*监测到屏幕较小, 推荐使用横屏
*除每股数值,比率,百分比,人数,日期,其他数据单位均为百万;数据的货币单位均为当地股票的交易货币单位;每股数据和流通股数都已做过拆股调整;由于会计制度标准不统一,部分缺失的数据可能会显示为空,但不代表其数值本身为0,请注意分辨核对;如果某行所有历史数据都为空,该行自动隐藏
每股指标年度季度
趋势2019-122020-122021-122022-122023-12TTM2022-122023-032023-062023-092023-12
每股收入limit0.841.651.601.831.830.410.470.420.490.45
每股税息折旧及摊销前利润limit0.08-3.40-0.530.030.04-0.10-0.020.050.05-0.04
每股息税前利润limit-0.12-3.77-0.85-0.32-0.30-0.17-0.11-0.04-0.04-0.12
稀释每股收益limit-0.35-3.79-0.85-0.38-0.38-0.63-0.12-0.05-0.06-0.15
扣非每股收益limit-0.17-3.54-0.85-0.33-0.33-0.37-0.11-0.05-0.04-0.13
巴菲特所有者每股收益(TTM)limit--------------------
每股自由现金流limit-0.01-0.61-0.24-0.15-0.18-0.04-0.14-0.08--0.04
每股经营现金流limit0.10-0.40-0.020.070.040.01-0.09-0.020.070.09
每股现金limit0.071.150.600.480.480.600.450.430.440.48
每股股息limit--------------------
每股账面价值limit-0.783.652.802.742.742.802.862.882.762.74
每股有形账面价值limit-2.540.870.570.560.560.570.630.630.620.56
每股总债务limit0.52--0.100.070.070.100.070.060.070.07
月末股价limit--7.603.576.185.193.574.986.195.336.18
财务比率年度季度
趋势2019-122020-122021-122022-122023-12TTM2022-122023-032023-062023-092023-12
股本回报率 ROE %limit---209.18-28.31-14.88-14.63-88.86-17.20-6.89-7.88-26.74
股本回报率 ROE %/市净率limit---100.40-22.23-6.60-7.74-69.76-9.86-3.21-4.09-11.86
资产收益率 ROA %limit-7.92-92.76-21.88-11.04-11.11-67.78-13.15-5.40-6.03-19.87
有形股本回报率 %limit-----126.92-72.79-67.99-390.38-80.69-31.25-35.46-124.23
有形资产收益率 %limit-46.08-278.76-54.74-26.97-27.51-164.98-33.01-13.84-14.88-47.69
乔尔·格林布拉特资本回报率 %limit-418.07-6,182.17-1,076.18-378.14-379.84-1,126.02-460.10-159.16-173.44-715.58
已动用资本回报率 %limit-6.60-115.61-27.20-11.99-11.84-29.34-14.62-4.76-5.30-22.89
5年留存收益回报率 RORE %limit--------------------
资本回报率 %limit-6.03-109.61-29.24-12.59-12.69-29.65-15.03-7.64-5.92-22.77
加权平均资本成本 WACC %limit9.486.889.539.7615.419.539.5210.3110.339.76
实际借款利率 %limit9.487.1613.94--1.278.03--5.85----
毛利率 %limit23.82-81.240.8416.7116.713.029.8028.4123.878.27
营业利润率 %limit-13.60-213.30-53.13-17.35-17.35-41.08-22.83-8.46-7.92-26.78
净利率 %limit-20.27-225.61-53.26-20.71-20.71-121.24-25.89-11.86-11.42-30.24
税息折旧及摊销前利润率 %limit9.60-206.20-33.211.371.37-25.40-5.0311.959.77-7.69
自由现金流利润率 %limit-1.14-36.79-14.96-8.30-8.30-10.11-29.96-18.480.308.34
债务股本比率limit-0.670.000.040.030.030.040.020.020.030.03
股东权益比率limit-0.360.800.750.740.740.750.780.780.750.74
资产有息负债率limit0.24--0.030.020.020.030.020.020.020.02
资产负债率limit1.360.200.250.260.260.250.220.220.250.26
毛利润/总资产 %limit9.31-33.400.358.918.971.694.9812.9312.615.44
资产周转率limit0.390.410.410.530.540.140.130.110.130.16
应收账款周转天数limit52.5951.1243.9946.1647.3129.4534.2953.3455.3947.63
应付账款周转天数limit37.4411.4928.6048.0238.0228.4828.3432.9939.6539.53
存货周转天数limit1.060.350.440.330.380.290.320.550.480.29
现金循环周期limit16.2239.9815.82-1.529.671.266.2620.9016.228.38
存货周转率limit343.061,041.94831.901,091.97971.67316.26289.43165.35189.59317.43
