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黑芝麻(000716) 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(%)
2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302005-03-312004-12-312004-09-302004-06-302004-03-312003-12-312003-09-302003-06-302003-03-312002-12-312002-09-302002-06-302002-03-312001-12-312001-06-302000-12-312000-06-301999-12-311999-06-301998-12-311998-06-301997-12-311997-06-301996-12-311995-12-311994-12-31
0.01-0.150.020.020.020.01-0.03-0.04-0.040.050.040.030.010.080.070.020.020.180.150.040.040.030.100.030.070.480.220.130.100.240.210.150.090.190.140.120.110.100.090.070.020.070.050.050.020.910.860.860.01-0.040.070.060.02-0.210.030.020.010.030.20-0.010.01------------------------------------------------------------------
----------------------------------------------------------------------------1.901.771.731.721.701.701.661.651.831.830.790.780.810.800.820.801.041.041.021.011.551.351.271.241.371.151.131.121.551.621.521.571.531.511.471.471.291.311.451.441.701.742.342.392.392.592.632.622.382.282.122.022.211.521.211.05
----------------------------------------------------------------------------0.13-0.25-0.150.140.080.25-0.110.06-0.15-0.110.100.490.520.370.090.080.060.120.20-0.08-0.25-0.26-0.080.00--0.00---0.220.000.000.000.180.00-0.220.00-0.000.000.010.00-0.34---0.02--0.470.13-0.39-0.13-0.23--0.17------------
68,066402,479275,658176,59284,068384,092240,147146,98656,410447,564299,597198,51995,095396,440228,249135,10155,328277,178149,55993,23746,922231,448117,59773,17143,799188,761103,19371,19644,265149,75392,92262,88036,979130,55382,00952,22520,40564,14745,99029,02515,35458,15237,74925,14013,41542,17026,55017,2659,82434,09624,66916,9989,82837,19625,13716,9199,77329,58617,50910,7016,07218,56612,2077,8574,28713,42111,2079,0141,70626,5806,0445,4724,3553,2872,9501,9339963,9993,0702,39667720,2094,75913,5145,47311,6815,73912,9025,4319,7743,9877,4846,7774,438
11,75271,40956,36835,57015,75572,11349,51530,50410,21683,64056,06735,81516,01879,10357,53035,27017,40869,75839,26724,58812,15950,62234,91421,2249,33559,60630,35520,16410,11346,20026,72116,7588,72538,77721,20812,8968,15925,96115,80910,5605,76521,83613,5778,8555,00916,1539,9456,4483,85014,4679,3776,0903,71913,4988,7086,1383,68910,6596,6414,2442,4298,2375,4573,4181,9714,6525,2974,245-52,6861,7311,7641,61496181166185-272543442,4526834,0961,6384,4182,1225,3202,0578023759518051,125
489-7,7303,8552,6601,4101,792-1,695-2,608-3,0223,1514,2492,9571,9092,4273,9751,2242,0889,9648,4692,6181,619-1,3356,7101,3341,33214,7845,2172,5472,8764,8154,0932,7362,1064,1012,2921,8211,748-168-3487894481,1721,4751,13851816,01716,29316,0391537601,3251,080553-433793771692,3383,137-44749-519-54-259323-2,7386241,502-514-765-978-414534-2,912-1,843-1,187-364-6,759-2,533-1,764-562-1,108-1,043-1,064-625-4052572,19779880701,0578851,261
-9-3953333---2568686--13214859---272-363-36335-302939140443436-045641--2873693191631,14597297242-27-274040333--17,87117,87117,871--0------129----03,8313,9311870766893894-9-1,943-354-428-3782,3662,5771,7762393,166-1,228-1,557126-436-2-109-591,5871,2241,8761,0812,0129981,1815191,5326111,2165330
11282-788-66-8-209-31-6-161,760139-25-42,2084262901641,781575452266-778-1008371,0764761,7351,3881311,4749208785985036705552322,2921,918400-213-576-356-125-3831,705-252-1070-1,185-128-115-207-3,892---49---2,057----6-339-300-0-2,113001-3700-472219229242039380-21-2813504900000000
500-7,4473,0672,5941,4021,583-1,726-2,614-3,0384,9114,3872,9311,9054,6364,4011,5142,25211,7459,0443,0691,884-2,1136,6102,1712,40815,2596,9523,9353,0076,2895,0133,6142,7044,6042,9622,3761,9812,1241,5701,1892365951,1191,01413517,72216,04116,028224-4241,197965346-3,9362433281592813,126-44455-92809608314-6,794-2201,050-8921,5641,6031,370769337-2,852-2,5145-7,076-2,496-1,835-6234581539484551,6561,2923,4181,3163,0899562,2591,4151,230
