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{"title":["\u79d1\u76ee\\\u65f6\u95f4",["\u5f52\u6bcd\u51c0\u5229\u6da6","\u5143",0,false,true],["\u5f52\u6bcd\u51c0\u5229\u6da6\u540c\u6bd4\u589e\u957f\u7387","",0,false,true],["\u6263\u975e\u51c0\u5229\u6da6","\u5143",0,false,true],["\u6263\u975e\u51c0\u5229\u6da6\u540c\u6bd4\u589e\u957f\u7387","",0,false,true],["\u8425\u4e1a\u603b\u6536\u5165","\u5143",0,false,true],["\u8425\u4e1a\u603b\u6536\u5165\u540c\u6bd4\u589e\u957f\u7387","",0,false,true],["\u57fa\u672c\u6bcf\u80a1\u6536\u76ca","\u5143",0,false,true],["\u6bcf\u80a1\u51c0\u8d44\u4ea7","\u5143",0,false,true],["\u6bcf\u80a1\u8d44\u672c\u516c\u79ef\u91d1","\u5143",0,false,true],["\u6bcf\u80a1\u672a\u5206\u914d\u5229\u6da6","\u5143",0,false,true],["\u6bcf\u80a1\u7ecf\u8425\u73b0\u91d1\u6d41","\u5143",0,false,true],["\u9500\u552e\u51c0\u5229\u7387","",0,false,true],["\u9500\u552e\u6bdb\u5229\u7387","",0,false,true],["\u51c0\u8d44\u4ea7\u6536\u76ca\u7387","",0,false,true],["\u51c0\u8d44\u4ea7\u6536\u76ca\u7387-\u644a\u8584","",0,false,true],["\u8425\u4e1a\u5468\u671f","\u5929",0,false,true],["\u5b58\u8d27\u5468\u8f6c\u7387","\u6b21",0,false,true],["\u5b58\u8d27\u5468\u8f6c\u5929\u6570","\u5929",0,false,true],["\u5e94\u6536\u8d26\u6b3e\u5468\u8f6c\u5929\u6570","\u5929",0,false,true],["\u6d41\u52a8\u6bd4\u7387","",0,false,true],["\u901f\u52a8\u6bd4\u7387","",0,false,true],["\u4fdd\u5b88\u901f\u52a8\u6bd4\u7387","",0,false,true],["\u4ea7\u6743\u6bd4\u7387","",0,false,true],["\u8d44\u4ea7\u8d1f\u503a\u7387","",0,false,true]],"report":[["2018-06-30","2017-12-31","2017-06-30","2016-12-31","2016-06-30","2015-12-31","2015-06-30","2014-12-31","2014-06-30","2013-12-31","2013-06-30","2012-12-31","2011-12-31","2012-06-30","2010-12-31","2009-12-31","2011-06-30","2008-12-31"],["260.57\u4e07","281.65\u4e07","109.10\u4e07","316.47\u4e07","85.12\u4e07","558.15\u4e07","207.47\u4e07","854.31\u4e07","111.67\u4e07","1063.64\u4e07","128.29\u4e07","1096.74\u4e07","905.62\u4e07","150.59\u4e07","762.47\u4e07","524.87\u4e07","764.31\u4e07","621.49\u4e07"],["-55.09%","-6.29%","-50.38%","2.57%","-179.69%","117.21%","-125.89%","53.79%","-96.75%","1963.28%","-10.46%","-49.01%","148.87%","288.44%","260.05%","120.74%",false,false],["217.41\u4e07","165.59\u4e07","48.02\u4e07","147.23\u4e07","11.79\u4e07","488.15\u4e07","164.65\u4e07","638.46\u4e07","-15.06\u4e07","972.22\u4e07","173.61\u4e07","1027.16\u4e07","914.44\u4e07","99.84\u4e07","876.75\u4e07","710.14\u4e07","758.66\u4e07","592.20\u4e07"],["258.33%","68.86%","-29.94%","-162.17%","-202.85%","184.75%","-150.01%","-18.52%","