Company detail
Company detail
ONH 1,200.00 0.00%|APU 0.00 0.00%|TNG 673.00 14.90%|AAR 75.00 0.80%|MFG 3.89 0.39%|ERD 19.69 2.27%|MND 0.20 0.20%|TUM 7.22 1.93%|ADB -4.25 -1.98%|GOV 2.71 0.83%|MFC 0.03 0.04%|AIC -6.00 -0.44%|XOC 0.02 0.01%|MNP -32.00 -2.67%|BUN 1,000.00 0.63%|SUU 1.62 0.40%|TTL 25.00 0.31%|BNG 3,020.00 9.91%|LEN 0.52 1.21%|ITL 1.18 1.19%|INV 0.00 0.00%|BEU -21.00 -2.06%|NEH -0.07 -0.30%|BOD -0.04 -0.03%|MBW 0.91 0.46%|SUL 2,900.00 3.81%|AMT -2.03 -2.90%|HGN -1.61 -2.14%|UID 16.00 0.43%|JTB 1.67 2.64%|RMC 0.90 3.75%|HRM 1.00 0.79%|MRX 0.99 4.30%|MIK -850.00 -5.72%|SIL 0.00 0.00%|SHV -261.00 -13.10%|TCK -700.00 -3.08%|MMX 0.00 0.00%|ADL 0.00 0.00%|CHR 53.00 14.06%|ETT 0.00 0.00%|OLL 0.00 0.00%|

    (ETR)

    Close 110.77 -2.23 (-1.97% ) 2021-10-11

    Name:
    Symbol: ETR
    Company code: 537
    Sector:
    Address: Дорноговь аймаг, Замын-Үүд сум, 1-р баг
    Phone: 99117636
    Fax:
    Email: amaraach@yahoo.com
    Web:
    No information found
    Previous Price 113
    Opening 113
    Closing 110.77
    VWAP 111
    High Price 113
    Low Price 110
    52WK 135.21 / 88
    Outstanding shares 46,200,000
    n/a
    n/a
    Market Cap 5,117,574,000
    BID Volume 4,000
    BID Price 110
    Ask Price 118
    Ask Volume 494

    Report 2015 / 3
    Financials MillionMNT
    Cash and cash equivalents 273,463.7
    Total Current Assets 360,047.9
    Fixed Assets 5,309,596.8
    Total non-current assets 6,140,068.4
    Total Assets 6,500,116.3
    Short-term debt 431,314.3
    Long-term debt 0.0
    Total Debt 431,314.3
    Shareholders' Equity 6,068,802.0
    Current Ratio 0.83
    Debt Ratio 0.07
    Debt to Equity 0.07
    Price to Book 0.85
    Income statement
    Sales revenue 8,284,382.7
    Cost of sales 8,028,563.2
    Operational profit 255,819.5
    General and Administrative expense 75,795.2
    Net Profit after tax 193,698.4
    Dividend per share (MNT) 0
    Dividend payout ratio 0%
    Gross Profit Margin 3%
    Net Profit Margin 2%
    Return on Assets 3%
    Return on Equity 3%
    Price to Earnings 28.6
    Cash flow statement
    Net cash flows from operating activities 403,411.0
    Net cash flows used in investing activities 5,412.8
    Net cash flow from financing activities -156,571.8
    Net cash flow 252,252.0
    Cash and cash equivalents at 1 January 21,211.7
    Cash and cash equivalents at 31 December 273,463.7
    # Price Trade
    High Low Open Close Volume Value Date
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