*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2018-122019-122020-122021-12TTM2021-032021-062021-092021-122022-03
每股收入2.452.903.643.733.870.880.920.950.991.02
每股税息折旧及摊销前利润0.310.330.740.730.680.210.190.180.150.15
每股息税前利润0.050.060.390.370.300.130.100.090.060.05
稀释每股收益-0.24-0.200.160.310.260.090.100.080.030.05
扣非每股收益-0.24-0.120.160.310.260.090.100.080.030.05
巴菲特所有者每股收益(TTM)--------------------
每股自由现金流-0.25-0.170.480.470.350.150.130.120.070.03
每股经营现金流-0.070.070.760.760.630.210.190.190.160.09
每股现金0.220.171.051.351.160.921.101.261.351.16
每股股息--------------------
每股账面价值6.406.2710.4811.0711.1910.6410.8310.9611.0711.19
每股有形账面价值-2.76-2.741.742.342.281.631.902.122.342.28
每股总债务3.233.49--0.250.190.220.210.190.250.19
月末股价----27.0026.3535.1822.9127.8423.9026.3526.72
财务比率年度季度
趋势2018-122019-122020-122021-12TTM2021-032021-062021-092021-122022-03
股本回报率 ROE %-3.73-3.111.682.942.483.593.903.051.281.74
股本回报率 ROE %/市净率----0.651.23--1.671.521.400.540.73
资产收益率 ROA %-2.34-1.911.312.742.283.343.592.811.181.61
有形股本回报率 %----1.00万15.5213.1722.5623.7516.516.318.38
有形资产收益率 %-22.60-16.267.4811.219.0915.3215.5211.314.476.01
乔尔·格林布拉特资本回报率 %12.8313.9064.7853.8836.6275.1750.6047.4227.5424.07
已动用资本回报率 %0.490.633.403.442.694.743.633.361.981.85
5年留存收益回报率 RORE %--------------------
资本回报率 %0.421.712.813.182.623.764.063.321.401.74
加权平均资本成本 WACC %------7.25--7.367.187.137.258.02
实际借款利率 %10.838.179.182.251.412.302.051.950.251.37
毛利率 %63.8965.7171.0571.5070.9573.3971.7071.0370.0971.04
营业利润率 %2.176.3711.7510.057.6814.3310.749.995.724.71
净利率 %-9.74-6.804.348.316.8410.5511.168.543.504.65
税息折旧及摊销前利润率 %12.7811.5320.2419.5617.4423.4520.7319.3415.2614.87
自由现金流利润率 %-10.01-5.8813.1512.639.0316.9014.6312.846.812.67
债务股本比率0.510.560.000.020.020.020.020.020.020.02
股东权益比率0.630.600.940.920.930.920.920.920.920.93
资产有息负债率0.320.34--0.020.020.020.020.020.020.02
资产负债率0.370.400.060.080.070.080.080.080.080.07
毛利润/总资产 %15.3218.5121.4623.5623.6723.2523.0623.3623.6324.56
资产周转率0.240.280.300.330.330.080.080.080.080.09
股息支付率--------------------
应收账款周转天数15.5714.8612.247.916.778.467.265.956.197.02
应付账款周转天数9.1522.6928.7018.1824.0621.3025.4525.9920.9323.27
存货周转天数31.3828.3631.8650.4161.0839.2249.0258.3561.8872.72
现金循环周期37.8020.5315.4040.1443.7926.3830.8338.3247.1356.47
存货周转率11.6312.8711.457.245.982.331.861.561.471.25
营业成本/收入 %0.360.340.290.290.290.270.280.290.300.29
存货/收入0.030.030.030.040.050.110.150.190.200.23
资本开支/收入0.070.080.080.080.070.070.060.070.090.06
资本开支/营业利润3.351.310.660.760.950.510.600.741.601.31
