¥50.78 Million CN¥44.69 Million CN¥39.41 Million CN¥35.58 Million
Total Operating Expenses CN¥79.28 Million CN¥84.09 Million CN¥71.20 Million CN¥65.19 Million CN¥56.36 Million
Operating Income CN¥48.65 Million CN¥50.31 Million CN¥58.26 Million CN¥43.99 Million CN¥42.28 Million
EBITDA CN¥61.53 Million CN¥64.78 Million CN¥68.79 Million CN¥54.23 Million CN¥52.74 Million
EBIT CN¥48.65 Million CN¥50.75 Million CN¥58.37 Million CN¥44.13 Million CN¥42.41 Million
Interest Expense CN¥32.10K CN¥29.27K CN¥111.13K CN¥145.48K CN¥101.87K
Income Before Tax CN¥52.06 Million CN¥50.72 Million CN¥58.26 Million CN¥43.99 Million CN¥42.31 Million
Income Tax Expense CN¥7.11 Million CN¥6.30 Million CN¥6.39 Million CN¥6.76 Million CN¥6.12 Million
Net Income CN¥45.60 Million CN¥44.62 Million CN¥51.57 Million CN¥38.45 Million CN¥37.78 Million

RoadMain T Co Ltd Balance Sheet — Assets, Liabilities & Shareholder Equity

The balance sheet below summarizes RoadMain T Co Ltd's financial position at each fiscal year-end — what it owns (assets), what it owes (liabilities), and the resulting shareholder equity.

Fiscal Year 20252024202320222021
Total Assets CN¥1.02 Billion CN¥948.05 Million CN¥909.05 Million CN¥868.51 Million CN¥814.05 Million
Total Current Assets CN¥574.64 Million CN¥493.22 Million CN¥447.64 Million CN¥421.54 Million CN¥380.43 Million
Cash & Equivalents — — — — —
Short-term Investments — — — — —
Net Receivables CN¥185.25 Million CN¥159.02 Million CN¥138.90 Million CN¥144.72 Million CN¥111.00 Million
Inventory CN¥51.47 Million CN¥36.99 Million CN¥39.02 Million CN¥42.65 Million CN¥46.86 Million
Property, Plant & Equipment — — — CN¥401.93 Million CN¥389.44 Million
Goodwill — — — — —
Total Liabilities CN¥160.50 Million CN¥138.65 Million CN¥134.71 Million CN¥138.15 Million CN¥113.35 Million
Total Current Liabilities CN¥158.01 Million CN¥120.63 Million CN¥114.44 Million CN¥114.47 Million CN¥85.25 Million
Long-term Debt — — — — —
Net Debt CN¥-333.79 Million CN¥-269.92 Million CN¥-241.51 Million CN¥-209.54 Million CN¥-192.52 Million
Total Stockholder Equity CN¥840.05 Million CN¥805.61 Million CN¥770.34 Million CN¥726.46 Million CN¥695.58 Million
Retained Earnings CN¥517.16 Million CN¥482.72 Million CN¥447.45 Million CN¥403.57 Million CN¥372.69 Million

RoadMain T Co Ltd Cash Flow Statement — Operating, Investing & Financing Activities

This cash flow statement breaks down how RoadMain T Co Ltd generates and spends cash across operating, investing, and financing activities each fiscal year, including free cash flow and capital expenditures.

Fiscal Year 20252024202320222021
Operating Cash Flow CN¥76.21 Million CN¥50.97 Million CN¥61.84 Million CN¥39.42 Million CN¥36.16 Million
Capital Expenditures CN¥1.12 Million CN¥7.62 Million CN¥25.47 Million CN¥23.37 Million CN¥85.25 Million
Free Cash Flow CN¥75.09 Million CN¥43.35 Million CN¥36.36 Million CN¥16.05 Million CN¥-49.10 Million
Investing Cash Flow CN¥-1.08 Million CN¥-6.35 Million CN¥-17.97 Million CN¥-23.31 Million CN¥-85.20 Million
Financing Cash Flow CN¥-11.16 Million CN¥-10.70 Million CN¥-7.92 Million CN¥-9.96 Million CN¥-7.20 Million
Dividends Paid CN¥11.16 Million CN¥10.32 Million CN¥7.69 Million CN¥7.56 Million CN¥7.01 Million
Stock-Based Compensation — — — — —
Depreciation CN¥12.88 Million CN¥14.70 Million CN¥10.79 Million CN¥10.43 Million CN¥10.57 Million
Change in Cash CN¥63.87 Million CN¥33.92 Million CN¥35.95 Million CN¥6.14 Million CN¥-56.24 Million

RoadMain T Co Ltd Earnings History — EPS Actual vs. Analyst Estimates

Track RoadMain T Co Ltd's quarterly earnings per share (EPS) against Wall Street estimates, along with the earnings surprise percentage for each reporting period.

Report Date EPS Actual EPS Estimate Surprise
Apr 08, 2025 — — —
Mar 31, 2023 0.06 — —
Dec 31, 2022 0.52 — —
Sep 30, 2022 0.10 — —
Jun 30, 2022 0.02 — —
Mar 31, 2022 -0.06 — —
Dec 31, 2021 0.59 — —
Sep 30, 2021 0.11 — —