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特发信息(000070) 主要财务报表分析指标

净利润
主营收
每股收益
报告日期
基本每股收益(元)
每股净资产(元)
每股经营活动产生的现金流量净额(元)
主营业务收入(万元)
主营业务利润(万元)
营业利润(万元)
投资收益(万元)
营业外收支净额(万元)
利润总额(万元)
净利润(万元)
净利润(扣除非经常性损益后)(万元)
经营活动产生的现金流量净额(万元)
现金及现金等价物净增加额(万元)
总资产(万元)
流动资产(万元)
总负债(万元)
流动负债(万元)
股东权益不含少数股东权益(万元)
净资产收益率加权(%)
2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302005-03-312004-12-312004-09-302004-06-302004-03-312003-12-312003-09-302003-06-302003-03-312002-12-312002-09-302002-06-302002-03-312001-12-312001-06-302000-12-312000-06-301999-12-311998-12-311997-12-31
0.01-0.75-0.030.020.010.01-0.02-0.05-0.080.410.120.090.060.440.260.160.080.420.270.170.140.620.400.250.110.330.200.140.050.210.170.100.030.230.200.160.090.190.160.100.040.150.100.050.030.250.130.090.030.170.120.070.020.140.090.040.000.040.020.01-0.010.01----------------------------------------------------
----------------------------------------------------------------------------3.353.293.243.203.163.113.093.052.932.902.842.812.762.712.662.642.592.542.502.502.492.482.472.45----2.462.463.063.063.073.113.123.113.093.113.113.113.093.113.123.123.113.103.203.123.270.29----
-----------------------------------------------------------------------------0.31-0.30-0.32-0.19-0.58-0.49-0.210.270.030.03-0.070.10-0.18-0.27-0.230.530.160.170.17-0.00-0.17-0.14-0.160.09------0.31-------0.05-------0.35------0.47--0.29--0.110.13-0.59-1.08------
79,603459,084315,177229,549152,996472,243244,895166,44364,238465,591304,898213,332124,724570,600402,683255,662121,626547,307375,452248,815110,086461,242325,866214,125103,124244,980170,523114,16747,574191,325123,24475,72529,328157,195108,61667,10728,698161,009117,80874,07333,798124,68688,68350,55225,034106,37277,44151,80725,09887,11160,74337,17816,20770,29847,83628,46110,92753,53236,32723,21910,24152,818------40,36129,27218,6546,77150,11830,11616,4765,03446,60731,09519,1187,52449,32534,56820,47811,49965,91623,98457,08121,83248,79641,42245,996
14,36549,46538,70526,91213,59085,93240,67523,9024,89180,89347,80531,59117,52090,57158,38737,78517,91087,90061,32340,04418,11477,48251,33532,70014,85042,99028,37518,2097,19634,57124,61514,9096,06628,64820,06112,6114,99727,01918,15011,0524,94119,99514,2358,4584,14316,54611,3737,2553,34612,4688,8024,7581,7909,1175,6883,2011,1976,5444,5122,7321,1026,397------5,1124,1972,8588909,1865,5862,8537788,5665,9604,1181,24410,1266,0043,4351,44213,3015,57513,1965,68614,82313,66213,560
1,724-60,4276992,7121,19717,0331,710-2,353-6,59241,01012,1307,8994,66435,53122,10513,5086,48033,95622,69613,9296,02824,38616,28410,4724,70211,9157,6775,2772,0038,1786,4893,7921,1466,7095,8244,2932,3846,3124,7422,4811,1913,6413,0651,5199752,3202,2191,7616873,4762,4329603061,4531,471549-1721,196468184-152197-------11,099-891-783-860407-509-567-835-771-500-161-425519376144651,9766563,3291,9465,8705,1414,524
3754,1963,6832,3221,0541,07397360-416070-66-68122-17-55-7835-23-93-11328-72-15-248605551327288181911,4091,4251,4131,415182297-141-410-5027514555654041445115027822057660240208-1190-------3,802-54-8943-615705083381,028241242---701-105-94--1,6291,5782,075218--21700
73337364275138-4,670-687-412-367-1,455-342920-206-822024-291,0046811432,01791913750812371259324071607237487241193103-145-94185-1850-4232104,3941,0866292097877689093002,175783467225-62-6471-------2,203398401-27-1103153-197-19-1610430400280171306206579314337323307
1,797-60,0901,0632,9871,33512,3621,023-2,765-6,95939,55512,1278,3284,68535,32422,02313,5286,50433,92723,69914,6106,17126,40317,20210,6084,75312,7288,0485,5362,0358,5856,6493,8641,1837,1956,0654,4862,4876,1674,6492,6671,1894,4913,0231,5519856,7143,3062,3908964,2633,2001,8696063,6282,2541,016531,135461188-145198-------17,105-547-471-84423676-36-49567-27865-4152686703302363,9752,4945,9882,4816,5355,6345,544
708-61,845-2,3071,2511,1531,145-1,587-4,087-6,64732,3189,5106,7003,65227,56516,4289,7545,07726,56217,18410,5934,38419,57912,4477,8473,4929,1945,2953,8061,3475,5594,5522,6219256,1475,3734,1762,4304,7113,9452,3851,1143,6772,5941,2747826,2763,1802,2447644,1323,0821,8375723,5432,2281,058851,104422168-163191-------16,855-149-218-721486444205-370501167273-3521936313682834,1922,6405,5882,0795,2394,6543,679
637-66,434-7,349-2,222553-5,576-3,897-6,178-7,0807,8327,3034,4512,70124,85115,0088,8934,42724,55916,34410,0314,26518,08111,6877,7383,4428,5294,9703,5611,2864,8414,2282,4289044,2043,6582,5048144,594--2,224--2,749--1,337--1,632--1,646--3,154--813--1,302--591--1,190--164--297-------11,186---659---237---369---220--79---828328118--2,4581,0812,2421,750------