营业成本/收入 %limit0.761.810.990.830.830.970.900.720.760.92
存货/收入limit--------------------
资本开支/收入limit0.130.130.140.120.120.120.110.140.130.11
资本开支/营业利润limit--------------------
资本开支/经营现金流limit1.10----3.303.307.35----0.980.56
合并利润表年度季度
趋势2019-122020-122021-122022-122023-12TTM2022-122023-032023-062023-092023-12
营业收入limit149.70262.70341.00413.00413.00105.3097.2086.80101.70127.20
营业成本limit114.10476.20338.20344.00344.00102.2087.7062.2077.40116.70
毛利润limit35.70-213.402.9069.0069.003.209.5024.7024.3010.50
毛利率 %limit23.82-81.240.8416.7116.713.029.8028.4123.878.27
销售及行政开支limit44.80320.50154.20114.60114.6039.8025.5026.2026.2036.70
研发费用limit11.2026.5029.9026.1026.106.706.305.806.107.90
其他营业成本limit--------------------
总营业成本limit56.00347.00184.10140.70140.7046.5031.7032.0032.3044.60
营业利润limit-20.40-560.40-181.20-71.70-71.70-43.30-22.20-7.30-8.10-34.10
营业利润率 %limit-13.60-213.30-53.13-17.35-17.35-41.08-22.83-8.46-7.92-26.78
利息收入limit------2.000.40--0.40------
利息支出limit-7.90-3.30-1.50---0.20-0.40---0.20----
净利息收入limit-7.90-3.30-1.502.002.00-0.400.40-0.201.200.60
其他收入(支出)limit-0.30-40.70-0.60-13.60-13.60-84.20-3.000.60-5.10-6.10
利润总额limit-28.50-604.50-183.30-83.30-83.30-127.80-24.80-6.90-12.00-39.60
所得税费用limit-1.8011.70-1.70-5.30-5.30-1.00-0.60-4.00-1.200.40
税率 %limit-6.351.94-0.94-6.41-6.41-0.76-2.61-56.99-9.731.07
持续经营净利润limit-30.30-592.80-181.60-85.50-85.50-127.70-25.20-10.30-11.60-38.50
终止经营净利润limit--------------------
其他收入(少数股东权益)limit--------------------
归属于母公司股东的净利润limit-30.30-592.80-181.60-85.50-85.50-127.70-25.20-10.30-11.60-38.50
净利率 %limit-20.27-225.61-53.26-20.71-20.71-121.24-25.89-11.86-11.42-30.24
优先股股利limit--------------------
基本每股收益limit-0.35-3.79-0.85-0.38-0.38-0.63-0.12-0.05-0.06-0.15
稀释每股收益limit-0.35-3.79-0.85-0.38-0.38-0.63-0.12-0.05-0.06-0.15
发行在外的稀释性潜在普通股平均股数limit178.6159.4213.4225.9280.0259.3206.2208.5208.8280.0
息税前利润limit-20.70-601.10-181.80-71.70-71.70-43.90-22.20-7.30-8.10-34.10
折旧、损耗和摊销limit35.0059.4068.5077.3077.3017.1017.3017.7018.0024.30
税息折旧及摊销前利润limit14.40-541.80-113.305.605.60-26.80-4.9010.409.90-9.80
税息折旧及摊销前利润率 %limit9.60-206.20-33.211.371.37-25.40-5.0311.959.77-7.69
合并资产负债表年度季度
趋势2019-122020-122021-122022-122023-12TTM2022-122023-032023-062023-092023-12
货币资金和现金等价物limit11.80222.40122.70100.30100.30122.7094.4089.8092.00100.30
短期证券limit--------------------
货币资金、现金等价物、及短期证券limit11.80222.40122.70100.30100.30122.7094.4089.8092.00100.30
应收账款limit24.8048.8033.4071.1071.1033.4039.7061.8061.7071.10
应收票据limit4.70------------------
应收贷款limit--------------------
其他流动应收款项limit13.5028.5039.8045.8045.8039.8042.7037.5044.0045.80
应收账款总额limit43.0077.3073.20116.90116.9073.2082.4099.30105.60116.90
原材料limit--------------------
在产品limit--------------------
存货调整limit--------------------
