Atlasresearch

Workspace

WorkspacePokedexHPC MapPortfolioCalendarTaiwan RevenueMemory
Calculators
  • 01AI Factory
  • 02CPO Stack
  • 03HBM Bridge
  • 04GPU Cloud TCO
  • 05Inference Tokens
  • 06Power Bottleneck
  • 07Custom ASIC
  • 08OCS TAM
  • 09N3 Allocation
  • 10Optical TAM
Agent APISubscribe
Sign in
Pokedex
Atlasresearch

Workspace

WorkspacePokedexHPC MapPortfolioCalendarTaiwan RevenueMemory
Calculators
  • 01AI Factory
  • 02CPO Stack
  • 03HBM Bridge
  • 04GPU Cloud TCO
  • 05Inference Tokens
  • 06Power Bottleneck
  • 07Custom ASIC
  • 08OCS TAM
  • 09N3 Allocation
  • 10Optical TAM
Agent APISubscribe
Sign in
Pokedex/Materials/688268.SS
Search/
Search/
Company exports

Pro company pages include CSV downloads for statements, ratios, chart data, and transcript indexes.

CSV downloads
Materials·688268.SS
Guangdong Huate Gas Co., Ltd logo

Guangdong Huate Gas Co., Ltd

SHH · CN

Specialty gas supplier serving semiconductor and electronics customers.

AI relevance

Electronic specialty gases are recurring fab process inputs.

MaterialsChemicals

Price

$188.36

Change

+1.01 (+0.54%)

Market cap

$24.1B

52w range

$47–$229

Exchange

SHH

Country

CN

Sign in to add to watch list

Jason's Chips

Subscribe or sign in with your Substack email for charts, exports, estimates, transcripts, filings, earnings, and news.

Subscribe to Jason's ChipsSign in
Price chart

688268.SS market performance

Daily close for Guangdong Huate Gas Co., Ltd

$32.91$85.51$138.1$190.7$243.3Jun 25Sep 25Dec 25Mar 26Jun 26
Latest close
$188.4
Range move
+$140.5 (+293.8%)
Range high
$228.8
Range low
$47.42
Latest volume
11.4M
Source
FMP EOD
Downloads

Exports

Download statements, ratios, chart data, and transcript indexes.

CSV

Income statement

11 annual rows

Revenue, gross profit, R&D, operating income, EBITDA, net income, and EPS.

Annual

Balance sheet

11 annual rows

Cash, receivables, inventory, PP&E, assets, debt, liabilities, and equity.

Annual

Cash flow

11 annual rows

Operating cash flow, capital expenditures, and free cash flow.

Annual

Key metrics

11 annual rows

Enterprise value, valuation multiples, returns, yields, and cash conversion.

Annual

Ratios

11 annual rows

Margins, liquidity ratios, valuation ratios, leverage, and per-share metrics.

Annual

Chart data

1211 rows

Five years of daily close and volume data powering the company chart.

Download

Transcript list

0 rows

Available earnings-call transcript dates by fiscal year and quarter.

Download
Street

Analyst expectations

Consensus target
--
--
Target range
-- - --
Rating mix
--
--
Next FY revenue
$1.75B
2026-12-31
Next FY EPS
$2.00
$1.69 - $2.38
Annual estimates
PeriodRevenue avgRevenue rangeEPS avgEPS rangeEBITDA avgEBIT avgNet income avgSG&A avgAnalysts
2026-12-31$1.75B$1.72B - $1.77B$2.00$1.69 - $2.38$342.5M$250.7M$243.1M$172.2M3 rev / 4 EPS
2027-12-31$2.05B$1.89B - $2.29B$2.58$2.21 - $3.12$402.3M$294.4M$317.7M$202.3M4 rev / 4 EPS
2028-12-31$2.43B$2.32B - $2.55B$3.09$2.52 - $3.64$477.0M$349.1M$394.1M$239.9M3 rev / 3 EPS
Quarterly estimates
PeriodRevenue avgRevenue rangeEPS avgEPS rangeEBITDA avgEBIT avgNet income avgSG&A avgAnalysts
2026-06-30$435.5M$435.5M - $435.5M$0.45$0.45 - $0.45$85.4M$62.5M$53.6M$43.0M1 rev / 1 EPS
2026-09-30$432.7M$432.7M - $432.7M$0.41$0.41 - $0.41$84.9M$62.1M$49.3M$42.7M1 rev / 1 EPS
2026-12-31$522.9M$522.9M - $522.9M$0.54$0.54 - $0.54$102.6M$75.1M$64.8M$51.6M1 rev / 1 EPS
Price target history

No price target summary on file.

