换肤

财务诊断

报告期:2016年三季报

行业垫底

排名   141/158

相对同行业主营获利能力有较大削弱,但需要加快总资产...[查看详情]

  • 行业排名 15/1581.本期毛利率45.49%,去年同期为51.29%,主营获利能力有较大削弱
  • 行业排名 101/1582.本期净利率4.39%,去年同期为7.32%,企业经营效益大幅下降
  • 行业排名 131/1583.本期总资产净利率0.40%,去年同期为0.78%,总资产收益能力略有下降
  • 行业排名 119/1584.本期净资产收益率1.11%,去年同期为3.03%,回报股东能力明显变弱
  • 行业排名 119/1585.2016年报扣非后净资产收益率0.58%,去年同期为1.91%,主营业务利润贡献明显下降
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财务指标

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指标变动说明

变动科目 本期数值 上期数值 变动幅度 变动原因
货币资金 54.93亿 90.31亿 39.18% 2015年年底公司非公开发行股票募集资金到位48.5亿元,报告期经营使用导致货币资金减少
取得借款收到的现金 48.20亿 116.58亿 58.66% 报告期较上年度银行借款减少
短期借款 32.58亿 16.08亿 102.61% 报告期借入短期银行借款增加
其他流动负债 29.50亿 51.00亿 42.16% 报告期偿还2015年第一、二期短期融资券
长期应付款 18.91亿 12.10亿 56.22% 公司及控股子公司海纳公司增加融资租赁
吸收投资收到的现金 15.42亿 1100.00万 13918.18% 报告期公司收到发行的永续债14.82亿元
应收票据 14.73亿 8.91亿 65.31% 销售货物收到票据增加
收到其他与筹资活动有关的现金 14.09亿 8.78亿 60.60% 报告期较上年加融资租赁收到资金及收到票据保证金增加
销售费用 10.79亿 13.01亿 17.05% 从2016年7月1日,将产品的销售运输费用从销售费用调入其他业务成本
支付的各项税费 9.28亿 13.39亿 30.7% 资源税政策变更导致资源税减少,利润下降导致企业所得税减少
支付其他与筹资活动有关的现金 9.20亿 3.33亿 176.64% 支付融资租赁款增加及支付票据保证金增加
预收款项 7.33亿 5.23亿 40.13% 预收货款增加
管理费用 5.00亿 3.79亿 31.94% 公司综合利用一、二期,海虹化工等部分装置停工,发生的费用费用化
资产减值损失 4.19亿 5.69亿 26.37% 公司间接控股股子公司海虹化工2016年停产,没有生产产品,故没有计提存货减值准备
预付款项 3.89亿 2.36亿 65.05% 预付工程设备及材料款增加
营业税金及附加 3.86亿 5.64亿 31.49% 资源税改革导致公司交纳资源税下降
支付其他与经营活动有关的现金 3.15亿 1.84亿 71.07% 支付三小区代建款及单位往来款增加
投资收益 2.82亿 1411.66万 1897.19% 转让了公司间接控股子公司上海富友股权产生投资收益
归属于母公司股东的净利润 2.60亿 5.42亿 52.01% 1、报告期公司氯化钾销售价格下降;2、2从015年9月1日起销售氯化钾停止执行先征后返优惠政策,收到的增值税返还减少
应付票据 2.51亿 3.61亿 30.48% 使用票据承兑汇票到期解付
其他应收款 2.06亿 1.48亿 39.01% 代付公司盐湖三小区房款增加
收到其他与经营活动有关的现金 1.62亿 2.69亿 39.82% 收到的计入营业外收入的政府补助减少,收三小区的代建款减少
应付职工薪酬 1.06亿 3.70亿 71.27% 支付2015年末职工增发工资和缴纳五险一金
应付股利 6291.78万 1180.20万 433.11% 云南公安厅退回以前年度广州市华美丰收资产管理有限公司、王一虹等股东的扣押股利款
少数股东损益 5974.01万 2049.22万 191.53% 公司间接控股子公司蓝科锂业扭亏为盈,蓝科锂业2016年1-9月实现利润总额5189.12万元,去年同期亏损2107.95万元
营业外收入 4401.48万 4.33亿 89.83% 从2015年9月1日起销售氯化钾停止执行先征后返优惠政策,收到的增值税返还减少
支付其他与投资活动有关的现金 3989.85万 1116.07万 257.49% 基建项目保证金支付减少及退回的保证金增加
收到其他与投资活动有关的现金 975.34万 1.06亿 90.77% 收到的工程保证金和政府补助减少

资产负债构成

科目 金额
固定资产 263.36亿元
流动资产 143.76亿元
无形资产 7.15亿元
长期投资 7103.84万元
其它 394.74亿元
资产总计 809.72亿元
科目 金额
长期借款 256.43亿元
流动负债 192.54亿元
其它 95.55亿元
负债总计 544.52亿元

财务报表查看

年份 一季度报告 中报 三季度报告 年报
2016 --
2015
2014