002324-基本财务实时评分详情
普利特002324基本财务实时评分详情
更新时间:2020-12-04 00:00:01
股票代码
002324
当期评分
股票名称
普利特
报告日期2018-12-312019-12-312020-09-302020-09-302020-09-302020-09-30
每股经营现金流(¥)0.47630.66870.35750.35750.3575
销售净利润率(%)1.93254.556911.834811.834811.8348
销售毛利率(%)16.199918.583323.664923.664923.6649
净资产收益率(%)3.116.913.5913.5913.59
营业增长率(%)7.8893-1.788520.744420.744420.7444
净利润增长率(%)-59.3447131.5905232.9561232.9561232.9561
每股收益(%)0.180.31220.330.10.43
现金流量比率(%)12.471324.30248.2243-8.039620.0644
三项费用比重(%)8.07198.60077.09067.67827.1256
每股净资产(¥)5.72984.52773.11224.63163.1841
流动比率(%)1.61581.75651.69221.71791.8746
速动比率(%)1.24681.32881.30441.271.4153
现金比率(%)12.999214.762316.833118.581718.5817
总资产利润率(%)1.82684.20096.81871.12029.0683
主营利润比重%759.7366370.5204154.2991229.5341170.1875
应收账款(万元)124,724.85127,319.57116,694.79103,135.49121,342.99
应收票据(万元)40,198.3927,829.8435,758.5742,456.1834,999.62
预付款项(万元)5,226.895,893.1212,477.816,084.259,728.60
存货(万元)57,250.2062,141.3770,144.4272,098.8169,161.34
在建工程(万元)2,780.09811.223,660.581,520.825,840.50
应付款项(万元)27,741.6231,337.6221,928.6324,438.9029,199.99
长期借款(万元)48.20--------
未分配利润(万元)127,459.07132,665.61139,810.71137,903.06148,110.07
商誉(万元)31,507.3731,762.6432,232.9631,901.0531,006.39
流动资产(万元)141,104.70133,964.63145,083.71132,915.70144,687.23
流动负债(万元)155,149.93145,317.51180,892.28160,972.38150,578.12
普利特002324评分结果
60.61分
卖出/减持

copyright@ YOUVERY TECHNOLOGY CO., 厦门优极网络科技有限公司©
闽ICP备17005296号-3
地址:厦门市湖里区高崎道890号 邮编:361006