638-10,9101,4291,1851,082911-2,479-2,742-2,6773,3852,9211,9407555,9914,9271,6561,26011,1079,0742,7582,3471,6326,0472,1322,23514,9147,0594,0263,0076,2245,1053,7062,7214,1142,9312,3391,9781,8581,6021,2142931,23289294426016,19915,36915,358223-6301,212980346-3,8185794262365683,477-228122-247884944234-6,026-934357-8691,11794564330550-2,696-2,41258-6,904-2,445-1,835-6234581546001561,5751,2103,0271,1822,9638122,2591,4151,230
484-10,9031,5399531,165773-4,256-3,347-2,850971,7061,0735743,4854,0941,2201,0367,5358,6732,4392,1632,7996,2801,3981,58315,4716,0993,2153,0395,6144,2692,8372,1333,8462,0121,4001,877702--1,020--2,281--1,274--1,202---1,372--1,960--1,09507890522---8920-292---783--32---3,98503810-7000-1,2460-4,1960-3,0080-3,939-2,267-1,714---772-898-825-5191,526----------------
84457,91925,04934910,44938,66430,35812,7538,18321,33817,19918,0398,90917,2702,0804,2783,22738,18318,02011,2762,824-6,855-9,454-4,790-15,30016,120-5,579-5,574-10,283-3,384-1,501-6,420-10,16810,748-11,769-10,638-3,1674,0902,300-4,488-2,7382,5691,3864,390-1,9131,037-2,728-2,0401,7958,7939,3556,5071,6631,4911,0152,0493,511-1,454-4,403-4,599-1,35826-3,246-2,492-3,042-3,9041,183-357-1,4303,291-2,456-3,876-3,205-31-199255228-6,106---350--6,4241,839-5,395-1,843-3,187--1,970------------
-4,81117,449-1,5201,1583,155-1,606-3,280-742-2,606-27,811-26,282-23,424-25,0774,148-19,0362,371-10,9422,491-5,38914,880-3,689-28,546-25,980-17,343-17,021-24,837-31,100-28,516-10,86862,016-14,793-10,317-10,70419,14112,96719,281-2,043-8784,541-956-965-936-1,1443992,913-2,176-2,870-1,476756,422497-121,033-101-7358491,057620484624394-5,926---2,973--4,229-49-518-98061728-1,0271,810-43009920-10,393---3,099--886-3,046-3,674-7,37714,327---2,604------------
491,705509,723522,219545,241524,331521,412509,607518,433517,961529,904522,188520,153518,128539,971517,969508,887498,564504,678369,789353,188320,915311,570317,891304,001299,204282,475267,402260,173236,933232,860143,313137,283143,726145,907139,037139,22698,10195,376103,255110,41385,41182,33281,21980,91885,86283,47083,77980,20081,97580,40968,24766,22967,58266,38969,19568,95067,72570,60284,01584,63779,89766,87766,82968,49876,76776,21396,09194,84567,05368,70558,89657,76464,98356,22859,75557,20557,06451,50952,45150,52651,54953,47659,65774,26268,07777,60051,81947,55445,17240,96830,76520,36117,93215,427
210,516211,781214,235248,711234,333231,116217,666228,774222,719218,157216,526212,985211,762247,709231,845229,672222,389237,576174,091147,193119,562121,306160,959144,498141,751139,152136,857134,054137,133137,38962,08054,74363,66965,00471,67371,72434,25931,85344,95236,53032,66129,25727,67127,54233,89531,70234,05831,64733,23231,17523,18321,81629,20327,84328,57128,21426,91629,64644,14736,20035,81841,436--40,372--38,62745,35643,06429,28530,72632,33431,88537,60329,695027,133--026,279--34,72737,100000032,03230,37931,88629,05421,23114,76413,59511,902
225,092243,287243,045266,074245,819244,056234,090241,714239,812245,950237,193235,861234,340257,180241,617235,176224,461232,787152,244167,551136,698129,353133,619124,079117,250108,70196,82493,12347,53151,81656,17651,54557,26662,15056,62657,13461,36760,69069,04480,80156,64153,79852,73352,34057,98155,74451,15547,58867,89866,55653,50051,71552,62951,78350,70548,77347,72950,76554,62258,80255,31443,542--46,958--55,28263,16260,57939,31540,07530,37929,51036,54428,967--30,971--24,46620,97619,58919,40120,70226,886--30,91240,66222,56719,51217,17416,8538,8009,82410,0458,564