资本开支/经营现金流--3.400.370.380.450.300.310.370.570.70
合并利润表年度季度
趋势2018-122019-122020-122021-12TTM2021-032021-062021-092021-122022-03
营业收入387.40458.80518.80618.70644.50144.90151.60157.90164.30170.80
营业成本139.90157.30150.20176.30187.2038.6042.9045.7049.1049.50
毛利润247.50301.40368.60442.30457.30106.40108.70112.10115.10121.30
毛利率 %63.8965.7171.0571.5070.9573.3971.7071.0370.0971.04
销售及行政开支156.10184.30201.50245.70261.6056.5058.6063.0067.6072.40
研发费用54.0060.5078.90107.90119.0022.5027.3026.9031.2033.60
其他营业成本29.0027.4027.2026.5027.206.606.506.506.907.30
总营业成本239.10272.20307.60380.10407.8085.6092.4096.40105.70113.30
营业利润8.4029.2061.0062.2049.5020.8016.3015.809.408.00
营业利润率 %2.176.3711.7510.057.6814.3310.749.995.724.71
利息收入--------------------
利息支出-55.40-43.40-25.30-0.50-0.50-0.10-0.20-0.20---0.10
净利息收入-55.40-43.40-25.30-0.50-0.50-0.10-0.20-0.20---0.10
其他收入(支出)-0.80-19.50-5.10-0.400.30--0.10-0.30-0.200.70
利润总额-47.80-33.7030.6061.4049.3020.7016.2015.309.208.60
所得税费用10.002.50-8.10-9.90-5.20-5.400.70-1.80-3.50-0.70
税率 %21.027.4526.3816.1810.5326.08-4.4511.7037.637.58
持续经营净利润-37.70-31.2022.5051.4044.1015.3016.9013.505.707.90
终止经营净利润--------------------
其他收入(少数股东权益)--------------------
归属于母公司股东的净利润-37.70-31.2022.5051.4044.1015.3016.9013.505.707.90
净利率 %-9.74-6.804.348.316.8410.5511.168.543.504.65
优先股股利--------------------
基本每股收益-0.24-0.200.160.320.270.090.100.080.040.05
稀释每股收益-0.24-0.200.160.310.260.090.100.080.030.05
发行在外的稀释性潜在普通股平均股数158.2158.2142.5165.8167.5164.7165.5166.2166.6167.5
息税前利润7.609.7055.9061.8049.8020.8016.4015.409.208.70
折旧、损耗和摊销41.9043.2049.1059.2062.7013.2015.1015.1015.8016.70
税息折旧及摊销前利润49.5052.90105.00121.00112.4034.0031.4030.5025.1025.40
税息折旧及摊销前利润率 %12.7811.5320.2419.5617.4423.4520.7319.3415.2614.87
合并资产负债表年度季度
趋势2018-122019-122020-122021-12TTM2021-032021-062021-092021-122022-03
货币资金和现金等价物34.6027.60168.90221.40191.20147.80178.60205.90221.40191.20
短期证券--------------------
货币资金、现金等价物、及短期证券34.6027.60168.90221.40191.20147.80178.60205.90221.40191.20
应收账款16.5020.8013.9012.9013.4012.9011.209.4012.9013.40
应收票据--------------------
应收贷款--------------------
其他流动应收款项3.606.507.7012.00--------12.00--
应收账款总额20.1027.3021.7024.8013.4012.9011.209.4024.8013.40
原材料6.509.008.9027.5037.0013.7017.7022.6027.5037.00
在产品1.001.400.602.20--0.802.903.402.20--
存货调整--------------------
库存商品4.501.904.305.206.904.806.105.705.206.90
其他存货--------------------
存货12.0012.4013.8034.9043.9019.3026.8031.7034.9043.90
其他流动资产13.3015.4022.1028.8046.1033.5034.7035.0028.8046.10
