Fengzhushou Co Ltd Financial Update

Fengzhushou Co Ltd, a company listed on the Shenzhen Stock Exchange, has been in the spotlight recently due to several financial developments. As of August 19, 2025, the company’s close price was 37.12 CNY, with a market capitalization of 10,611,138,336 CNY. The company’s 52-week high was 52.0385 CNY on March 6, 2025, and its 52-week low was 13.2077 CNY on August 27, 2024. The price-to-earnings ratio stood at 77.44354.

Recent Financial Activities

On August 20, 2025, Fengzhushou Co Ltd received significant funding through margin purchases amounting to 8,849.85 million CNY. This figure represented 35.55% of the total purchase amount for the day. As a result, the company’s margin balance increased to 5.72 billion CNY, accounting for 8.71% of its circulating market value. This margin balance exceeded the historical 90th percentile level.

Margin and Stock Loan Details

The margin balance on August 20, 2025, was 5.72 billion CNY, marking a 0.21% increase from the previous day. The margin balance surpassed the historical 70th percentile level. In terms of stock loans, there were no stock sales or repayments on the same day, with the stock loan balance remaining at 3,712, which is below the historical 30th percentile level.

Stock Incentive Plans

Fengzhushou Co Ltd has also been active in structuring its stock incentive plans. On August 21, 2025, the company released several documents related to its 2025 restricted stock incentive plan. These documents include:

  • A draft of the 2025 restricted stock incentive plan.
  • A list of incentive plan participants.
  • A self-examination form for the incentive plan.
  • A special report on the use of funds raised during the first half of 2025.

These documents are available for review on the company’s official website.

Conclusion

Fengzhushou Co Ltd continues to make strategic financial moves, including significant margin purchases and the development of stock incentive plans. These activities reflect the company’s efforts to enhance shareholder value and maintain a strong financial position in the market.