-67.90%","1404.13%","-95.72%","-67.15%","193.49%","111.21%","341.81%","123.75%",false,false],["4221.89\u4e07","8522.95\u4e07","3415.83\u4e07","7584.48\u4e07","3307.72\u4e07","8962.32\u4e07","3912.09\u4e07","1.00\u4ebf","2994.74\u4e07","1.06\u4ebf","2645.11\u4e07","9521.36\u4e07","7346.30\u4e07","1098.09\u4e07","6370.23\u4e07","6793.87\u4e07","5859.62\u4e07","1.44\u4ebf"],["85.14%","31.34%","1205.68%","0.07%","53.54%","2.93%","29.11%","7.56%","-11.80%","21.72%","37.17%","9.33%","53.57%","127.61%","98.61%","28.26%",false,false],["0.0600","0.0800","0.0200","0.0900","0.0200","0.0200","0.0600","0.3800","0.0900","0.3900","0.0400","0.3900","0.4100","0.0700","0.3600","0.2600","0.1500","0.1000"],["2.12","2.20","2.28","2.32","2.41","2.62","2.20","2.74","1.99","2.82","1.78","2.49","1.77","1.49","1.71","1.65","2.26","0.92"],["0.79","0.82","0.84","0.84","0.98","1.08","0.79","0.56","0.57","0.53","0.35","0.30",null,"0.26",null,null,null,null],["0.27","0.34","0.39","0.43","0.43","0.49","0.41","0.47","0.24","0.62","0.23","0.37",null,"0.15",null,null,null,null],["0.04","0.14","0.04","0.05","0.0000","0.27","0.06","0.26","0.11","0.08","-0.15","0.23","-0.18","0.10","0.31","0.40","0.29","0.49"],["-600.87%","-8.22%","-53.40%","-11.52%","-1096.71%","0.29%","-39.61%","6.87%","-22.26%","8.07%","3.48%","9.17%","14.07%","4.15%","14.86%","9.78%","12.65%","4.30%"],["33.30%","32.37%","31.93%","32.34%","31.79%","34.81%","36.09%","33.82%","34.97%","35.49%","37.43%","35.65%","37.99%","49.68%","39.82%","37.06%","38.69%","24.97%"],["1.33%","1.64%","-1.04%","1.74%","0.25%","3.24%","1.88%","12.79%","2.68%","14.51%","2.06%","17.29%","22.82%","-2.23%","35.72%","17.30%","13.38%","9.53%"],["0.72%","-0.19%","-2.14%","0.38%","-0.24%","5.44%","-0.48%","10.77%","0.63%","12.57%","2.40%","15.54%","20.01%","6.51%","18.75%","14.95%","8.30%","9.09%"],["417.54","552.93","2011.88","667.53","3017.42","533.32","1703.18","463.95","967.57","410.12","513.90","340.57","274.58","411.04","187.74","275.83","240.49","306.14"],["26.03","4.39","1.56","3.59","1.56","4.38","1.97","32.99","1.28","3.17","0.90","3.70","10.22","0.94","10.57","4.20","1.01","1.34"],["417.54","280.32","879.21","325.87","635.12","274.34","625.00","244.70","350.35","224.93","270.27","187.86","134.41","197.38","59.39","108.90","177.44","268.76"],[null,"286.53","1140.19","352.13","2388.29","258.97","1088.60","219.25","617.22","187.58","243.63","157.18","140.18","213.66","128.35","166.93","63.05","37.38"],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  • 净利润
  • 基本每股收益
  • 每股净资产
  • 每股资本公积金
  • 每股未分配利润
  • 每股经营现金流