流动资产合计80.0082.70226.50310.00294.60213.50251.20282.00310.00294.60
非流动投资--------------------
土地--------------------
房屋及建筑物修缮--------------------
机器、家具和设备56.5093.40126.20166.00179.60136.50144.30152.30166.00179.60
在建工程--------------------
其他固定资产、无形资产和其他长期资产25.3029.6032.5062.5063.6064.3063.1061.7062.5063.60
固定资产、无形资产和其他长期资产总值81.80122.90158.70228.50243.20200.80207.40213.90228.50243.20
累计折旧-22.40-42.20-66.80-90.90-102.80-71.50-77.90-83.20-90.90-102.80
固定资产、无形资产和其他长期资产净额59.4080.7091.90137.60140.50129.30129.60130.70137.60140.50
无形资产1,448.101,425.501,408.301,429.301,465.401,452.501,446.501,439.801,429.301,465.40
商誉1,118.901,118.901,121.001,141.701,172.901,143.801,144.301,144.501,141.701,172.90
其他非流动资产27.5053.3066.6085.3089.9070.6077.8082.5085.3089.90
非流动资产合计1,535.001,559.601,566.801,652.201,695.801,652.401,653.901,653.001,652.201,695.80
资产总计1,615.101,642.301,793.301,962.201,990.401,865.901,905.201,934.901,962.201,990.40
应付票据及应付账款3.5016.007.6010.0015.2010.4013.5012.5010.0015.20
应交税费2.804.905.505.20--------5.20--
其他应付账款--------------------
应交税费和其他应付款21.4021.7030.1040.8056.1048.8045.4047.5040.8056.10
应付票据及应付账款、应交税费和其他应付款27.7042.7043.2056.0071.4059.3058.9060.1056.0071.40
短期借款--5.50----------------
短期资本化租赁债务0.900.40--9.00--------9.00--
短期借款和资本化租赁债务0.905.900.109.00--------9.00--
流动递延收益负债30.2024.3023.8020.4020.3021.8022.3021.6020.4020.30
流动递延所得税负债--------------------
流动递延所得税和收益负债30.2026.1024.4020.4020.3021.8022.3021.6020.4020.30
其他流动负债3.005.003.104.50--------4.50--
流动负债合计61.8079.7070.8089.9091.6081.1081.2081.7089.9091.60
长期借款510.60546.50----------------
长期资本租赁负债------31.3030.8035.3033.1030.8031.3030.80
长期借款和资本化租赁债务510.60546.50--31.3030.8035.3033.1030.8031.3030.80
债务股本比率0.510.560.000.020.020.020.020.020.020.02
养老金和退休福利--------------------
非流动递延负债20.3013.9022.3028.3026.0031.3032.3033.6028.3026.00
其他非流动负债10.609.9011.700.700.803.804.103.500.700.80
非流动负债合计541.50570.3034.0060.3057.5070.4069.5068.0060.3057.50
负债合计603.30650.00104.80150.20149.20151.50150.70149.70150.20149.20
普通股0.100.100.200.200.200.200.200.200.200.20
优先股--------------------
留存收益-56.50-87.70-65.20-13.80-5.80-49.90-33.00-19.50-13.80-5.80
累计其他综合收益(亏损)-0.100.401.80-0.80-1.500.802.100.70-0.80-1.50
资本公积1,071.901,083.101,755.401,830.001,852.101,767.001,788.801,807.501,830.001,852.10
库存股-3.60-3.60-3.60-3.60-3.60-3.60-3.60-3.60-3.60-3.60
其他所有者权益--------------------
归属于母公司所有者权益合计1,011.80992.301,688.501,811.901,841.301,714.401,754.501,785.201,811.901,841.30
少数股东权益--------------------