Latest grade actions

No grade actions on file.

Historical rating snapshots
DateStrong buyBuyHoldSellStrong sell
2024-11-0100000
2024-10-0100000
2024-09-0100000
2024-08-0100000
2024-07-0100000
2024-06-0100000
2024-05-0100000
2024-04-0100000
FinancialsFY 2025

Financials

Revenue
$1.42B
Gross margin
11.4%
Operating income
$175.5M
Free cash flow
$20.3M
Cash + ST investments
$835.0M
Net debt
$289.1M
ROE
7.3%
ROIC
4.5%
EV / sales
5.1x
EV / EBITDA
24.1x
R&D / revenue
2.9%
Current ratio
3.1x
Income statement annual
PeriodRevenueGross profitGross marginR&DOperating incomeEBITDANet incomeEPS
FY 2025$1.42B$162.2M11.4%$41.6M$175.5M$297.5M$135.4M$1.13
FY 2024$1.40B$444.4M31.9%$48.9M$221.7M$334.5M$184.8M$1.54
FY 2023$1.50B$447.0M29.8%$50.4M$206.0M$312.9M$171.1M$1.43
FY 2022$1.80B$477.9M26.5%$60.1M$243.8M$315.9M$206.6M$1.72
FY 2021$1.35B$324.9M24.1%$47.2M$144.3M$198.9M$129.3M$1.08
FY 2020$999.6M$259.2M25.9%$30.4M$117.2M$159.7M$106.5M$0.89
FY 2019$844.0M$298.1M35.3%$25.4M$84.0M$121.1M$72.6M$0.81
FY 2018$817.5M$268.8M32.9%$21.6M$82.1M$112.0M$67.8M$0.75
FY 2017$786.8M$261.3M33.2%$19.1M$58.0M$93.0M$48.5M$0.54
FY 2016$657.3M$215.0M32.7%$16.2M$39.9M$81.7M$38.4M$0.43
FY 2015$687.1M$228.2M33.2%$0$60.3M$89.1M$50.9M$0.57
Cash flow annual
PeriodOperating cash flowCapexFree cash flow
FY 2025$261.0M$240.8M$20.3M
FY 2024$293.8M$264.0M$29.8M
FY 2023$170.0M$235.5M-$65.5M
FY 2022$322.3M$230.3M$92.0M
FY 2021$15.2M$213.2M-$198.0M
FY 2020$107.6M$91.6M$16.1M
FY 2019$74.1M$42.9M$31.2M
FY 2018$41.7M$36.4M$5.3M
FY 2017$91.8M$46.2M$45.7M
FY 2016$74.2M$70.5M$3.7M
FY 2015$65.3M$64.5M$807,287
Balance sheet annual
PeriodCash + ST inv.ReceivablesInventoryPP&EAssetsDebtNet debtLiabilitiesEquity
FY 2025$835.0M$451.6M$206.1M$1.31B$3.58B$964.9M$289.1M$1.52B$1.85B
FY 2024$842.4M$449.5M$181.9M$1.15B$3.30B$766.8M$54.9M$1.30B$1.95B
FY 2023$939.1M$420.3M$191.8M$951.3M$3.16B$877.6M$5.9M$1.29B$1.82B
FY 2022$498.5M$401.4M$249.0M$781.9M$2.39B$360.1M-$119.2M$809.1M$1.54B
FY 2021$368.7M$331.7M$234.6M$469.3M$1.77B$137.9M-$171.7M$379.1M$1.38B
FY 2020$617.0M$269.8M$147.3M$257.9M$1.48B$9.8M-$524.0M$209.5M$1.27B
FY 2019$691.8M$256.1M$116.7M$242.4M$1.42B$10.0M-$681.8M$225.1M$1.20B
FY 2018$96.2M$272.1M$94.3M$227.2M$752.0M$25.8M-$70.4M$198.5M$553.5M
