*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limit0.510.961.171.371.370.490.220.240.360.55
每股税息折旧及摊销前利润limit0.11-0.290.02-0.16-0.160.09-0.11-0.050.03-0.03
每股息税前利润limit-0.01-0.45-0.13-0.32-0.320.06-0.14-0.08-0.02-0.08
稀释每股收益limit-0.22-0.43-0.11-0.25-0.250.05-0.11-0.07-0.01-0.06
扣非每股收益limit-0.07-0.45-0.21-0.28-0.280.07-0.11-0.12-0.02-0.03
巴菲特所有者每股收益(TTM)limit--------------------
每股自由现金流limit-0.17-0.69-0.32-0.41-0.41-0.020.02-0.17-0.18-0.09
每股经营现金流limit-0.06-0.54-0.25-0.24-0.24--0.04-0.14-0.13-0.02
每股现金limit0.080.990.630.970.970.631.391.221.050.97
每股股息limit--------------------
每股账面价值limit2.834.003.454.044.043.454.013.783.804.04
每股有形账面价值limit-0.451.411.291.961.961.291.941.821.851.96
每股总债务limit0.630.070.080.220.220.080.070.070.210.22
月末股价limit--18.2025.3825.1523.0625.3822.5318.7514.7525.15
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-2.68-9.89-2.90-6.92-6.715.50-12.29-6.84-1.54-6.20
股本回报率 ROE %/市净率limit---2.17-0.39-1.11-1.180.75-2.18-1.38-0.40-1.00
资产收益率 ROA %limit-1.76-7.95-2.53-5.86-5.814.75-10.78-6.07-1.34-5.23
有形股本回报率 %limit---63.97-8.01-15.91-14.4315.04-28.34-14.16-3.18-12.73
有形资产收益率 %limit-11.07-24.77-5.71-11.24-10.8010.50-21.41-11.23-2.43-9.22
乔尔·格林布拉特资本回报率 %limit-1.93-86.81-19.60-35.06-39.9937.58-85.88-54.37-8.13-30.26
已动用资本回报率 %limit-0.18-9.81-3.14-7.91-7.736.57-14.38-8.05-1.54-7.09
5年留存收益回报率 RORE %limit--------------------
资本回报率 %limit-1.31-9.06-6.53-9.72-10.157.26-14.84-16.30-6.40-4.65
加权平均资本成本 WACC %limit13.686.237.978.195.397.978.348.458.868.19
实际借款利率 %limit7.965.765.964.745.455.355.265.407.194.88
毛利率 %limit67.7161.2967.5767.4967.4974.5064.1558.7469.9671.00
营业利润率 %limit-9.93-47.02-21.88-29.64-29.6514.13-63.08-64.48-17.32-9.23
净利率 %limit-12.54-40.37-9.19-18.63-18.639.38-50.84-28.11-4.12-11.01
税息折旧及摊销前利润率 %limit22.03-30.111.75-11.82-11.8219.43-47.60-19.937.17-6.24
自由现金流利润率 %limit-33.37-72.12-27.61-30.21-30.21-4.289.35-70.72-49.62-16.18
债务股本比率limit0.220.020.020.050.050.020.020.020.050.05
股东权益比率limit0.710.880.860.840.840.860.890.890.850.84
资产有息负债率limit0.160.020.020.040.040.020.020.020.050.04
资产负债率limit0.300.120.140.170.170.140.110.110.150.17
毛利润/总资产 %limit9.4812.0618.6021.2321.0337.7313.6012.6922.8133.71
资产周转率limit0.140.200.280.310.310.130.050.050.080.12
应收账款周转天数limit171.90145.16123.72124.3395.4365.29134.6591.8680.4873.01
应付账款周转天数limit91.1076.0862.5984.8863.7753.5062.1152.3855.0962.75
存货周转天数limit342.02247.04294.53366.36352.87247.25441.06385.03360.97274.92
现金循环周期limit422.81316.13355.65405.81384.53259.04513.60424.51386.36285.18
存货周转率limit1.071.481.241.001.030.370.210.240.250.33
营业成本/收入 %limit0.320.390.320.330.330.250.360.410.300.29
存货/收入limit0.300.260.260.330.310.691.731.741.190.87
资本开支/收入limit0.210.160.060.130.130.040.100.130.140.12
资本开支/营业利润limit----------0.29--------
资本开支/经营现金流limit------------0.52------
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limit54.1095.00139.80169.60169.6057.9027.5029.4044.2068.60
营业成本limit17.5036.8045.3055.1055.1014.809.8012.1013.3019.90
毛利润limit36.6058.2094.50114.50114.5043.1017.6017.3030.9048.70
毛利率 %limit67.7161.2967.5767.4967.4974.5064.1558.7469.9671.00
销售及行政开支limit32.8069.7087.90118.00118.0016.2028.4028.4030.0031.30
研发费用limit9.6022.1026.3034.2034.206.606.408.108.3011.50