-29,978-57,773-100,962-87,451-36,5296,475-217,781-49,811-27,350-25,498-54,792-57,878-34,642-8,114-98,571-76,434-59,49725,294-52,560-38,372-35,01730,047-4,312-19,318-19,21917,889-2,784-3,225-2,54214,3101963,672971,440483-1,114-4,2758,147-7,632-7,577-8,045-4,835-14,516-12,154-5,2066,707863833-1,8562,440-4,446-6,766-5,71113,2524,1234,3174,255-61-4,254-3,511-3,8982,362------7,823-1,308-4,946-2,736-1,183-7,955-9,311-5,903-8,743-9,556-1,881-10,27711,668--7,132--2,7733,120-14,810-27,068------
-62,193-114,715-223,722-182,400-81,570218,1797,7202,349-19,813-13,843-30,421-27,498-15,1567,539-37,993-33,097-46,80025,780-14,608-10,729-26,88012,035-6,082-4,209-14,07013,882-12,351-11,641-11,5666,874-6,956-6,548-2,889-4,4246,9789,1858,465-6,448-16,572-13,267-9,633-4,481-12,659-14,286-5,4128,6712,0356,8182,913-6,203-11,410-12,768-13,38019,3257,6769,01810,355-5,860-8,789-3,508-3,5032,520-------784-7,283-9,774-7,2869,143-6,592218-953-21,788---18,905-8,8082,163---9,477--7,3706,10215,77610,736------
833,551832,383892,698889,001937,8801,061,961972,211811,799760,673762,376712,026723,163751,391755,308704,845673,662619,182608,709579,231545,389514,601506,549491,169484,038438,612404,445285,350275,059272,474260,814248,418240,031228,346225,347221,216214,911201,796199,167198,732188,513184,578182,034174,284171,808166,984159,635151,348148,877137,949122,779117,228112,998109,396112,711112,238112,735110,35797,35698,89999,682100,868100,92898,21797,291100,32598,493112,041114,712118,371125,406122,577127,553130,579126,478135,198129,935119,591127,155123,300128,195126,386134,857135,136136,936130,54973,23565,09161,163
553,792555,980626,216633,342697,092829,154744,760590,478541,559545,475524,508533,230562,276564,529549,541517,243463,234453,483431,330398,270368,539357,775342,690335,322303,310268,035189,211180,341178,378172,099161,926154,354142,773140,099140,922140,374129,945129,520129,657119,122115,741112,801108,057112,040108,577105,304103,338104,82797,67480,66176,26972,35669,49879,75772,91573,23171,04858,17859,80760,88662,14761,71759,58858,09160,41057,94569,45971,89674,90281,78578,61483,10385,31980,798--84,56578,81387,16279,69088,13786,72295,59696,739107,124117,40458,98053,81647,639
581,742580,330541,713535,438584,686710,759626,257479,092424,504420,181396,229422,746471,277479,212451,939427,634376,417371,539358,119331,071304,254301,368294,447292,925251,509223,640153,354144,934144,672134,669125,067120,263109,866108,790105,369100,38190,046101,423102,54594,14991,69390,22384,41483,22679,02572,53667,42065,67756,29549,29845,04942,06239,61843,51044,95246,60745,55532,56734,87835,93537,45337,91436,59835,69738,77437,02535,58838,20441,50547,72544,68449,82053,29548,697--50,30940,41247,45443,35848,25846,44255,16752,31458,14147,82246,21744,63944,265
393,026348,880389,118417,430464,066594,794510,673453,302396,296390,422372,836393,496419,556427,451432,813408,203354,531352,574337,921311,379285,261283,086276,441274,305233,098205,942134,732127,569126,836117,453108,970104,45893,94192,68186,88179,88870,77085,01580,34671,12367,99666,67859,45858,18154,37851,55752,32651,29244,76138,05632,42829,28528,67832,24030,64730,75828,79128,14728,28129,33730,85631,31731,13130,23133,20031,45129,63732,25235,19841,41738,02143,15746,25941,661--42,76132,63239,67435,20639,96637,91846,64338,97444,69634,82232,58833,55434,094
198,396197,718299,392302,935302,894296,919294,303282,320285,390291,384267,820257,046235,333231,686212,333205,655203,232198,157188,780182,189178,332173,947166,816162,216158,802155,309111,460109,971108,217106,870105,863103,932103,043102,124101,360100,16399,42984,67083,85282,29281,02279,90779,09377,64477,15276,37073,31972,39070,91070,15569,10267,86066,59966,02764,72063,55162,57062,52362,31062,05661,74361,34261,61961,59461,55261,46876,45376,50876,86677,68177,89277,73377,28377,78177,75177,79077,26777,75977,92677,90377,81777,53580,11078,06281,87426,21019,89814,336
0.36-28.52-0.770.420.390.39-0.55-1.41-2.3112.373.882.821.5613.048.004.802.5314.299.455.912.4911.907.724.932.228.034.843.501.255.324.372.530.906.245.474.302.705.734.822.941.384.703.341.651.028.564.433.151.086.07--2.74--5.51--1.68--1.78--0.27--0.31-------24.34---0.28--0.630.570.26--0.64------0.25------5.463.358.79--------

