GF Securities
000776.SZ
#993
Rank
โ‚ฌ19.64 B
Marketcap
2,58ย โ‚ฌ
Share price
1.62%
Change (1 day)
21.22%
Change (1 year)

Operating Margin for GF Securities (000776.SZ)

Operating Margin as of December 2025 (TTM): 50.76%

According to GF Securities's latest financial reports and stock price the company's current Operating Margin is 50.76%. At the end of 2024 the company had an Operating Margin of 44.88%.

Operating Margin history for GF Securities from 2002 to 2025

Operating Margin at the end of each year

Year Operating Margin Change
202444.88%15.88%
202338.73%-9.78%
202242.93%-5.94%
202145.64%-5.64%
202048.37%5.26%
201945.95%13.07%
201840.64%-26.06%
201754.97%4.28%
201652.71%-1.85%
201553.70%5.47%
201450.92%14.42%
201344.50%9.32%
201240.70%-12.21%
201146.36%-20.98%
201058.68%-8.28%
200963.97%155.98%
200824.99%29.88%
200719.24%15.41%
200616.67%-27.88%
200523.12%-31.34%
200433.67%-173.37%
2003-45.89%-75.78%
2002-189.47%-916.43%
200123.21%

What is a company's Operating Margin?

The operating margin is a key indicator to assess the profitability of a company. Higher operating margins are generaly better as they show that a company is able to sell its products or services for much more than their production costs. The operating margin is calculated by dividing a company's earnings by its revenue.