其他营业成本limit-0.5011.0010.9012.5012.5012.200.20-0.200.3012.30
总营业成本limit42.00102.90125.10164.70164.7034.9034.9036.3038.5055.00
营业利润limit-5.40-44.70-30.60-50.30-50.308.20-17.30-19.00-7.60-6.30
营业利润率 %limit-9.93-47.02-21.88-29.64-29.6514.13-63.08-64.48-17.32-9.23
利息收入limit--0.101.206.506.501.100.100.504.501.40
利息支出limit-6.60-2.10-0.50-0.90-0.90-0.10-0.10-0.10-0.30-0.30
净利息收入limit-7.30-3.801.106.206.201.50--1.004.201.10
其他收入(支出)limit5.501.9014.104.104.10-2.80-0.207.601.20-4.50
利润总额limit-7.30-46.50-15.40-39.90-39.906.80-17.50-10.40-2.20-9.70
所得税费用limit0.508.202.608.308.30-1.403.602.100.402.20
税率 %limit6.6017.6316.5920.8120.8320.5520.2920.6219.0822.37
持续经营净利润limit-6.80-38.30-12.90-31.60-31.605.40-14.00-8.30-1.80-7.50
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-6.80-38.30-12.90-31.60-31.605.40-14.00-8.30-1.80-7.50
净利率 %limit-12.54-40.37-9.19-18.63-18.639.38-50.84-28.11-4.12-11.01
优先股股利limit16.904.20----------------
基本每股收益limit-0.22-0.43-0.11-0.25-0.250.05-0.11-0.07-0.01-0.06
稀释每股收益limit-0.22-0.43-0.11-0.25-0.250.05-0.11-0.07-0.01-0.06
发行在外的稀释性潜在普通股平均股数limit105.899.3119.1124.0124.3119.1123.0124.3124.3124.3
息税前利润limit-0.60-44.40-14.90-39.00-39.007.00-17.40-10.30-1.90-9.40
折旧、损耗和摊销limit12.5015.8017.3019.0019.004.304.304.405.105.10
税息折旧及摊销前利润limit11.90-28.602.50-20.00-20.1011.20-13.10-5.903.20-4.30
税息折旧及摊销前利润率 %limit22.03-30.111.75-11.82-11.8219.43-47.60-19.937.17-6.24
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limit8.70118.1075.10121.00121.0075.10172.60151.20130.30121.00
短期证券limit--------------------
货币资金、现金等价物、及短期证券limit8.70118.1075.10121.00121.0075.10172.60151.20130.30121.00
应收账款limit33.5042.1052.7062.8062.8052.7028.3031.0046.9062.80
应收票据limit--------------------
应收贷款limit--------------------
其他流动应收款项limit4.3011.6010.3013.3013.3010.309.109.8014.8013.30
应收账款总额limit37.8053.6063.1076.1076.1063.1037.4040.7061.7076.10
原材料limit13.0018.4015.6020.3020.3015.60------20.30
在产品limit3.705.1020.0028.2028.2020.00------28.20
存货调整limit--------------------
库存商品limit4.105.408.7018.0018.008.70------18.00
其他存货limit------------50.9051.6053.40--
存货limit20.8028.9044.2066.4066.4044.2050.9051.6053.4066.40
其他流动资产limit--------------------
流动资产合计limit67.30200.70182.40263.50263.50182.40260.90243.50245.40263.50
非流动投资limit--------------------
土地limit--------------------
房屋及建筑物修缮limit------0.500.50--------0.50
机器、家具和设备limit6.7011.6014.0025.4025.4014.00------25.40
在建工程limit0.100.802.704.504.502.70------4.50
其他固定资产、无形资产和其他长期资产limit5.3012.1013.9036.6036.6013.9025.9026.4048.5036.60
固定资产、无形资产和其他长期资产总值limit12.1024.5030.6066.9066.9030.6025.9026.4048.5066.90
累计折旧limit-1.60-3.00-5.60-9.90-9.90-5.60-------9.90
固定资产、无形资产和其他长期资产净额limit10.5021.5024.9057.0057.0024.9025.9026.4048.5057.00
无形资产limit347.40308.10257.50258.70258.70257.50257.20243.80241.50258.70
商誉limit186.00168.40146.00151.70151.70146.00------151.70
其他非流动资产limit0.209.5011.4023.1023.1011.4015.9016.7017.4023.10
非流动资产合计limit358.00339.10293.80338.80338.80293.80299.00287.00307.40338.80
资产总计limit425.30539.80476.30602.30602.30476.30559.90530.50552.80602.30
应付票据及应付账款limit6.708.706.9018.8018.806.906.507.408.6018.80
应交税费limit0.500.301.401.301.301.401.800.701.301.30
其他应付账款limit--------------------
