000570-基本财务实时评分详情
苏常柴A000570基本财务实时评分详情
更新时间:2021-01-26 00:00:01
股票代码
000570
当期评分
股票名称
苏常柴A
报告日期2016-12-312017-12-312018-12-312019-12-312020-09-302020-09-30
每股经营现金流(¥)0.1772-0.21670.4878-0.03660.0315
销售净利润率(%)2.79091.94542.91471.22312.2326
销售毛利率(%)17.669813.878214.3915.66215.6278
净资产收益率(%)2.692.073.041.181.79
营业增长率(%)-9.39646.1335-11.9748-4.349411.1298
净利润增长率(%)-12.0959-26.020631.8845-59.862194.9945
每股收益(%)0.110.080.110.040.0694
现金流量比率(%)8.2117-9.493319.9986-1.65651.2182
三项费用比重(%)13.140911.743711.35179.74669.5304
每股净资产(¥)4.13934.00253.63983.75733.8717
流动比率(%)1.72071.64871.67111.75461.6401
速动比率(%)1.31291.25221.26361.3731.3086
现金比率(%)55.367433.574858.498751.381951.3819
总资产利润率(%)1.83171.26581.71140.71021.0791
主营利润比重%538.4644688.8248405.38351198.6435619.1257
应收账款(万元)35,927.9839,201.1037,885.9241,929.5779,874.16
应收票据(万元)50,107.0371,640.4349,537.0860,628.3047,388.42
预付款项(万元)1,548.351,778.101,135.231,293.051,268.96
存货(万元)49,404.6550,824.6855,795.3947,335.2048,121.87
在建工程(万元)8,978.109,458.208,909.049,135.8213,625.29
应付款项(万元)60,542.4761,622.8559,175.4952,561.0355,400.23
长期借款(万元)--2,150.00200.00----
未分配利润(万元)65,136.5967,913.1071,788.3472,668.9976,764.34
商誉(万元)----------
流动资产(万元)164,043.78160,982.16125,392.08130,894.97138,322.48
流动负债(万元)121,137.02128,163.26136,919.24124,015.31145,173.99
苏常柴A000570评分结果
69.70分
买入/增持

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