库存商品limit--------------------
其他存货limit0.400.500.300.300.300.300.300.400.400.30
存货limit0.400.500.300.300.300.300.300.400.400.30
其他流动资产limit6.2024.4040.3027.2027.2040.3041.3032.7050.0027.20
流动资产合计limit61.30324.70236.50244.80244.80236.50218.40222.20248.10244.80
非流动投资limit----23.7026.4026.4023.7023.0024.0024.7026.40
土地limit--------------------
房屋及建筑物修缮limit2.402.502.201.901.902.20------1.90
机器、家具和设备limit1.701.801.602.102.101.60------2.10
在建工程limit--------------------
其他固定资产、无形资产和其他长期资产limit9.7020.6029.6033.8033.8029.6019.3017.7019.5033.80
固定资产、无形资产和其他长期资产总值limit13.9024.9033.4037.8037.8033.4019.3017.7019.5037.80
累计折旧limit-8.90-10.40-14.10-19.30-19.30-14.10-------19.30
固定资产、无形资产和其他长期资产净额limit5.0014.4019.3018.6018.6019.3019.3017.7019.5018.60
无形资产limit315.20537.60459.10455.70455.70459.10462.00469.50447.20455.70
商誉limit200.60346.40309.90326.00326.00309.90316.10324.60312.40326.00
其他非流动资产limit9.5010.3034.7030.3030.3034.7035.1035.4032.8030.30
非流动资产合计limit329.70562.40536.80530.90530.90536.80539.50546.60524.10530.90
资产总计limit391.00887.10773.30775.70775.70773.30757.90768.80772.20775.70
应付票据及应付账款limit10.1019.9033.1057.4057.4033.1021.4023.6043.7057.40
应交税费limit--------------------
其他应付账款limit3.602.803.703.003.003.704.003.202.603.00
应交税费和其他应付款limit35.2055.9057.0056.3056.3057.0060.2059.7066.0056.30
应付票据及应付账款、应交税费和其他应付款limit48.9078.6093.70116.80116.8093.7085.6086.50112.40116.80
短期借款limit10.30--7.407.607.607.407.207.407.307.60
短期资本化租赁债务limit----3.503.603.603.503.303.103.403.60
短期借款和资本化租赁债务limit10.30--10.9011.2011.2010.9010.5010.5010.7011.20
流动递延收益负债limit26.0029.9041.3044.3044.3041.3035.4041.6041.3044.30
流动递延所得税负债limit--------------------
流动递延所得税和收益负债limit26.0035.5048.9050.5050.5048.9043.9046.7047.0050.50
其他流动负债limit0.1038.6017.704.404.4017.704.705.104.704.40
流动负债合计limit85.30152.80171.10182.90182.90171.10144.80148.80174.70182.90
长期借款limit82.700.107.10----7.10--------
长期资本租赁负债limit----3.303.503.503.303.602.904.203.50
长期借款和资本化租赁债务limit82.700.1010.403.503.5010.403.703.004.203.50
债务股本比率limit-0.670.000.040.030.030.040.020.020.030.03
养老金和退休福利limit--------------------
非流动递延负债limit8.1021.5015.0015.9015.9015.0015.5015.8015.8015.90
其他非流动负债limit354.306.50--0.400.40--------0.40
非流动负债合计limit445.1028.1025.4019.8019.8025.4019.2018.7020.0019.80
负债合计limit530.40180.90196.50202.70202.70196.50164.00167.50194.80202.70
普通股limit0.701.902.002.102.102.002.102.102.102.10
优先股limit--------------------
留存收益limit-153.20-757.30-939.00-1,024.50-1,024.50-939.00-964.10-974.40-986.00-1,024.50
累计其他综合收益(亏损)limit11.40-0.20-55.20-33.10-33.10-55.20-46.20-33.90-51.10-33.10
资本公积limit1.701,461.701,568.901,646.101,646.101,568.901,619.801,625.101,630.101,646.10
库存股limit-------17.70-17.70---17.70-17.70-17.70-17.70
其他所有者权益limit--------------------
归属于母公司所有者权益合计limit-139.40706.20576.80573.00573.00576.80593.90601.30577.40573.00
