603298-基本财务实时评分详情
杭叉集团603298基本财务实时评分详情
更新时间:2021-02-28 00:00:01
股票代码
603298
当期评分
股票名称
杭叉集团
报告日期2018-12-312019-12-312020-09-302020-09-302020-09-302020-09-30
每股经营现金流(¥)0.69761.47841.26241.26241.2624
销售净利润率(%)7.25068.06838.37278.37278.3727
销售毛利率(%)20.017420.910920.190620.190620.1906
净资产收益率(%)14.1914.9513.3313.3313.33
营业增长率(%)20.54464.873921.605721.605721.6057
净利润增长率(%)16.918416.701529.381729.381729.3817
每股收益(%)0.881.040.720.470.25
现金流量比率(%)30.94359.807337.751134.5441-0.662
三项费用比重(%)8.87459.09478.15727.90048.2315
每股净资产(¥)6.22366.96625.42725.19497.1766
流动比率(%)2.78892.19851.70541.78591.861
速动比率(%)2.03131.57021.32691.3531.3393
现金比率(%)50.979243.868374.458270.08570.085
总资产利润率(%)11.354812.00139.58086.56062.3424
主营利润比重%232.9909225.0221210.6395202.2146231.7527
应收账款(万元)54,167.6565,198.0499,182.7985,886.8791,413.90
应收票据(万元)12,683.971,694.541,640.861,510.261,989.81
预付款项(万元)11,627.668,188.9016,705.9916,606.2214,008.52
存货(万元)105,706.0196,116.98109,647.44105,443.84117,713.50
在建工程(万元)21,103.007,523.3313,500.2110,312.698,476.60
应付款项(万元)110,618.42114,207.41168,934.16160,761.66170,432.02
长期借款(万元)787.69262.56------
未分配利润(万元)194,297.44233,875.38274,874.82253,238.72249,105.02
商誉(万元)276.77276.77337.51337.51276.77
流动资产(万元)173,443.30291,626.45312,642.22301,577.09291,231.60
流动负债(万元)139,525.38152,973.18289,728.66243,605.82225,645.34
杭叉集团603298评分结果
45.45分
卖出/减持

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