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SFDMY

Shanghai Fudan Microelectronics Group Company Limited

Price Chart
Latest Quote

$49.75

+0.00 (+0.00%)
Current Price
Previous Close $49.75
Open $49.75
Day High $49.75
Day Low $49.75
Volume 100
Fetched: 2026-06-16T06:29:02
Stock Information
Note: Financial values converted from CNY to USD
Shares Outstanding 27.46M
Market Cap $1.37B
P/E Ratio 11.23
Exchange PNK
📊 Comprehensive Analysis
Company Data
Book/sh$33.81
Financial Ratios
Returns & Margins
Ownership
Insider & Institutional transactions data not available
Valuation Ratios
P/B1.47
Analyst Data
Recommendationnone
Technical Indicators
SMA20$49.75
SMA50$49.75
SMA200$49.75
RSInan
Performance History
Week+0.00%
Month+0.00%
Quarter+0.00%
6 Months+0.00%
YTD+0.00%
Year+0.68%
3 Years+102.65%
5 Years+105.00%
10 Years+83.68%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-15 $49.75 0
2026-06-12 $49.75 0
2026-06-11 $49.75 0
2026-06-10 $49.75 0
2026-06-09 $49.75 0
2026-06-08 $49.75 0
2026-06-05 $49.75 0
2026-06-04 $49.75 0
2026-06-03 $49.75 0
2026-06-02 $49.75 0
2026-06-01 $49.75 0
2026-05-29 $49.75 0
2026-05-28 $49.75 0
2026-05-27 $49.75 0
2026-05-26 $49.75 0
2026-05-22 $49.75 0
2026-05-21 $49.75 0
2026-05-20 $49.75 0
2026-05-19 $49.75 0
2026-05-18 $49.75 0
Period:
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Income Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Revenue
Reconciled Cost Of Revenue $1,581,600,940 $1,371,667,976 $1,250,271,225 $1,058,923,542
Cost Of Revenue $1,581,600,940 $1,371,667,976 $1,250,271,225 $1,058,923,542
Total Revenue $3,590,223,828 $3,536,259,424 $3,538,908,885 $2,577,262,347
Operating Revenue $3,590,223,828 $3,536,259,424 $3,538,908,885 $2,577,262,347
Expenses
Interest Expense $42,712,216 $27,985,971 $4,354,700 $4,527,523
Total Expenses $2,791,014,264 $2,626,316,888 $2,265,090,557 $1,937,635,333
Rent Expense Supplemental $6,730,926 $3,495,302 $1,269,095 $1,148,366
Other Non Operating Income Expenses $-45,881 $433,801 $111,105 $103,902
Net Non Operating Interest Income Expense $-26,195,324 $-12,700,186 $9,522,751 $3,529,305
Total Other Finance Cost $279,166 $258,719 $935,664 $374,378
Interest Expense Non Operating $42,712,216 $27,985,971 $4,354,700 $4,527,523
Operating Expense $1,209,413,324 $1,254,648,912 $1,014,819,331 $878,711,791
Other Operating Expenses $-79,810,748 $9,952,531 $30,037,685 $16,325,891
Selling And Marketing Expense $31,128,435 $30,734,676 $26,139,395 $24,543,643
General And Administrative Expense $52,712,053 $67,201,742 $54,736,467 $54,691,743
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $572,595,101 $719,494,376 $1,076,843,341 $514,466,781
Net Interest Income $-26,195,324 $-12,700,186 $9,522,751 $3,529,305
Interest Income $16,796,059 $15,544,505 $14,813,115 $8,431,206
Normalized Income $728,724,841 $861,511,871 $1,228,311,230 $574,868,042
Net Income From Continuing And Discontinued Operation $572,595,101 $719,494,376 $1,076,843,341 $514,466,781
Total Operating Income As Reported $558,939,419 $751,417,054 $1,121,399,582 $573,360,977
Net Income Common Stockholders $572,595,101 $719,494,376 $1,076,843,341 $514,466,781
Net Income $572,595,101 $719,494,376 $1,076,843,341 $514,466,781
Net Income Including Noncontrolling Interests $559,758,915 $748,858,747 $1,117,264,764 $559,324,710
Net Income Continuous Operations $559,758,915 $748,858,747 $1,117,264,764 $559,324,710
Pretax Income $558,893,538 $751,850,855 $1,121,510,687 $573,449,519
Special Income Charges $-212,327,414 $-145,913,407 $-160,364,705 $-65,687,665
Interest Income Non Operating $16,796,059 $15,544,505 $14,813,115 $8,431,206