少数股东权益limit--------------------
所有者权益合计limit-139.40706.20576.80573.00573.00576.80593.90601.30577.40573.00
股东权益比率limit-0.360.800.750.740.740.750.780.780.750.74
合并现金流量表年度季度
趋势2019-122020-122021-122022-122023-12TTM2022-122023-032023-062023-092023-12
来自持续经营收益的净利润limit-30.30-592.80-181.60-85.50-85.50-127.70-25.20-10.30-11.60-38.50
折旧、损耗和摊销limit35.0059.4068.5077.3077.3017.1017.3017.7018.0024.30
经营性应收项目变动limit-9.50-37.70-11.10-31.60-31.60-1.00-8.80-12.80-15.205.30
存货变动limit--------------------
预付资产变动limit-0.70-20.60-7.10-8.60-8.6015.00-0.10-2.90-19.0013.40
应付票据及应付账款、应交税费和其他应付款变动limit8.5030.4022.9018.6018.6017.50-10.20-0.6030.10-0.70
其他营运资金变动limit4.80-13.9013.70-4.10-4.101.90-5.901.701.10-1.10
营运资金变动limit3.00-41.7018.40-25.80-25.8033.30-25.00-14.60-3.0016.80
递延所得税limit1.30-13.40-0.10-0.40-0.40-0.100.20-0.200.70-1.20
股权激励limit--489.5089.8035.3035.3011.2010.603.605.1016.10
资产减值费用limit--------------------
终止经营活动产生的现金流量净额limit--------------------
其他经营活动产生的现金流量净额limit8.0035.801.6014.0014.0067.903.20-0.104.406.50
经营活动产生的现金流量净额limit17.10-63.30-3.5014.9014.901.70-18.80-3.9013.6024.00
购建固定资产、无形资产和其他长期资产支付的现金limit-1.50-6.40-6.00-3.60-3.60-2.10-0.30-0.70-1.50-1.10
处置固定资产、无形资产和其他长期资产收回的现金净额limit--------------------
取得子公司及其他营业单位支付的现金净额limit-3.90-103.90-7.90--------------
处置子公司及其他营业单位收到的现金净额limit------1.601.60--1.400.20----
投资支付的现金limit-----0.20--------------
收回投资及取得投资收益收到的现金limit--------------------
取得无形资产支付的现金净额差limit-1.40---0.20-1.40------------
终止投资活动产生的现金流量净额limit--------------------
其他投资活动产生的现金流量净额limit-15.90-22.00-40.60-44.10-45.60-9.60-10.00-11.50-11.80-12.40
投资活动产生的现金流量净额limit-22.70-132.30-54.80-47.60-47.60-11.70-8.90-12.00-13.20-13.50
发行股票产生的现金流入limit--571.60----------------
回购股票产生的现金流出limit--------------------
发行优先股产生的现金流量净额limit--------------------
发行债券产生的现金流入limit10.00------------------
偿付债券现金流出limit---97.00---7.40-7.40---7.40------
发行债券产生的现金流量净额limit10.00-97.00---7.40-7.40---7.40------
分配股利、利润或偿付利息支付的现金limit---313.20----------------
融资租赁产生的现金流量净额limit--------------------
其他筹资活动产生的现金流量净额limit0.10248.90--6.806.80--6.80------
筹资活动产生的现金流量净额limit10.10410.40---0.60-0.60---0.60------
期初现金及现金等价物余额limit8.2011.80222.40159.00159.00150.40159.00131.50115.20116.40
汇率变动对现金及现金等价物的影响limit-1.00-4.10-5.100.100.1018.700.80-0.400.90-1.20
现金及现金等价物净额limit3.60210.60-63.40-33.20-33.208.60-27.50-16.301.209.40
期末现金及现金等价物余额limit11.80222.40159.00125.80125.80159.00131.50115.20116.40125.80
资本开支limit-18.80-33.40-47.50-49.10-49.10-12.30-10.30-12.20-13.30-13.40
自由现金流limit-1.70-96.70-51.00-34.30-34.30-10.70-29.10-16.100.3010.60
估值比率年度季度
趋势2019-122020-122021-122022-122023-12TTM2022-122023-032023-062023-092023-12
市盈率limit--0.000.000.000.000.000.000.000.000.00
扣非市盈率limit--0.000.000.000.000.000.000.000.000.00
股价/巴菲特所有者每股收益limit--------------------
