002078-基本财务实时评分详情
太阳纸业002078基本财务实时评分详情
更新时间:2021-01-17 00:00:01
股票代码
002078
当期评分
股票名称
太阳纸业
报告日期2018-12-312019-12-312020-09-302020-09-302020-09-302020-09-30
每股经营现金流(¥)1.72721.8081.36951.36951.3695
销售净利润率(%)10.30029.65428.91278.91278.9127
销售毛利率(%)22.816322.041222.826222.826222.8262
净资产收益率(%)17.814.938.848.848.84
营业增长率(%)15.21154.5677-4.6483-4.6483-4.6483
净利润增长率(%)-0.3526-1.9907-7.0338-7.0338-7.0338
每股收益(%)0.860.840.530.360.21
现金流量比率(%)32.068632.892225.160515.79991.9057
三项费用比重(%)9.30799.1310.4610.637210.8947
每股净资产(¥)4.85145.63076.00546.02235.8721
流动比率(%)0.77220.78850.73070.79960.821
速动比率(%)0.6170.61610.52570.58350.6387
现金比率(%)14.312617.796719.070722.29822.298
总资产利润率(%)8.06847.10974.14592.82941.621
主营利润比重%182.6297193.4364209.3616210.3311198.7089
应收账款(万元)146,372.68160,740.05190,947.45202,862.21261,774.49
应收票据(万元)378,944.6633,310.1912,283.7011,889.87112,569.59
预付款项(万元)73,127.1441,782.6951,920.0746,156.5446,453.59
存货(万元)216,786.50245,596.92290,269.57297,160.32271,119.72
在建工程(万元)63,678.66254,175.09530,150.50501,988.11346,868.08
应付款项(万元)230,723.47181,518.63218,770.11167,252.73177,287.01
长期借款(万元)179,384.30165,259.48270,812.81261,238.87224,450.77
未分配利润(万元)724,087.25910,025.091,022,311.461,003,672.91963,626.66
商誉(万元)3,941.363,941.363,941.363,941.363,941.36
流动资产(万元)1,874,045.472,106,205.782,459,346.602,325,234.282,189,105.16
流动负债(万元)1,396,336.171,424,633.081,416,524.441,375,009.261,486,925.61
太阳纸业002078评分结果
42.42分
卖出/减持

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