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 首页 > 主力数据 > 经营分析 >*ST实达600734业绩报表分析

*ST实达(600734) 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(%)
2022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302005-03-312004-12-312004-09-302004-06-302004-03-312003-12-312003-09-302003-06-302003-03-312002-12-312002-09-302002-06-302002-03-312001-12-312001-09-302001-06-302000-12-312000-06-301999-12-311999-06-301998-12-311998-06-301997-12-311997-06-301996-12-311996-06-301995-12-311994-12-311993-12-31
-0.05-0.07-0.011.11-0.38-0.34-0.12-0.95-0.58-0.34-0.10-4.90-0.45-0.29-0.06-0.430.200.16-0.050.300.130.080.000.370.280.220.100.44-0.09-0.06-0.04-0.11-0.10-0.07-0.030.02-0.08-0.06-0.04-0.11-0.04-0.01-0.040.400.12-0.06-0.050.08-0.15-0.10-0.070.33-0.060.01-0.040.37-0.05-0.04-0.070.180.03-0.06-0.03------------------------------------------------------------------------
----------------------------------------------------------------------------0.41--0.520.550.570.600.480.330.330.540.200.260.360.37-0.020.060.010.04-0.35-0.34-0.35-0.30-0.47-0.53-0.51-0.380.500.570.490.591.001.071.171.231.361.451.631.721.571.641.731.731.701.681.651.651.541.541.512.052.232.182.132.041.871.462.191.731.34----
----------------------------------------------------------------------------0.66---0.14-0.16-0.04-0.39-0.19-0.100.160.450.440.080.060.360.040.50-0.080.350.090.02-0.110.01-0.10-0.12-0.100.080.00--0.000.400.000.000.00-0.670.000.000.00-0.220.000.000.000.290.00-0.24---0.09---0.63-0.19-0.27-0.15--0.32----------0.00----
18,3149,83435492,18267,58445,00021,204115,14786,65842,20712,638155,699207,058182,36936,542675,957402,078277,532113,267647,445376,813250,945131,542423,299226,42971,22031031,0347,6475,4921,96919,5031,3631,00955711,0833,0422,3941,59113,5454,1602,9801,814113,56686,29534,7638,772136,47642,30828,23012,801126,90561,97942,44618,720133,87742,14528,05511,98557,34737,19821,8007,77447,78731,34821,95410,32779,83567,64053,57222,415158,931107,98870,11534,083229,088163,626104,16846,950232,498157,57391,44642,698289,686215,757145,649320,161133,916237,10890,689190,623111,155161,87263,847120,62633,07354,08626,09526,416
4,7259282437,6616,3583,7242,3459,5727,7434,2711,253-5037,3446,0092,22462,16740,36328,1727,47759,27234,65123,5709,24430,97415,4624,9901955,7242,0071,5555095,4154693902901,3848917714341,7711,5541,15472932,87625,0588,0011,63128,8474,7133,6661,39024,58510,4838,6573,75124,7296,5044,2231,88010,2566,1133,9551,3808,7455,6623,5521,42717,97912,0128,1603,11823,34313,6868,2222,82428,83218,02512,1956,16137,10325,38715,3747,15749,08632,62521,20739,02516,06141,48115,91932,15520,56912,1566,0218,4053,4935,5903,5541,498
-9,057-11,389-1,63674,097-23,683-21,464-7,409-58,546-35,000-21,435-7,666-309,502-36,199-22,335-4,657-21,23815,73612,918-3,55821,6608,3995,520-7818,82013,0369,1413,58614,860-4,889-3,196-2,023-7,400-7,811-5,650-1,332-1,860-4,177-2,974-1,833-7,616-2,140-786-1,37217,81011,458-928-2,3148,390-8,726-5,894-3,0566,848-4,432-323-1605,791-4,343-2,981-2,548-327-694-2,752-1,265-29,289-7,863-5,073-3,924-10,886-9,120-6,347-3,324-18,837-11,111-8,037-4,604-7,739-6,144-4,195-1,3332,3041,5117124515,4994,2613,269-21,695-8,059-4,5271,4757,6715,10913,12608,7193,5535,7293,7572,886