市净率limit--2.081.272.261.891.271.742.151.932.26
股价/每股有形账面价值limit--8.736.2411.019.276.247.869.808.5511.01
股价/自由现金流limit--------------------
股价/每股经营现金流limit------93.64126.59--311.25----93.64
市销率limit--4.612.233.382.842.233.063.672.993.38
市盈增长比limit--------------------
企业价值/收入limit--4.751.862.922.431.862.713.302.652.92
企业价值倍数limit---2.31-5.59213.81177.75-5.59-13.51-32.00-91.42213.81
企业价值/息税前利润limit---2.08-3.48-16.84-14.00-3.48-6.87-11.38-12.72-16.84
乔尔·格林布拉特收益率 %limit---48.08-28.74-5.94-7.14-28.74-14.56-8.79-7.86-5.94
唐纳德·亚克曼收益率 %limit--------------------
席勒市盈率limit--------------------
股息率 %limit--------------------
估值和质量年度季度
趋势2019-122020-122021-122022-122023-12TTM2022-122023-032023-062023-092023-12
总市值limit--1,4717351,2921,0897351,0361,2911,1141,292
企业价值limit--1,2496331,2071,0036339561,2151,0371,207
月末股价limit--7.603.576.185.193.574.986.195.336.18
每股现金净流量limit-2.900.21-0.36-0.49-0.49-0.36-0.33-0.37-0.49-0.49
净流动资产价值 NCAVlimit-2.630.740.190.200.200.190.260.260.260.20
净净营运资本 NNWClimit-2.800.40-0.24-0.23-0.23-0.24-0.19-0.15-0.27-0.23
内在价值:预期自由现金流模型limit--------------------
内在价值:市销率模型limit--------------------
彼得林奇公允价值limit--------------------
格雷厄姆估值limit--------------------
盈利能力值(EPV)limit--------------------
两年破产风险(Z分数)limit0.001.980.312.251.650.311.862.721.532.25
基本面趋势(F分数)limit--436635446
财务造假嫌疑(M分数)limit0.00-5.47-55.13-2.97-2.97-55.13-9.32-3.64-3.29-2.97
可供营运的资产净额/总资产limit-0.161.240.540.630.630.650.660.690.650.63
斯隆比率 %limit-6.33-44.77-15.95-6.81-6.81-15.95-16.53-13.57-15.74-6.81
流动比率limit0.722.121.381.341.341.381.511.491.421.34
速动比率limit0.712.121.381.341.341.381.511.491.421.34
现金比率limit0.141.460.720.550.550.720.650.600.530.55
利息保障倍数limit0.000.000.00--0.000.00--0.00----
最高股价limit--24.937.877.968.455.435.686.317.966.45
最低股价limit--6.922.253.393.633.143.393.595.274.69
股票回购率 %limit---8.40-6.33-1.59-1.59-2.22-1.07-0.28-0.14-0.09
股票回购收益率 %limit---38.85----------------
每股收入同比增长率 %limit30.6496.60-3.0514.4014.389.537.4316.1724.0111.77
每股收益同比增长率 %limit9.21-987.8677.5755.2957.78-125.0042.86-150.00-50.0076.19
税息折旧及摊销前利润同比增长率 %limit233.67-4,320.7784.38104.71109.7650.3278.63144.01157.0766.17
5年每股税息折旧及摊销前利润增长率 %limit--------------------
发行在外的普通股平均股数limit178.59159.39213.39225.88280.03259.27206.21208.51208.76280.03
期末总股本limit178.59193.59205.84209.12209.80205.84208.05208.62208.92209.12
β贝塔系数limit--------1.93----------
重述日期limit03/30/2303/15/2403/15/2403/15/2403/15/2403/15/2405/09/2309/14/2311/13/2303/15/24
报告日期limit04/28/2103/18/2203/30/2303/15/2403/15/2403/30/2305/09/2308/07/2311/13/2303/15/24
收益发布日期limit02/15/2203/11/2203/10/2303/06/2403/06/2403/10/2305/09/2308/07/2311/13/2303/06/24
股东人数limit--240193290290193------290
在职员工人数limit1,5002,3002,1002,1002,1002,1002,1002,1002,1002,100
外汇汇率limit1.001.001.001.00--1.001.001.001.001.00