所有者权益合计1,011.80992.301,688.501,811.901,841.301,714.401,754.501,785.201,811.901,841.30
股东权益比率0.630.600.940.920.930.920.920.920.920.93
合并现金流量表年度季度
趋势2018-122019-122020-122021-12TTM2021-032021-062021-092021-122022-03
来自持续经营收益的净利润-37.70-31.2022.5051.4044.1015.3016.9013.505.707.90
折旧、损耗和摊销41.9043.2049.1059.2062.7013.2015.1015.1015.8016.70
经营性应收项目变动-6.40-10.800.801.601.00-0.200.601.40-0.30-0.80
存货变动-2.60-3.50-2.80-21.20-25.00-5.60-7.50-5.00-3.10-9.40
预付资产变动2.60-6.10-7.50-11.50-12.60-3.80-0.20-1.50-6.00-5.00
应付票据及应付账款、应交税费和其他应付款变动-4.6014.803.108.402.703.50-0.30-0.305.50-2.20
其他营运资金变动-2.10-32.10-14.10-23.20-21.90-6.10-7.30-5.80-4.00-4.90
营运资金变动-13.00-37.80-20.60-45.80-55.80-12.10-14.60-11.20-7.90-22.10
递延所得税-11.90-6.107.804.90-2.404.70-1.101.200.20-2.60
股权激励4.1012.2033.5048.9050.0011.5012.2011.6013.6012.60
资产减值费用--------------------
终止经营活动产生的现金流量净额--------------------
其他经营活动产生的现金流量净额6.1030.9016.406.806.802.603.501.80-1.202.60
经营活动产生的现金流量净额-10.6011.20108.70125.40105.3035.2031.9032.0026.3015.10
购建固定资产、无形资产和其他长期资产支付的现金-28.20-38.20-40.50-47.20-47.10-10.70-9.80-11.70-15.10-10.50
处置固定资产、无形资产和其他长期资产收回的现金净额--------------------
取得子公司及其他营业单位支付的现金净额-----4.40-45.50-43.50-45.50-------43.50
处置子公司及其他营业单位收到的现金净额--------------------
投资支付的现金--------------------
收回投资及取得投资收益收到的现金--------------------
取得无形资产支付的现金净额差--------------------
终止投资活动产生的现金流量净额--------------------
其他投资活动产生的现金流量净额--------------------
投资活动产生的现金流量净额-28.20-38.20-44.80-92.70-90.60-56.20-9.80-11.70-15.10-54.00
发行股票产生的现金流入----641.60--------------
回购股票产生的现金流出-4.20-1.30-0.10--------------
发行优先股产生的现金流量净额--------------------
发行债券产生的现金流入--562.3032.10--------------
偿付债券现金流出-1.00-533.90-594.70-0.10-0.10----------
发行债券产生的现金流量净额-1.0028.30-562.60-0.10-0.10----------
分配股利、利润或偿付利息支付的现金--------------------
融资租赁产生的现金流量净额--------------------
其他筹资活动产生的现金流量净额---8.50-3.3021.8031.60-0.208.607.805.709.50
筹资活动产生的现金流量净额-5.2018.5075.7021.7031.50-0.308.607.805.609.50
期初现金及现金等价物余额81.6037.3029.10170.40149.20170.40149.20180.00207.20222.70
汇率变动对现金及现金等价物的影响-0.400.301.80-2.00-2.50-----0.90-1.30-0.40
现金及现金等价物净额-44.30-8.20141.3052.3043.60-21.2030.8027.2015.60-29.90
期末现金及现金等价物余额37.3029.10170.40222.70192.80149.20180.00207.20222.70192.80
资本开支-28.20-38.20-40.50-47.20-47.10-10.70-9.80-11.70-15.10-10.50
自由现金流-38.80-27.0068.2078.1058.2024.5022.2020.3011.204.60
估值比率年度季度
趋势2018-122019-122020-122021-12TTM2021-032021-062021-092021-122022-03
市盈率----168.7585.000.00104.61105.45108.6485.00102.77
扣非市盈率----168.7585.000.00104.61105.45108.6485.00102.77
股价/巴菲特所有者每股收益--------------------