2,938807756248,652344832553335218379563335539121775577613027,4887,4837,4884,06019,280--------------2,694148-101-2393881,9181,686-3738,45222434----------2323-----2,091-13-13-213,4471,1021,4391,248-1,3829286433-994-297-21869-1,264-4371368409,5081,5811,5541,634911747950-4061,683-392-650-2,2781,514-3923974209951,502187561,486000
-138-120-36-10,927-1,780-1,111-412-5,721-4,051-2,511-17241,357-30-21-6083-0-1-4111,2173622241,7931,010370-430-295-228-78397550644-222448-152-4218943-103-5-54,5622,034163563,17598581217712,6483,4163,02885----------1,927--234-7,4340--0-18,648000-632000-299-530-6-170-80-590-23900231024500001,022000----
-9,195-11,509-1,67263,170-25,464-22,575-7,821-64,266-39,051-23,946-7,667-308,779-34,843-22,365-4,678-21,29815,82012,918-3,55821,2499,6165,88214620,61314,0469,1783,58614,429-5,184-3,424-2,101-7,003-7,261-5,007-1,553-1,412-4,329-3,016-1,815-6,672-2,242-791-1,37722,37213,491-765-2,25811,565-7,741-5,082-2,87819,496-1,0162,705-7417,099-1,501-1,414-2,5146,5711,233-1,981-1,031-37,670-6,813-4,266-3,722-30,166-9,288-6,343-2,435-20,731-14,570-10,609-3,7641,470-4,616-2,6462953,0922,1781,603398,0433,7162,480-23,742-6,156-3,0352,61211,1506,75016,3217,44010,5044,2986,0153,7052,886
-8,789-11,362-1,47468,993-23,609-21,361-7,292-59,114-35,956-21,308-6,322-305,139-27,889-17,857-3,524-26,71612,4479,859-3,05818,6718,3795,22116518,37512,6178,6253,58715,482-3,227-2,159-1,342-3,957-3,569-2,292-959732-2,673-1,977-1,261-3,950-1,232-355-1,30113,9694,131-1,988-1,8792,668-5,216-3,622-2,33211,516-2,218496-1,28813,003-1,642-1,505-2,5446,3671,104-1,986-1,010-24,679-5,180-3,276-2,547-28,073-6,016-3,795-1,885-9,532-9,452-7,609-2,6122,273-4,649-2,910752,1001,7801,2791605,1301,8841,155-25,211-6,249-5,4971,4408,4875,54811,8885,9099,1723,9355,0883,2102,645
-12,870-13,329-2,186-171,603-24,259-21,401-8,174-55,429-33,467-19,876-6,905-307,946-29,947-20,814-4,536-33,1016,0524,135-3,53016,9126,6684,891-349,5154,3321,100-473-3,581-3,080-2,046-1,302-4,758-4,443-3,200---2,079-2,612-1,964---7,201---2,504--1,677---2,037--67---4,177--398---2,49904400-2,868---7,1010-3,843---17,1980-3,9560-8,8980-3,8140-9,2060-5,6090-7,0780-4,2850776669146--3,487--1,327-25,404-8,371-7,624--------------0----
798-1,959-2,328-3,7727,983-3,923-3,171-6,740-11,152-11,413-9,613-18,728-28,656-13,108-4,695-24,611-40,732-44,910-52,787-29,344-14,724-20,896-1,93012,139-17,041-766-49110,435-5,346-2,666-4,078-28,298-14,652-10,346-8,714-3,809-62223,62723,087-4,356-4,771-5,689-1,256-13,673-6,762-3,6375,53315,96015,5592,8002,10812,7131,48317,467-2,73812,2893,324659-3,871303-3,406-4,370-3,4602,8844,5484,197-2,43613,9742,2701,6621,435-23,659-23,140-27,497-9,792-7,858-18,272-18,605-38,29110,1070-8,551---3,299---22,033-6,617-9,521-5,341--10,427----------0----
-66,382-69,011-56,23885,2519,058-2,750-2,954-12,927-16,342-15,742-11,6088,514-6,5403,352-3,737-77,528-72,162-63,634-56,48120,459-37,815-35,707-15,20050,37753,93253,2664,42514,437-1,086-1,467-1,037306-1,023-7031,5242692,2175878-15,381-15,044-4,221-2,795-33,357-20,999-33,058-17,01725,29326,33923,79824,73014,7789,73010,032-5,337-191-2,210-4,768-4,529393-4,234-3,888-1,378-1,635-5,876-6,176-6,326-5,816-10,895-10,641-9,152-31,681-35,548-33,309-5,694-23,162-24,515-15,870-39,09325,6490-12,521---12,542---22,85215,607-14,36410,305---8,881----------0----