Operating Income $799,209,565 $909,942,535 $1,273,818,328 $639,627,014
Depreciation And Amortization In Income Statement $25,920,066 $19,352,671 $17,018,568 $11,203,888
Depreciation Income Statement $25,920,066 $19,352,671 $17,018,568 $11,203,888
Gross Profit $2,008,622,888 $2,164,591,447 $2,288,637,660 $1,518,338,804
Per Share
Diluted EPS $21.00 $26.10 $39.30 $20.70
Basic EPS $21.00 $26.40 $39.60 $20.70
Other
Tax Effect Of Unusual Items $-52,043,247 $-567,439 $-575,621 $-1,525,333
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $835,698,807 $941,774,431 $1,456,550,447 $853,095,242
Total Unusual Items $-208,172,986 $-142,584,934 $-152,043,510 $-61,926,594
Total Unusual Items Excluding Goodwill $-208,172,986 $-142,584,934 $-152,043,510 $-61,926,594
Reconciled Depreciation $25,920,066 $19,352,671 $178,641,551 $213,191,606
EBITDA (Bullshit earnings) $627,525,820 $799,189,497 $1,304,506,937 $791,168,648
EBIT $601,605,754 $779,836,826 $1,125,865,387 $577,977,042
Diluted Average Shares $27,420,611 $27,427,271 $27,378,929 $24,855,947
Basic Average Shares $27,306,756 $27,224,518 $27,156,051 $24,848,697
Diluted NI Availto Com Stockholders $572,595,101 $719,494,376 $1,076,843,341 $514,466,781
Otherunder Preferred Stock Dividend $0 $0 $0 $0
Minority Interests $12,836,186 $-29,364,372 $-40,421,424 $-44,857,929
Tax Provision $-865,378 $2,992,107 $4,245,923 $14,124,810
Other Special Charges $-2,116,900 $-1,236,607 $-1,329,678 $-503,846
Write Off $214,266,938 $134,162,670 $159,196,901 $66,191,510
Impairment Of Capital Assets $177,376 $12,987,344 $2,497,482 -
Research And Development $1,030,651,522 $1,010,597,572 $735,419,693 $691,637,283
Selling General And Administration $83,840,487 $97,936,418 $80,875,861 $79,235,386
Rent And Landing Fees $6,730,926 $3,495,302 $1,269,095 $1,148,366
Fetched: 2026-02-02
Balance Sheet (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Assets
Net Tangible Assets $5,194,317,654 $4,703,590,719 $4,128,958,021 $2,892,684,406
Total Assets $9,041,112,799 $8,411,350,886 $6,110,888,054 $4,165,014,183
Total Non Current Assets $2,560,134,207 $2,474,067,216 $1,783,787,110 $1,123,351,407
Non Current Prepaid Assets $105,951,177 $138,697,181 $68,609,188 $57,378,801
Non Current Deferred Taxes Assets $12,150,568 $4,129,192 $3,243,845 $7,484,219
Investmentin Financial Assets $34,816,061 $35,465,034 $33,902,315 $32,987,123
Goodwill And Other Intangible Assets $699,767,389 $599,385,459 $402,272,331 $247,561,300
Other Intangible Assets $699,767,389 $599,385,459 $402,272,331 $247,561,300
Current Assets $6,480,978,593 $5,937,283,671 $4,327,100,944 $3,041,662,776
Other Current Assets $4,964,378 $4,824,919 $4,219,357 $1,694,878
Prepaid Assets $140,028,550 $147,947,927 $498,705,562 $84,362,851
Inventory $3,134,456,904 $3,177,370,637 $1,483,264,548 $916,083,065
Other Receivables $448,424,454 $553,560,986 $336,761,371 $390,837,316
Taxes Receivable $31,380,190 $90,408,645 $2,949,530 $4,386,194
Accounts Receivable $1,493,805,646 $929,619,310 $730,204,277 $451,703,131
Allowance For Doubtful Accounts Receivable $-67,383,714 $-23,813,667 $-16,463,402 $-17,309,127
Gross Accounts Receivable $1,561,189,360 $953,432,976 $746,667,679 $469,012,257
Cash Cash Equivalents And Short Term Investments $1,227,918,471 $1,033,551,247 $1,270,996,298 $1,192,595,342
Cash And Cash Equivalents $1,087,494,485 $1,003,337,497 $1,190,828,340 $801,647,230
Cash Equivalents $0 $300,000 $0 $1,006
Cash Financial $1,087,494,485 $1,003,037,497 $1,190,828,340 $801,646,224
Other Non Current Assets - - $182,817,172 $31,922,847
Debt
Net Debt $578,018,699 $475,826,313 - -
Total Debt $1,688,520,918 $1,517,974,754 $102,344,090 $101,686,461