FY 2017$63.4M$219.6M$87.6M$224.2M$708.9M$16.9M-$46.5M$206.8M$502.1M
FY 2016$64.1M$227.7M$73.6M$239.8M$668.0M$39.3M-$24.9M$199.7M$468.2M
FY 2015$55.5M$163.6M$76.7M$209.9M$572.1M$35.2M-$20.3M$137.3M$427.1M
Annual ratios and key metrics
PeriodGross marginOp marginNet marginCurrentQuickROEROICEV / salesEV / EBITDAFCF yieldR&D / rev.Cash cycle
FY 202511.4%12.4%9.5%3.1x2.7x7.3%4.5%5.1x24.1x0.3%2.9%135d
FY 202431.9%15.9%13.2%3.4x3.0x9.5%6.3%4.0x16.6x0.5%3.5%152d
FY 202329.8%13.7%11.4%4.0x3.6x9.4%6.2%5.4x25.8x-0.8%3.4%136d
FY 202226.5%13.5%11.5%2.6x2.0x13.4%10.6%4.9x27.9x1.0%3.3%103d
FY 202124.1%10.7%9.6%3.7x2.8x9.4%8.2%7.9x53.4x-1.8%3.5%141d
FY 202025.9%11.7%10.7%5.4x4.7x8.4%7.8%6.8x42.7x0.2%3.0%133d
FY 201935.3%10.0%8.6%5.2x4.6x6.1%5.9%3.8x26.8x0.8%3.0%136d
FY 201832.9%10.0%8.3%2.5x2.0x12.3%11.8%5.7x41.4x0.1%2.6%130d
FY 201733.2%7.4%6.2%2.2x1.8x9.7%9.4%5.9x49.7x1.0%2.4%101d
FY 201632.7%6.1%5.8%2.0x1.6x8.2%6.1%7.0x56.5x0.1%2.5%119d
FY 201533.2%8.8%7.4%2.4x1.8x11.9%10.4%6.7x51.9x0.0%0.0%96d
Annual growth
PeriodRevenueGross profitR&DOp incomeNet incomeEPSFCFCapexCash + ST inv.InventoryAssetsDebt
FY 2025+1.7%-63.5%-15.0%-20.8%-26.7%-26.6%-32.0%+8.8%-0.9%+13.3%+8.5%+25.8%
FY 2024-7.0%-0.6%-3.0%+7.6%+8.0%+7.7%+145.5%-12.1%-10.3%-5.2%+4.4%-12.6%
FY 2023-16.8%-6.5%-16.1%-15.5%-17.2%-16.9%-171.2%-2.3%+88.4%-23.0%+32.1%+143.7%
FY 2022+33.8%+47.1%+27.4%+69.0%+59.8%+59.3%+146.5%-8.0%+35.2%+6.2%+35.7%+161.2%
FY 2021+34.8%+25.4%+55.4%+23.2%+21.5%+21.3%-1330.3%-132.9%-40.2%+59.2%+19.0%+1305.3%
FY 2020+18.4%-13.1%+19.3%+39.4%+46.7%+9.9%-48.5%-113.4%-10.8%+26.3%+4.4%-2.0%
FY 2019+3.2%+10.9%+17.7%+2.4%+7.0%+8.0%+491.0%-17.8%+619.1%+23.8%+88.9%-61.2%
FY 2018+3.9%+2.9%+13.3%+41.5%+39.9%+38.9%-88.4%+21.1%+51.8%+7.6%+6.1%+52.7%
FY 2017+19.7%+21.5%+17.8%+45.4%+26.4%+25.6%+1120.5%+34.5%-1.2%+19.0%+6.1%-57.0%
FY 2016-4.3%-5.7%0.0%-33.8%-24.6%-24.6%+363.5%-9.3%+15.6%-4.0%+16.8%+11.6%
FY 20150.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%0.0%
Segments

Revenue Mix

Revenue segmentation data unavailable.

Transcripts

Transcripts

No transcripts on file.

Events

Events

Next earnings

2026-09-02EPS est $0.45

Atlas/DCF Model LLC/
PrivacyTermsjasonschips.ai