市净率----2.582.38--2.152.572.182.382.39
股价/每股有形账面价值----15.5211.27--14.0914.6511.2711.2711.70
股价/自由现金流----56.3755.94--33.9439.7743.7755.9476.34
股价/每股经营现金流----35.3934.85--25.2929.6529.3634.8542.15
市销率----7.427.06--6.827.986.627.066.90
市盈增长比--------------------
企业价值/收入----8.066.68--6.647.716.266.686.57
企业价值倍数----39.8034.14--30.1837.6336.2234.1437.68
企业价值/息税前利润----74.7666.82--52.4969.6879.9366.8285.13
乔尔·格林布拉特收益率 %----1.341.50--1.911.441.251.501.17
唐纳德·亚克曼收益率 %--------------------
席勒市盈率--------------------
股息率 %--------------------
估值和质量年度季度
趋势2018-122019-122020-122021-12TTM2021-032021-062021-092021-122022-03
总市值----4,3494,3125,8223,6904,5113,8924,3124,396
企业价值----4,1804,1315,6613,5784,3653,7174,1314,236
月末股价----27.0026.3535.1822.9127.8423.9026.3526.72
每股现金净流量-3.59-3.930.400.430.26-0.020.170.340.430.26
净流动资产价值 NCAV-3.31-3.590.760.980.880.380.620.810.980.88
净净营运资本 NNWC-3.48-3.800.510.600.450.100.310.490.600.45
内在价值:预期自由现金流模型--------------------
内在价值:市销率模型--------------------
彼得林奇公允价值--------------------
格雷厄姆估值----2.504.043.662.833.363.243.973.66
盈利能力值(EPV)--------------------
两年破产风险(Z分数)0.000.0025.3417.760.0015.0718.4516.1017.7618.21
基本面趋势(F分数)------70--8--7--
财务造假嫌疑(M分数)0.000.000.00-2.720.000.00-2.89-2.77-2.72-2.60
可供营运的资产净额/总资产0.920.940.930.910.860.890.860.850.840.86
斯隆比率 %0.06-0.26-2.310.961.48-1.16-0.97-0.290.961.48
流动比率1.301.043.203.453.222.633.093.453.453.22
速动比率1.100.883.003.062.742.392.763.063.062.74
现金比率0.560.352.392.462.091.822.202.522.462.09
利息保障倍数0.150.672.41136.71103.10203.5693.01101.06427.2365.98
最高股价----32.7228.1635.2427.1728.1627.7026.9826.75
最低股价------22.0220.7622.8523.3923.6722.0222.26
股票回购率 %-----1.80-1.60-2.14-0.01-0.59-0.51-0.48-0.55
股票回购收益率 %-----14.75--------------
每股收入同比增长率 %--18.4325.542.5315.1811.6416.4814.5114.2515.88
每股收益同比增长率 %--17.32180.7893.7518.18952.3980.47-35.52160.00-44.44
税息折旧及摊销前利润同比增长率 %--6.89120.40-0.94-8.1159.66-11.55-34.12262.19-26.53
5年每股税息折旧及摊销前利润增长率 %--------------------
发行在外的普通股平均股数157.47157.47140.41162.05164.08161.07161.47162.42163.22164.08
期末总股本158.22158.22161.06163.63165.48161.08162.03162.85163.63164.53
β贝塔系数--------------------
重述日期03/11/2102/23/2202/23/2202/23/2205/09/2205/09/2208/11/2111/10/2102/23/2205/09/22
报告日期10/22/2010/22/2002/23/2202/23/2205/09/2205/09/2208/11/2111/10/2102/23/2205/09/22
收益发布日期----03/11/2102/23/2205/09/2305/12/2108/11/2111/10/2102/23/2205/09/23
股东人数--------------------
在职员工人数----1,7432,0892,0891,7431,7431,7432,0892,089
外汇汇率1.001.001.001.00--1.001.001.001.001.00