300437-基本财务实时评分详情
清水源300437基本财务实时评分详情
更新时间:2021-12-02 00:00:01
股票代码
300437
当期评分
股票名称
清水源
报告日期2018-12-312019-12-312020-09-302020-09-302020-09-302020-09-30
每股经营现金流(¥)0.3880.51280.65480.65480.6548
销售净利润率(%)16.61089.43828.16748.16748.1674
销售毛利率(%)36.654231.62828.418228.418228.4182
净资产收益率(%)17.317.154.344.344.34
营业增长率(%)103.5485-0.2517-21.3424-21.3424-21.3424
净利润增长率(%)138.8477-43.3235-47.1391-47.1391-47.1391
每股收益(%)1.13140.5280.17730.09290.3309
现金流量比率(%)4.40315.5012.0716-1.13376.5692
三项费用比重(%)12.1713.84119.204517.070517.675
每股净资产(¥)6.53677.38147.45517.48567.6175
流动比率(%)1.04221.33461.26991.32421.2739
速动比率(%)0.74230.8461.23160.81121.2384
现金比率(%)15.042921.886121.056918.550218.5502
总资产利润率(%)8.12643.75490.82610.5451.5197
主营利润比重%169.5147241.3221272.2274218.2691254.9455
应收账款(万元)87,512.2481,045.4767,011.4974,655.8061,139.91
应收票据(万元)5,083.297,742.287,119.366,963.559,562.53
预付款项(万元)3,020.457,785.2012,473.8311,178.6314,145.02
存货(万元)57,677.9099,440.408,052.52105,583.127,710.05
在建工程(万元)50,009.4122,474.3634,521.0324,049.2841,844.60
应付款项(万元)48,908.6347,738.2741,885.5639,376.7736,191.84
长期借款(万元)29,139.9733,774.0627,619.0731,549.0732,999.07
未分配利润(万元)50,714.3356,612.7358,081.0758,791.6261,587.85
商誉(万元)59,142.8654,511.3654,511.3654,511.3654,511.36
流动资产(万元)190,663.26195,760.38203,750.63198,325.34210,505.95
流动负债(万元)192,374.34203,531.07210,135.02205,841.59217,654.99
清水源300437评分结果
51.52分
卖出/减持

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