Long Term Debt And Capital Lease Obligation $248,445,719 $551,774,438 $33,162,706 $56,753,525
Long Term Debt $239,863,540 $530,063,719 $0 $18,200,000
Current Debt And Capital Lease Obligation $1,440,075,199 $966,200,316 $69,181,385 $44,932,936
Current Debt $1,425,649,645 $949,100,091 $54,000,000 $31,755,541
Liabilities
Total Liabilities Net Minority Interest $2,496,991,876 $2,449,649,077 $957,718,676 $798,111,637
Total Non Current Liabilities Net Minority Interest $272,600,686 $570,327,944 $53,842,344 $84,963,109
Non Current Deferred Taxes Liabilities $3,638,465 $3,870,791 $4,131,497 $3,994,006
Current Liabilities $2,224,391,190 $1,879,321,133 $903,876,333 $713,148,527
Other Current Liabilities $30,088,572 $29,093,136 $162,880,784 $15,970,502
Payables $526,990,117 $689,977,001 $502,942,542 $409,169,704
Other Payable $241,002,628 $433,348,978 $264,675,726 $193,175,690
Total Tax Payable $51,365,977 $20,871,135 $37,084,336 $15,731,096
Accounts Payable $234,621,513 $235,756,888 $201,182,480 $200,262,919
Dividends Payable - - $0 -
Equity
Common Stock Equity $5,894,085,044 $5,302,976,178 $4,531,230,352 $3,140,245,706
Total Equity Gross Minority Interest $6,544,120,923 $5,961,701,809 $5,153,169,378 $3,366,902,546
Stockholders Equity $5,894,085,044 $5,302,976,178 $4,531,230,352 $3,140,245,706
Retained Earnings $3,871,837,649 $3,381,266,932 $2,772,141,379 $1,748,348,394
Long Term Equity Investment $54,181,166 $42,519,688 $42,508,903 $75,508,770
Investments In Other Ventures Under Equity Method $54,181,166 $42,519,688 $42,508,903 $75,508,770
Other
Ordinary Shares Number $821,427,300 $819,060,400 $816,656,500 $814,502,000
Share Issued $821,427,300 $819,060,400 $816,656,500 $814,502,000
Tangible Book Value $5,194,317,654 $4,703,590,719 $4,128,958,021 $2,892,684,406
Invested Capital $7,559,598,228 $6,782,139,988 $4,585,230,352 $3,190,201,247
Working Capital $4,256,587,402 $4,057,962,538 $3,423,224,612 $2,328,514,249
Capital Lease Obligations $23,007,733 $38,810,944 $48,344,090 $51,730,920
Total Capitalization $6,133,948,583 $5,833,039,897 $4,531,230,352 $3,158,445,706
Minority Interest $650,035,879 $658,725,632 $621,939,026 $226,656,840
Additional Paid In Capital $1,882,822,117 $1,782,726,457 $1,622,905,979 $1,259,212,930
Capital Stock $82,142,730 $81,906,040 $81,665,650 $81,450,200
Common Stock $82,142,730 $81,906,040 $81,665,650 $81,450,200
Non Current Deferred Revenue $20,516,502 $14,682,715 $16,548,141 $24,215,578
Long Term Capital Lease Obligation $8,582,180 $21,710,718 $33,162,706 $38,553,525
Current Capital Lease Obligation $14,425,553 $17,100,226 $15,181,385 $13,177,395
Available For Sale Securities $34,816,061 $35,465,034 $33,902,315 $32,987,123
Net PPE $1,653,267,845 $1,653,870,661 $1,110,562,619 $702,431,194
Accumulated Depreciation $-1,034,205,738 $-833,227,062 $-675,689,238 $-566,549,754
Gross PPE $2,687,473,583 $2,487,097,723 $1,786,251,856 $1,268,980,949
Construction In Progress $64,181,904 $504,556,925 $374,228,933 $86,612,266
Other Properties $292,726,708 $196,498,185 $61,523,403 $52,607,575
Machinery Furniture Equipment $1,299,438,550 $1,149,660,317 $845,907,677 $693,458,363
Buildings And Improvements $1,031,126,421 $636,382,296 $504,591,844 $436,302,745
Properties $0 $0 $0 $0
Other Inventories $7,201,372 $7,566,922 - -
Finished Goods $1,001,417,641 $920,229,819 $522,486,575 $285,783,992
Work In Process $1,032,035,134 $1,040,476,207 $832,093,997 $471,645,731
Raw Materials $1,093,802,757 $1,209,097,688 $336,443,161 $158,653,342
Other Short Term Investments $140,423,986 $30,213,750 $80,167,959 $390,948,112
Investment Properties - $0 $122,687,910 -
