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Overview for QINGDAO HAIER

All Data per May 25, 2023

Industry:

Consumer Electronics

Last Close:

22.16 CNY

Expected Dividend:

2.08 %

Payoffs per Year:

1
Business Summary

Haier Smart Home Co., Ltd. manufactures and distributes home appliances in Mainland China, the United States, Australia, Southeast Asia, Europe, the Middle East, Africa, Japan, and internationally. It provides refrigerators, freezers, washing machines, dryers, household and commercial air-conditioners, purifiers, fresh air systems, electric water heaters, gas water heaters, solar water heaters, heat pump water heaters, vacuum cleaners, POE water purifiers, POU water purifiers, water softening equipment, dishwashers, ovens, gas stoves, and other kitchen appliances. The company also offers communication equipment; computers and accessories; and cooking products, dryers, disinfection cabinets, and smart home appliances. Additionally, it engages in residential interior decoration, professional construction operation, special equipment installation, and upgrading and repair businesses. The company was formerly known as Qingdao Haier Co., Ltd. and changed its name to Haier Smart Home Co., Ltd. in June 2019. Haier Smart Home Co., Ltd. was founded in 1984 and is based in Qingdao, China.


Competitors View

Ordering

KYOCERA

JPN
1.0 2.0%
2.78%
14.48% 3.55% 1.0 0.66
-25.29%
25.58 8.16% 74.89 1.0

QINGDAO HAIER

CHN
0.94 2.02%
2.08%
13.03% 3.35% 1.0 2.23
-26.49%
15.22 5.2% 40.16 2.0

APPLE

USA
1.09 1.73%
0.54%
10.31% 2.52% 1.0 6.86
-26.83%
16.32 10.16% 14.36 3.0

SONY

JPN
1.09 0.53%
0.6%
16.67% 1.04% 1.0 5.47
-30.67%
4.82 0.4% 23.61 4.0

PANASONIC

JPN
1.08 2.13%
2.08%
0.0% 1.95% 0.5 0.42
-39.95%
0.02 -1.61% 41.72 5.0

ALPS ELECTRIC

JPN
0.99 1.49%
4.82%
8.73% 2.02% 1.0 0.21
-67.27%
11.48 -29.79% 57.2 6.0

CASIO COMPUTER

JPN
0.97 2.24%
3.83%
5.73% 2.65% -0.5 0.05
-58.73%
37.13 -19.74% 64.9 7.0


Information for QINGDAO HAIER

Yield Triangle

Dividend & Close

Dividend Close Div.-Yield
Year
2023 0.46 22.16 2.08
2022 0.46 24.46 1.89
2021 0.37 29.89 1.22
2020 0.38 29.21 1.28
2019 0.35 19.50 1.80
2018 0.34 13.85 2.47
2017 0.25 18.84 1.32
2016 0.21 9.88 2.15
2015 0.25 9.92 2.48
2014 0.23 9.28 2.48
2013 0.18 9.75 1.90

Fundamentals

Chart