盈利能力

营业利润率

营业利润率

净资产收益率

净资产收益率

2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-31
总资产利润率(%) 0.16-7.23-0.140.180.060.55
主营业务利润率(%) 18.0510.7712.2811.728.8818.20
总资产净利润率(%) 0.16-6.36-0.130.160.060.64
成本费用利润率(%) 2.43-13.470.351.350.902.88
营业利润率(%) 2.17-13.160.221.180.783.61
主营业务成本率(%) 81.5388.5987.2287.7690.7081.32
销售净利率(%) 1.65-13.12-0.390.680.391.23
净资产收益率(%) 0.36-31.28-0.770.410.380.39
股本报酬率(%) 1.5528.97-1.5099.750.72102.03
净资产报酬率(%) 0.529.71-0.3523.310.1723.72
资产报酬率(%) 0.162.94-0.149.270.067.85
销售毛利率(%) ------------
三项费用比重(%) 10.787.939.228.236.079.13
非主营比重(%) 24.91-7.54380.7486.9589.30-29.10
主营利润比重(%) 799.33-82.323,641.74901.011,018.05695.11

偿还能力

流动比率

流动比率

资产负债率

资产负债率

2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-31
流动比率(%) 1.411.591.611.521.501.39
速动比率(%) 1.121.321.131.161.151.02
现金比率(%) 30.3352.1118.2327.2846.9050.53
利息支付倍数(%) 153.59-370.96112.62153.47153.62192.58
资产负债率(%) 69.7969.7260.6860.2362.3466.93
长期债务与营运资金比率(%) 0.300.440.360.230.220.22
股东权益比率(%) 30.2130.2839.3239.7737.6633.07
长期负债比率(%) 5.7911.009.505.655.414.82
股东权益与固定资产比率(%) --490.68--653.79--622.20
负债与所有者权益比率(%) 231.02230.24154.34151.44165.54202.38
长期资产与长期资金比率(%) 93.2280.4361.1563.3159.6157.86
资本化比率(%) 16.0926.6519.4612.4512.5612.71
固定资产净值率(%) --37.76--40.08--42.14
资本固定化比率(%) 111.10109.6675.9272.3168.1766.29
产权比率(%) 175.26174.76135.03132.28145.76183.93
清算价值比率(%) 185.87185.88185.48187.09179.40162.16
固定资产比重(%) --6.17--6.08--5.32

成长能力

净利润增长率

净利润增长率    

净资产增长率

净资产增长率    

2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-31
主营业务收入增长率(%) -47.97-2.7928.7037.91138.171.43
净利润增长率(%) 121.75-1,132.73-230.21-----83.16
净资产增长率(%) -28.71-28.231.456.275.062.63
总资产增长率(%) -11.12-21.62-8.189.5123.3039.30

营运能力

存货周转率(次)

存货周转率(次)

总资产周转率(次)

总资产周转率(次)

2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-31
应收账款周转率(次) 0.362.161.270.950.682.01
应收账款周转天数(天) 248.62166.84212.41189.37133.25179.02
存货周转率(次) 0.622.571.351.080.722.03
固定资产周转率(次) --8.52--4.15--8.23
总资产周转率(次) 0.100.480.320.240.150.52
存货周转天数(天) 144.46140.02200.25166.79124.43177.01
总资产周转天数(天) 941.42742.73837.21764.98588.24695.38
流动资产周转率(次) 0.140.660.430.310.200.69
流动资产周转天数(天) 627.18543.07623.41573.43448.88523.94
经营现金净流量对销售收入比率(%) -0.38-0.13-0.32-0.38-0.240.01
资产的经营现金流量回报率(%) -0.04-0.07-0.11-0.10-0.040.01
经营现金净流量与净利润的比率(%) -22.86-----55.73-61.761.11
经营现金净流量对负债比率(%) -0.05-0.10-0.19-0.16-0.060.01
现金流量比率(%) -7.63-16.56-25.95-20.95-7.871.09
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