300258-基本财务实时评分详情
精锻科技300258基本财务实时评分详情
更新时间:2021-12-07 00:00:01
股票代码
300258
当期评分
股票名称
精锻科技
报告日期2018-12-312019-12-312020-09-302020-09-302020-09-302020-09-30
每股经营现金流(¥)1.04751.14610.4490.4490.449
销售净利润率(%)20.442514.144112.505512.505512.5055
销售毛利率(%)37.055634.225330.983730.983730.9837
净资产收益率(%)13.788.615.235.235.23
营业增长率(%)12.0977-2.8621-8.3465-8.3465-8.3465
净利润增长率(%)3.3357-32.7904-38.1809-38.1809-38.1809
每股收益(%)0.63870.42930.2570.14060.0759
现金流量比率(%)63.755356.106119.864711.88965.3273
三项费用比重(%)7.50499.878811.921812.244610.6863
每股净资产(¥)4.63434.98424.86434.84195.0578
流动比率(%)1.36231.25830.9531.03231.3128
速动比率(%)0.9911.0110.66440.75240.9953
现金比率(%)44.336452.6127.771944.693344.6933
总资产利润率(%)9.9965.77053.15051.7190.9491
主营利润比重%154.2186197.6459198.7338199.6932195.6098
应收账款(万元)24,226.6125,963.3326,700.3421,507.1020,233.97
应收票据(万元)8,643.416,803.463,123.153,731.395,727.41
预付款项(万元)1,443.07930.981,553.37956.072,517.50
存货(万元)24,706.8320,457.7326,421.6026,700.9123,755.03
在建工程(万元)33,323.1329,882.8314,626.1019,440.1630,986.15
应付款项(万元)12,958.2318,972.9718,745.9318,827.6716,269.37
长期借款(万元)15,892.7033,161.5933,197.3236,632.8237,236.88
未分配利润(万元)101,161.31108,387.31114,644.84110,002.85111,461.77
商誉(万元)3,301.63--------
流动资产(万元)187,841.87219,993.85241,195.95236,431.95225,564.46
流动负债(万元)66,544.0282,728.0891,549.9495,395.3274,805.19
精锻科技300258评分结果
57.58分
卖出/减持

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