90,62783,810104,340162,663207,488210,328217,893219,867232,415236,644239,161262,216553,632550,857701,775733,659678,419739,889840,366822,512582,773595,261640,958712,346655,336527,36540,93536,736172,810159,238157,121157,569142,531140,743126,129120,149118,972111,273106,378106,335108,720121,429129,583127,125162,992161,531176,722193,035210,954201,093184,712150,311149,562135,161130,780136,98265,34365,50975,22777,10187,99984,98178,19489,572106,664110,061111,344121,453140,054148,708156,424173,525188,770199,191205,834214,088211,499210,148197,395207,120190,550160,598161,952168,213160,705174,385177,774178,856191,948177,354156,468145,424144,689106,05689,61150,12041,97525,63019,838
48,47042,75671,207124,146125,653120,107125,708123,982133,363136,109136,861159,571349,692347,061501,267532,721429,075481,635590,714575,206365,191377,528423,754494,394496,614369,00031,51527,049157,907144,243142,673143,121127,530125,632111,330105,697103,20995,89491,20291,01691,735104,876111,007108,305144,613139,270154,033170,450191,361181,687166,000134,137129,941115,77996,476102,56636,82736,54041,47742,87741,16857,47747,37458,67371,95775,29479,84289,568104,380110,342115,572132,735147,354156,769161,191169,078168,187168,991--------127,451--134,4960147,72400142,064118,903118,394122,76587,63074,72739,26532,48721,66717,882
54,15249,85060,301117,150347,089338,946332,268327,029312,466306,497294,537309,452321,750307,467444,261472,640378,286442,484556,017535,033305,569317,407368,207458,440429,409305,43010,15210,892166,856151,531148,097146,446131,538127,497109,432101,897102,93893,93087,85485,94183,82290,08996,95893,063130,357138,855155,013150,717186,779173,779151,386116,219132,936115,857113,673119,21975,43277,46387,49887,563104,445103,46595,978102,82188,82089,88693,555100,028105,974111,904116,413131,105139,866146,326146,128150,665153,501149,154133,116144,410130,186100,536101,472107,715--115,307120,304100,986105,40097,58678,21773,00773,15758,13242,29331,12327,21117,35914,174
46,21942,95454,677111,510340,630332,363325,149319,578304,331298,741286,215300,961311,740296,942430,508458,341304,407368,150483,295461,806289,435303,119350,923440,953409,346285,25610,13710,877143,149147,824144,390106,03971,13167,08949,02578,19078,30689,29783,22164,60861,44167,70869,57746,38281,176100,679111,772107,476136,801123,800108,44492,507102,51887,74778,02083,41861,44963,27771,44471,31185,32280,87972,401102,82188,82089,88693,555100,028105,974111,904116,413131,105135,866128,326122,128126,665125,551121,204--------101,392--98,8620119,0500094,57678,06171,78971,25157,60641,77430,70726,47417,0239,087
36,47533,96044,03945,513-139,601-128,636-114,375-107,161-80,021-69,826-55,348-47,228231,881243,390257,514261,019300,133297,405284,349287,478277,205277,335272,286253,388225,928221,93530,78327,1968,4889,55610,37211,71412,10313,37914,71215,67112,82013,50914,24415,51718,29519,18920,00321,24016,76811,54111,57219,0317,1119,22312,74113,063-6702,0452601,549-12,135-12,098-12,405-10,596-16,568-18,543-17,891-13,39917,57519,88117,12220,69635,20137,56141,05943,22047,84950,99457,22060,56155,03357,76460,71160,65659,63159,12958,00257,84354,26553,98953,14972,22578,47570,84269,40366,46560,90542,77942,72617,28413,3617,7975,275
-21.38-28.52-3.29----------------0.00-11.30-7.08-1.36-9.744.243.37-1.076.673.061.920.0612.6410.8313.7712.3779.58-31.95-20.30-12.15-28.90-25.70-15.78--4.61-18.87-13.62-8.47-21.49-6.23-1.76-6.3169.3823.08-13.01-16.2416.32-51.71-32.50-18.08157.62--27.620.00934.330.000.00----0.000.00--0.000.00-17.190.00-96.190.00-9.180.00-17.080.00-13.410.003.740.00-4.910.003.573.032.19--9.34--2.16--0.000.00--13.02--------0.000.00----