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基本每股指标
主要指标
  • 净利润
  • 净利润同比增长率
  • 扣非净利润
  • 扣非净利润同比增长率
  • 营业总收入
  • 基本每股收益
  • 每股净资产
  • 每股资本公积金
  • 每股未分配利润
  • 每股经营现金流
  • 销售净利率
  • 销售毛利率
  • 净资产收益率
  • 净资产收益率-摊薄
  • 营业周期
  • 存货周转率
  • 存货周转天数
  • 应收账款周转天数
  • 流动比率
  • 速动比率
  • 保守速动比率
  • 产权比率
  • 资产负债比率
利润表
  • 其中:营业收入
  • 营业总成本
  • 其中:营业成本
  • 营业税金及附加
  • 销售费用
  • 管理费用
  • 研发费用
  • 财务费用
  • 其中:利息费用
  • 利息收入
  • 资产减值损失
  • 信用减值损失
  • 加:公允价值变动收益
  • 投资收益
  • 资产处置收益
  • 其他收益
  • 营业利润
  • 加:营业外收入
  • 其中:非流动资产处置利得
  • 减:营业外支出
  • 其中:非流动资产处置损失
  • 利润总额
  • 净利润差额(合计平衡项目)
  • 减:所得税费用
  • 持续经营净利润
  • 归属于母公司所有者的净利润
  • 少数股东损益
  • 扣除非经常性损益后的净利润
  • 每股收益
  • 稀释每股收益
  • 其他综合收益
  • 归属母公司所有者的其他综合收益
  • 综合收益总额
  • 归属于母公司股东的综合收益总额
  • 归属于少数股东的综合收益总额
资产负债表
  • 货币资金
  • 应收票据及应收账款
  • 其中:应收票据
  • 应收账款
  • 预付款项
  • 其他应收款合计
  • 其中:应收利息
  • 其他应收款
  • 存货
  • 划分为持有待售的资产
  • 一年内到期的非流动资产
  • 其他流动资产
  • 流动资产合计
  • 可供出售金融资产
  • 持有至到期投资
  • 长期股权投资
  • 其他权益工具投资
  • 其他非流动金融资产
  • 投资性房地产
  • 固定资产合计
  • 其中:固定资产
  • 固定资产清理
  • 在建工程合计
  • 其中:在建工程
  • 工程物资
  • 无形资产
  • 商誉
  • 长期待摊费用
  • 递延所得税资产
  • 其他非流动资产
  • 非流动资产合计
  • 资产合计
  • 短期借款
  • 衍生金融负债
  • 应付票据及应付账款
  • 其中:应付票据
  • 应付账款
  • 预收款项
  • 应付职工薪酬
  • 应交税费
  • 其他应付款合计
  • 其中:应付利息
  • 应付股利
  • 其他应付款
  • 一年内到期的非流动负债
  • 其他流动负债
  • 流动负债合计
  • 长期借款
  • 应付债券
  • 长期应付款合计
  • 其中:长期应付款
  • 专项应付款
  • 预计负债
  • 递延所得税负债
  • 递延收益-非流动负债
  • 其他非流动负债
  • 非流动负债合计
  • 合同负债
  • 负债合计
  • 实收资本(或股本)
  • 资本公积
  • 减:库存股
  • 其他综合收益
  • 盈余公积
  • 未分配利润
  • 归属于母公司所有者权益合计
  • 少数股东权益
  • 所有者权益(或股东权益)合计
现金流量表
  • 销售商品、提供劳务收到的现金
  • 收到的税费与返还
  • 收到其他与经营活动有关的现金
  • 经营活动现金流入小计
  • 购买商品、接受劳务支付的现金
  • 支付给职工以及为职工支付的现金
  • 支付的各项税费
  • 支付其他与经营活动有关的现金
  • 经营活动现金流出小计
  • 经营活动产生的现金流量净额
  • 收回投资收到的现金
  • 取得投资收益收到的现金
  • 收到其他与投资活动有关的现金
  • 投资活动现金流入小计
  • 投资支付的现金
  • 支付其他与投资活动有关的现金
  • 投资活动现金流出小计
  • 投资活动产生的现金流量净额
  • 吸收投资收到的现金
  • 取得借款收到的现金
  • 发行债券收到的现金
  • 收到其他与筹资活动有关的现金
  • 筹资活动现金流入小计
  • 偿还债务支付的现金
  • 支付其他与筹资活动有关的现金
  • 筹资活动现金流出小计
  • 筹资活动产生的现金流量净额
  • 汇率变动对现金及现金等价物的影响
  • 现金及现金等价物净增加额
  • 加:期初现金及现金等价物余额
  • 净利润
  • 加:资产减值准备
  • 无形资产摊销
  • 长期待摊费用摊销
  • 固定资产报废损失
  • 公允价值变动损失
  • 财务费用
  • 投资损失
  • 递延所得税资产减少
  • 递延所得税负债增加
  • 存货的减少
  • 经营性应收项目的减少
  • 经营性应付项目的增加
  • 待摊费用减少
  • 预提费用增加
  • 债务转为资本
  • 一年内到期的可转换公司债券
  • 融资租入固定资产
  • 现金的期末余额
  • 减:现金的期初余额
  • 加:现金等价物的期末余额
  • 减:现金等价物的期初余额
  • 间接法-现金及现金等价物净增加额

注:关闭编辑当前方案窗口,即可生成“我的指标”

资产负债构成

科目 金额
流动资产 2461.38万元
无形资产 99.73万元
固定资产 21.75万元
其它 828.17万元
资产总计 3411.03万元
科目 金额
流动负债 4344.54万元
负债总计 4344.54万元

杜邦分析结构图

净资产收益率
--
加权净资产收益率
--

权益乘数

负债总额

资产总额

所有者权益总额

-933.52万

流动负债

非流动负债

--

流动资产

非流动资产

营业收入

货币资金

营业总收入

应收账款

--

存货

--

其他利润

管理费用