162,492187,721184,207219,074219,988230,888219,441213,207177,261182,904172,394177,006203,399231,993220,221221,244180,054184,71399,236111,418103,780104,406106,450106,80799,61691,06470,92667,22146,94651,23146,83542,20447,86052,74444,79145,29948,29047,61456,55066,26649,04746,20441,87241,46346,72844,53937,02433,45853,72552,58338,10436,35947,17946,54348,35446,50745,04548,17052,17956,35953,31443,542--46,958--55,28258,91256,32938,73239,46928,23927,34431,35226,747027,102--018,626--18,46118,962000013,15516,9008,45311,1324,3117,3347,5525,378
262,191261,552273,891273,830273,729272,647269,258270,643272,195275,686275,006274,617273,650272,896262,464261,149260,423258,834203,875176,618176,136173,719178,531174,353176,078173,605170,412166,881189,231180,87086,94385,54386,07983,35882,17581,85236,49834,45333,93031,48530,92430,63130,29130,34329,67829,39932,59732,58514,05113,82814,48314,25114,68814,34218,48218,45318,26318,02727,70123,99822,58622,16624,49820,46420,19220,03527,60028,93827,08227,95127,17926,87726,26426,23423,01023,29325,76325,68330,32630,93632,14832,77132,76835,50336,11435,95828,35227,14225,29724,11521,96510,5377,8866,863
0.24-4.090.520.430.400.33-0.90-1.00-0.981.231.060.710.282.301.890.640.496.365.091.571.340.943.421.221.287.713.672.121.656.145.944.333.215.365.754.705.585.834.843.930.954.112.993.350.9379.2471.4476.801.59-4.45--7.120.00-23.690.002.34--3.180.00-0.94---1.25--4.60---25.510.001.260.004.150.002.420.002.120.00-9.850.00-23.70--0.00--1.380.471.650.005.63--11.15------------

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(%) 0.06-2.130.350.340.220.02
主营业务利润率(%) 17.2717.7420.4520.1418.7418.78
总资产净利润率(%) 0.05-2.110.350.340.220.02
成本费用利润率(%) 0.74-1.841.131.491.710.41
营业利润率(%) 0.72-1.921.401.511.680.47
主营业务成本率(%) 82.3281.7579.0579.3780.8180.71
销售净利率(%) 0.40-2.700.671.031.370.03
净资产收益率(%) 0.24-4.170.520.430.400.33
股本报酬率(%) 0.3762.132.4675.701.5568.06
净资产报酬率(%) 0.1017.350.6620.170.4118.26
资产报酬率(%) 0.069.070.3510.330.229.71
销售毛利率(%) ------------
三项费用比重(%) 16.3118.2119.1718.5316.5318.15
非主营比重(%) 0.431.51-24.63-1.29-0.56-29.35
主营利润比重(%) 2,352.27-958.841,838.011,371.401,123.694,555.64

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(%) 1.301.131.161.141.071.00
速动比率(%) 0.990.880.810.820.760.69
现金比率(%) 17.3417.848.2610.8011.409.31
利息支付倍数(%) 124.3529.83137.66146.03150.81113.60
资产负债率(%) 45.7847.7346.5448.8046.8846.81
长期债务与营运资金比率(%) 1.192.091.791.431.4736.00
股东权益比率(%) 54.2252.2753.4651.2053.1253.19
长期负债比率(%) 11.639.8510.307.774.011.58
股东权益与固定资产比率(%) --255.46--265.03--254.71
负债与所有者权益比率(%) 84.4391.3187.0695.3188.2687.99
长期资产与长期资金比率(%) 86.8494.0992.4992.2296.82101.65
资本化比率(%) 17.6615.8616.1613.187.022.88
固定资产净值率(%) --64.63--65.91--68.30
资本固定化比率(%) 105.47111.82110.32106.22104.12104.67
产权比率(%) 82.4089.3085.2693.6586.5386.21
清算价值比率(%) 210.68202.05201.31194.78202.58202.92
固定资产比重(%) --20.46--19.32--20.88

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(%) -19.034.7914.7920.1449.03-14.18
净利润增长率(%) -76.41-11,266.13-------93.03
净资产增长率(%) -4.27-3.941.330.880.13-2.32
总资产增长率(%) -6.22-2.242.475.171.23-1.60

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) 1.045.293.351.981.024.42
应收账款周转天数(天) 86.1868.0380.5291.0488.0981.40
存货周转率(次) 1.185.633.191.990.995.34
固定资产周转率(次) --3.78--1.65--3.36
总资产周转率(次) 0.140.780.530.330.160.73
存货周转天数(天) 76.4863.9884.7390.3891.0667.39
总资产周转天数(天) 662.25461.12511.07543.64559.70492.68
流动资产周转率(次) 0.321.821.240.740.361.71
流动资产周转天数(天) 279.16198.07218.11244.53249.17210.55
经营现金净流量对销售收入比率(%) 0.010.140.090.000.120.10
资产的经营现金流量回报率(%) 0.000.110.050.000.020.07
经营现金净流量与净利润的比率(%) 3.10--13.660.199.04397.61
经营现金净流量对负债比率(%) 0.000.240.100.000.040.16
现金流量比率(%) 0.5230.8513.600.164.7516.75
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