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

2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-31
总资产利润率(%) -13.56-1.4142.44-11.36-10.15-3.35
主营业务利润率(%) 9.4468.638.319.418.2811.06
总资产净利润率(%) -9.22-1.1036.09-11.03-9.92-3.33
成本费用利润率(%) -90.91-76.7652.47-28.49-37.95-27.82
营业利润率(%) -115.82-462.1380.38-35.04-47.70-34.94
主营业务成本率(%) 88.2024.2490.8089.7590.8888.09
销售净利率(%) -115.54-416.3474.88-34.88-47.43-34.39
净资产收益率(%) -33.46-3.35151.59------
股本报酬率(%) -3.56-0.68116.34-37.88-4.59-11.72
净资产报酬率(%) -22.84-3.35159.09------
资产报酬率(%) -9.25-1.4144.51-11.36-1.36-3.35
销售毛利率(%) ------------
三项费用比重(%) 38.18583.7538.9141.6540.4843.65
非主营比重(%) -5.97-43.07376.326.864.714.86
主营利润比重(%) -8.07-14.5412.13-24.97-16.49-29.99

偿还能力

流动比率

流动比率

资产负债率

资产负债率

2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-31
流动比率(%) 1.001.301.110.370.360.39
速动比率(%) 0.921.131.040.310.300.32
现金比率(%) 74.9681.8188.806.703.563.04
利息支付倍数(%) -1,682.88-561.82465.14-35.82-88.20-32.32
资产负债率(%) 59.4857.7972.02167.28161.15152.49
长期债务与营运资金比率(%) ------------
股东权益比率(%) 40.5242.2127.98-67.28-61.15-52.49
长期负债比率(%) ------------
股东权益与固定资产比率(%) 786.40--1,074.72---615.28--
负债与所有者权益比率(%) 146.79136.93257.40-248.63-263.53-290.51
长期资产与长期资金比率(%) ------------
资本化比率(%) ------------
固定资产净值率(%) 54.50--55.62--53.07--
资本固定化比率(%) 120.8975.2484.63-58.62-70.15-80.60
产权比率(%) 126.48124.15245.00-244.00-258.41-284.28
清算价值比率(%) ------------
固定资产比重(%) 5.15--2.60--9.94--

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    

2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-31
主营业务收入增长率(%) -78.15-98.33-19.94-22.016.6267.77
净利润增长率(%) ------------
净资产增长率(%) ------------
总资产增长率(%) -60.15-52.11-26.02-10.73-11.12-8.89

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)

2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-31
应收账款周转率(次) 1.700.063.431.601.030.46
应收账款周转天数(天) 106.031,502.50105.05168.78174.52195.99
存货周转率(次) 1.450.015.693.021.990.88
固定资产周转率(次) 2.30--6.88--2.07--
总资产周转率(次) 0.080.000.480.320.210.10
存货周转天数(天) 124.409,375.0063.2989.4790.57102.77
总资产周转天数(天) 2,255.6433,333.33746.89853.62860.42928.79
流动资产周转率(次) 0.120.000.740.540.370.17
流动资产周转天数(天) 1,528.0125,000.00484.52498.62488.20530.04
经营现金净流量对销售收入比率(%) -0.20-6.57-0.040.12-0.09-0.15
资产的经营现金流量回报率(%) -0.02-0.02-0.020.04-0.02-0.01
经营现金净流量与净利润的比率(%) -----0.05------
经营现金净流量对负债比率(%) -0.04-0.04-0.030.02-0.01-0.01
现金流量比率(%) -4.56-4.26-3.382.34-1.18-0.98
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