Inventories Adjustments Allowances - $-286,674,627 $-207,759,185 -
Other Investments - - $122,687,910 -
Fetched: 2026-02-02
Cash Flow Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Free Cash Flow
Free Cash Flow $99,512,982 $-1,559,099,878 $-461,241,283 $37,707,974
Operating Activities
Cash Flowsfromusedin Operating Activities Direct $732,465,563 $-708,166,614 - -
Other Cash Paymentsfrom Operating Activities $-165,694,565 $-221,952,429 - -
Classesof Cash Receiptsfrom Operating Activities $3,419,443,933 $3,564,121,152 - -
Other Cash Receiptsfrom Operating Activities $190,977,520 $194,802,806 - -
Operating Cash Flow - $-708,166,614 $321,285,470 $602,204,878
Investing Activities
Capital Expenditure $-632,952,582 $-850,933,264 $-782,526,754 $-564,496,904
Investing Cash Flow $-754,003,893 $-731,596,775 $-132,514,506 $-1,182,797,302
Net Other Investing Changes $366,343 $3,686,505 $7,769,637 $2,225,151
Financing Activities
Financing Cash Flow $88,631,354 $1,310,270,705 $504,586,862 $718,805,717
Net Other Financing Charges $34,904,750 $23,931,532 $554,820,748 $671,096,747
Cash Dividends Paid $-131,960,266 $-136,932,887 $-55,133,886 $-2,191,030
Other
Repayment Of Debt $-1,548,223,810 $-253,268,239 $-73,669,230 $-117,350,104
Issuance Of Debt $1,734,573,185 $1,679,287,590 $78,569,230 $167,250,104
End Cash Position $1,063,300,787 $992,924,997 $1,120,286,946 $415,755,307
Beginning Cash Position $992,924,997 $1,120,286,946 $415,755,307 $279,369,367
Effect Of Exchange Rate Changes $3,282,766 $2,130,735 $11,173,813 $-1,827,354
Changes In Cash $67,093,024 $-129,492,684 $693,357,826 $138,213,293
Net Issuance Payments Of Debt $186,349,375 $1,426,019,351 $4,900,000 $49,900,000
Net Long Term Debt Issuance $186,349,375 $1,426,019,351 $4,900,000 $49,900,000
Long Term Debt Payments $-1,548,223,810 $-253,268,239 $-73,669,230 $-117,350,104
Long Term Debt Issuance $1,734,573,185 $1,679,287,590 $78,569,230 $167,250,104
Net Investment Purchase And Sale $-120,127,840 $113,282,682 $639,714,518 $-621,186,422
Sale Of Investment $1,203,944,192 $790,282,682 $1,152,714,518 $516,812,959
Purchase Of Investment $-1,324,072,032 $-677,000,000 $-513,000,000 $-1,137,999,381
Net Business Purchase And Sale $-15,000,000 $0 - -
Purchase Of Business $-15,000,000 $0 - -
Net PPE Purchase And Sale $-619,242,396 $-848,565,963 $-779,998,662 $-563,836,031
Sale Of PPE $13,710,186 $2,367,301 $2,528,092 $660,873
Purchase Of PPE $-632,952,582 $-850,933,264 $-782,526,754 $-564,496,904
Taxes Refund Paid Direct $17,947,266 $-60,640,306 - -
Classesof Cash Payments $-2,704,925,636 $-4,211,647,459 - -
Paymentson Behalfof Employees $-1,005,339,887 $-842,789,139 - -
Paymentsto Suppliersfor Goodsand Services $-1,533,891,184 $-3,146,905,891 - -
Receiptsfrom Customers $3,228,466,413 $3,369,318,346 - -
Change In Working Capital - $-1,989,182,421 $-1,265,500,077 $-264,486,764
Change In Other Current Assets - $-1,146,053 $4,240,587 $1,570,093
Change In Payable - $65,799,930 $147,648,701 $253,872,375
Change In Inventory - $-1,814,641,269 $-681,591,826 $-347,151,724
Change In Receivables - $-239,195,029 $-735,797,538 $-172,777,509
Other Non Cash Items - $39,237,008 $2,276,996 $12,666,075
Depreciation And Amortization - $243,217,346 $178,641,551 $213,191,606
Amortization Cash Flow - $92,338,986 $51,661,618 $102,646,985
Depreciation - $150,878,359 $126,979,933 $110,544,621
Pension And Employee Benefit Expense - $106,878,730 $128,429,651 $14,071,481
Gain Loss On Investment Securities - $-3,089,430 $-192,120 $1,765,465
Gain Loss On Sale Of PPE - $-1,236,607 $-1,329,678 $-519,205
Net Income From Continuing Operations - $748,858,747 $1,117,264,764 $559,324,710
Fetched: 2026-02-02