应交税费和其他应付款limit4.306.3017.1017.6017.6017.1010.60--10.7017.60
应付票据及应付账款、应交税费和其他应付款limit11.5015.3025.4037.6037.6025.4018.808.1020.6037.60
短期借款limit--------------1.50----
短期资本化租赁债务limit2.103.002.104.004.002.101.80--3.704.00
短期借款和资本化租赁债务limit2.103.002.104.004.002.101.801.503.704.00
流动递延收益负债limit7.405.401.702.202.201.703.30--3.602.20
流动递延所得税负债limit--------------------
流动递延所得税和收益负债limit7.405.401.702.202.201.703.30--3.602.20
其他流动负债limit7.407.906.9011.6011.606.908.9023.2010.8011.60
流动负债合计limit28.5031.6036.1055.5055.5036.1032.9032.8038.7055.50
长期借款limit61.70------------6.70----
长期资本租赁负债limit2.305.407.3022.8022.807.307.10--21.8022.80
长期借款和资本化租赁债务limit64.005.407.3022.8022.807.307.106.7021.8022.80
债务股本比率limit0.220.020.020.050.050.020.020.020.050.05
养老金和退休福利limit--------------------
非流动递延负债limit33.2027.1022.2021.3021.3022.2021.9020.4020.3021.30
其他非流动负债limit--------------------
非流动负债合计limit97.2032.5029.5044.1044.1029.5029.0027.2042.0044.10
负债合计limit125.6064.1065.6099.6099.6065.6061.9060.0080.7099.60
普通股limit27.2031.0031.0032.2032.2031.0032.2032.2032.2032.20
优先股limit--------------------
留存收益limit-24.70-63.00-75.80-107.40-107.40-75.80-89.80-98.10-99.90-107.40
累计其他综合收益(亏损)limit39.401.70-58.60-42.30-42.30-58.60-55.50-77.40-76.90-42.30
资本公积limit257.80506.00514.10620.20620.20514.10611.00613.80616.60620.20
库存股limit--------------------
其他所有者权益limit--------------------
归属于母公司所有者权益合计limit299.70475.70410.70502.70502.70410.70498.00470.50472.10502.70
少数股东权益limit--------------------
所有者权益合计limit299.70475.70410.70502.70502.70410.70498.00470.50472.10502.70
股东权益比率limit0.710.880.860.840.840.860.890.890.850.84
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-7.30-46.50-15.40-39.90-39.906.80-17.50-10.40-2.20-9.70
折旧、损耗和摊销limit12.5015.8017.3019.0019.004.304.304.405.105.10
经营性应收项目变动limit-12.80-18.30-15.80-10.90-10.90-17.1026.00-4.30-21.30-11.40
存货变动limit-6.00-10.20-18.90-19.60-19.60-5.70-6.30-3.00-1.80-8.50
预付资产变动limit--------------------
应付票据及应付账款、应交税费和其他应付款变动limit3.703.00-0.8011.8011.80-4.00-0.401.300.9010.00
其他营运资金变动limit11.102.007.604.704.808.20-3.101.002.004.80
营运资金变动limit-3.90-23.40-27.90-14.00-14.00-18.7016.20-5.00-20.30-5.00
递延所得税limit--------------------
股权激励limit--2.507.9011.1011.102.102.102.903.102.90
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limit-8.20-2.10-12.00-6.20-6.205.400.20-8.80-1.303.70
经营活动产生的现金流量净额limit-6.80-53.70-30.10-30.00-30.00-0.105.40-16.90-15.60-2.90
购建固定资产、无形资产和其他长期资产支付的现金limit-3.50-10.50-7.20-19.00-19.00-2.10-2.40-3.20-6.00-7.40
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--0.10----------------
取得子公司及其他营业单位支付的现金净额limit-4.60------------------
处置子公司及其他营业单位收到的现金净额limit--------------------
投资支付的现金limit---0.30-0.20-1.40------------
收回投资及取得投资收益收到的现金limit------0.20------------
取得无形资产支付的现金净额差limit-7.80-4.30-1.40-2.30-2.30-0.30-0.40-0.80-0.30-0.80
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---------1.10-0.20--0.20---1.30
投资活动产生的现金流量净额limit-15.80-15.00-8.70-22.40-22.40-2.60-2.80-3.80-6.30-9.50
发行股票产生的现金流入limit19.20264.70--100.30100.20--100.20------
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limit7.902.30----------------
偿付债券现金流出limit-1.50-68.50-2.90-2.70-2.70-0.80-0.50-0.60-0.80-0.80
发行债券产生的现金流量净额limit6.40-66.20-2.90-2.70-2.70-0.80-0.50-0.60-0.80-0.80
