600703-基本财务实时评分详情
三安光电600703基本财务实时评分详情
更新时间:2021-01-26 00:00:01
股票代码
600703
当期评分
股票名称
三安光电
报告日期2018-12-312019-12-312020-09-302020-09-302020-09-302020-09-30
每股经营现金流(¥)0.81880.68390.23870.23870.2387
销售净利润率(%)33.834517.405715.905115.905115.9051
销售毛利率(%)43.458927.937528.005328.005328.0053
净资产收益率(%)13.325.973.213.213.21
营业增长率(%)-0.3497-10.812110.654710.654710.6547
净利润增长率(%)-10.5561-54.1185-18.5678-18.5678-18.5678
每股收益(%)0.690.320.220.160.1
现金流量比率(%)61.609660.590720.63699.46342.9689
三项费用比重(%)8.01199.75219.01849.87359.8061
每股净资产(¥)5.21015.33186.52596.46155.4283
流动比率(%)2.42342.22943.22833.5262.3693
速动比率(%)1.9291.5472.41322.7171.5675
现金比率(%)81.284750.3594154.1846182.2483182.2483
总资产利润率(%)10.10264.29462.74891.87861.306
主营利润比重%111.9272131.0187148.977140.6264102.3733
应收账款(万元)248,208.61235,523.77236,254.85218,936.11229,033.83
应收票据(万元)261,725.59--56,394.04----
预付款项(万元)66,629.4729,022.7346,939.5840,039.1427,223.43
存货(万元)267,960.49314,157.19422,270.46394,943.30347,955.50
在建工程(万元)273,388.24486,155.45448,128.45479,733.45492,664.45
应付款项(万元)96,696.37141,753.20157,861.79160,988.86142,272.86
长期借款(万元)30,200.0012,000.0097,762.3698,069.4355,887.60
未分配利润(万元)976,803.111,013,175.991,066,481.901,036,120.771,052,336.28
商誉(万元)1,168.871,188.1225,154.661,205.711,206.66
流动资产(万元)1,765,386.801,941,747.232,187,434.042,069,385.242,000,691.47
流动负债(万元)542,036.78460,354.47518,057.07488,174.29433,971.09
三安光电600703评分结果
45.45分
卖出/减持

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