招商局中国基金
港股通 官网
( 00133.hk)
市盈率212.42市净率0.47市销率52.23股息率6.47%上市时间1993-07-22股价14.50港币 (-1.76% , 376.44万港币) 市值22.09亿港币总股本1.52亿上市至今年化投资收益率6.49%
所属三级行业投资及资产管理 (恒生) 市盈率26.87市净率0.79市销率3.08股息率2.95%
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招商局中国基金(00133) - 历史市净率及分位点走势图

最后更新于:2024-11-22

市净率

  • 当前值:0.470
  • 当前分位点93.13%
  • 80%分位点0.342
  • 50%分位点0.261
  • 20%分位点0.227
  • 最大值:0.517
  • 平均值:0.294
  • 最小值:0.203
日期股价市净率分位点20%分位点50%分位点80%分位点
2024-11-2214.50港币0.47093.13%0.2270.2610.342
2024-11-2114.76港币0.47894.53%0.2270.2610.332
2024-11-2014.60港币0.47393.82%0.2260.2610.332
2024-11-1914.18港币0.45990.01%0.2260.2600.325
2024-11-1813.96港币0.45288.47%0.2260.2600.324
2024-11-1513.86港币0.44988.22%0.2260.2600.323
2024-11-1413.82港币0.44887.94%0.2260.2600.322
2024-11-1313.98港币0.45388.62%0.2260.2600.322
2024-11-1213.90港币0.45088.47%0.2260.2600.322
2024-11-1114.00港币0.45388.75%0.2260.2600.322
2024-11-0814.34港币0.46492.01%0.2260.2590.321
2024-11-0714.30港币0.46391.58%0.2250.2590.321
2024-11-0614.28港币0.46391.01%0.2250.2590.321
2024-11-0514.46港币0.46892.97%0.2250.2590.320
2024-11-0414.44港币0.46892.83%0.2250.2590.320
2024-11-0114.48港币0.46993.27%0.2250.2590.319
2024-10-3114.48港币0.46993.41%0.2250.2590.318
2024-10-3014.54港币0.47193.68%0.2250.2590.318
2024-10-2914.90港币0.48396.06%0.2250.2590.318
2024-10-2814.84港币0.48195.36%0.2250.2590.318
2024-10-2514.86港币0.48195.51%0.2250.2590.318
2024-10-2414.78港币0.47995.08%0.2250.2580.317
2024-10-2314.72港币0.47795.07%0.2250.2580.317
2024-10-2214.86港币0.48195.63%0.2250.2580.317