分配股利、利润或偿付利息支付的现金limit--------------------
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limit---19.50---5.10-5.00---5.00------
筹资活动产生的现金流量净额limit25.60179.10-2.9092.5092.50-0.8094.60-0.60-0.80-0.80
期初现金及现金等价物余额limit6.208.70118.1075.1075.1077.1075.10172.60151.20130.30
汇率变动对现金及现金等价物的影响limit-0.50-1.00-1.305.805.801.400.30-0.101.703.90
现金及现金等价物净额limit2.50109.40-43.0045.8045.90-2.0097.50-21.40-20.90-9.30
期末现金及现金等价物余额limit8.70118.1075.10121.00121.0075.10172.60151.20130.30121.00
资本开支limit-11.30-14.80-8.60-21.30-21.30-2.40-2.80-4.00-6.30-8.20
自由现金流limit-18.00-68.50-38.60-51.20-51.20-2.502.60-20.80-21.90-11.10
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--4.557.366.225.717.365.634.963.886.22
股价/每股有形账面价值limit--12.9319.7312.8211.7719.7311.6310.287.9512.82
股价/自由现金流limit--------------------
股价/每股经营现金流limit--------------------
市销率limit--19.0221.6218.3816.9021.6218.6715.4611.3418.38
市盈增长比limit--------------------
企业价值/收入limit--21.6521.1417.8816.3421.1418.2414.9310.8817.88
企业价值倍数limit---71.901,206.95-151.30-138.221,206.95-4,275.23-441.31-382.67-151.30
企业价值/息税前利润limit---46.31-198.78-77.68-70.96-198.78-147.98-98.35-76.24-77.68
乔尔·格林布拉特收益率 %limit---2.16-0.50-1.29-1.41-0.50-0.68-1.02-1.31-1.29
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--2,1663,0233,1272,8673,0232,8012,3311,8343,127
企业价值limit--2,0562,9573,0332,7712,9572,6382,1881,7293,033
月末股价limit--18.2025.3825.1523.0625.3822.5318.7514.7525.15
每股现金净流量limit-1.110.450.080.170.170.080.890.730.400.17
净流动资产价值 NCAVlimit-0.551.150.981.321.320.981.601.481.321.32
净净营运资本 NNWClimit-0.770.840.600.820.820.601.271.130.900.82
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)limit0.0020.4027.9819.0817.7327.9827.5623.6713.9819.08
基本面趋势(F分数)limit--342244442
财务造假嫌疑(M分数)limit0.00-1.70-2.36-2.49-2.49-2.36-2.38-2.34-2.33-2.49
可供营运的资产净额/总资产limit1.030.860.640.860.740.790.700.590.690.74
斯隆比率 %limit3.735.615.443.463.465.444.594.694.353.46
流动比率limit2.366.355.064.754.755.067.937.416.344.75
速动比率limit1.635.443.833.553.553.836.385.844.963.55
现金比率limit0.303.742.082.182.182.085.254.603.372.18
利息保障倍数limit0.000.000.000.000.0065.940.000.000.000.00
最高股价limit--39.4725.5225.9526.0125.5224.1123.7420.3425.95
最低股价limit--18.008.9514.2914.1012.6419.3417.1314.4514.29
股票回购率 %limit11.12-12.51-0.08-4.40-4.40---4.40------
股票回购收益率 %limit---12.22---3.21-3.49---14.31------
每股收入同比增长率 %limit45.9187.1822.7516.4617.0932.6517.192.4833.1013.43
每股收益同比增长率 %limit7.52-92.0774.42-127.27-150.00171.43-10.00-75.00---220.00
税息折旧及摊销前利润同比增长率 %limit583.15-355.82107.14-885.75-900.00486.71-26.47-268.6811.24-136.42
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limit105.7799.26119.08124.00124.35119.10122.96124.34124.34124.35
期末总股本limit105.77119.01119.10124.34124.34119.10124.34124.34124.34124.34
β贝塔系数limit--------0.50----------
重述日期limit03/27/2303/25/2403/25/2403/25/2403/25/2403/25/2405/11/2308/09/2311/15/2303/25/24
报告日期limit03/26/2103/17/2203/27/2303/25/2403/25/2403/27/2305/11/2308/09/2311/15/2303/25/24
收益发布日期limit--02/14/2202/21/2303/25/2403/25/2402/21/2305/11/2308/09/2311/15/2303/25/24
股东人数limit--------------------
在职员工人数limit214416582707707582582582582707
外汇汇率limit1.001.001.001.00--1.001.001.001.001.00