四連板的吉鑫科技(601218.SH)提示原材料價格波動等風險
格隆匯11月3日丨連續4個漲停的吉鑫科技(601218.SH)發佈股票交易異常波動的公吿,經公司自查及發函問詢公司控股股東、實際控制人包士金,截至公吿披露日,公司及公司控股股東、實際控制人包士金不存在應披露而未披露的重大事項。
公司已於2021年10月29日披露《2021年第三季度報吿》,2021年第三季度公司實現營業收入5.42億元,同比下降0.32%;歸屬於上市公司股東的淨利潤4967.04萬元,同比下降24.54%;歸屬於上市公司股東的扣除非經營性損益的淨利潤4761.37萬元,同比下降23.69%。2021 年前三季度公司實現營業收入13.4億元,同比下降3.22%;歸屬於上市公司股東的淨利潤1.32億元,同比下降22.36%;歸屬於上市公司股東的扣除非經營性損益的淨利潤1.17 億元,同比下降28.43%。請投資者注意公司存在業績下滑的風險。
公司股票自2021年10月29日至11月3日連續4個交易日漲停,同期申萬風電設備指數上漲0.17%,上證綜指下跌0.57%。公司股價短期漲幅顯著高於市場水平,請廣大投資者注意交易風險,理性決策,審慎投資。
截止2021年11月3日收盤,公司股票的滾動市盈率是35.4倍,同期申萬風電設備的滾動市盈率是29.8倍,公司估值顯著高於行業水平,敬請投資者注意相關風險。
原材料價格波動風險:2021 年以來,生鐵、樹脂、廢鋼等主要原材料價格在高位震盪,若未來原材料價格持續大幅上漲,公司不能將原材料價格波動的風險及時轉移到下游客户,則可能因原材料價格上漲帶來主營業務成本增加,對公司的盈利能力產生不利影響。
“雙控”政策的風險:2021 年多地政府實施“雙控”政策,一方面公司可能面臨因“雙控”而限電限產,另一方面因“雙控”受限的產能影響,相應的攤銷成本略有上升,可能對公司的利潤帶來不利影響。
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