*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2020-122021-122022-122023-12TTM2023-032023-062023-092023-122024-03
每股收入22.1969.2571.8474.4775.2117.7618.8719.0218.7718.56
每股税息折旧及摊销前利润-0.569.1211.529.219.492.232.192.252.492.56
每股息税前利润-1.894.747.885.575.841.361.281.361.531.68
稀释每股收益-2.663.265.622.172.300.740.740.240.700.62
扣非每股收益-0.644.606.384.133.421.031.310.530.710.87
巴菲特所有者每股收益(TTM)--------------------
每股自由现金流-3.240.024.212.133.37-1.510.512.500.62-0.26
每股经营现金流-2.083.156.505.326.68-0.701.403.291.320.67
每股现金--5.565.347.917.115.644.537.867.917.11
每股股息------0.500.75----0.250.250.25
每股账面价值--36.6734.9540.8840.5037.5842.3740.5340.8840.50
每股有形账面价值--15.9415.3421.0320.9318.0422.9921.3121.0320.93
每股总债务--2.154.5118.7218.8017.252.0218.5918.7218.80
月末股价------30.2944.98--31.4926.7930.2938.43
财务比率年度季度
趋势2020-122021-122022-122023-12TTM2023-032023-062023-092023-122024-03
股本回报率 ROE %--8.8915.635.785.118.217.452.274.456.21
股本回报率 ROE %/市净率------7.804.65--10.023.436.006.54
资产收益率 ROA %--3.636.352.512.413.543.631.092.042.89
有形股本回报率 %--20.4635.7912.069.8917.8514.524.248.5512.04
有形资产收益率 %--4.738.233.253.124.614.761.412.623.74
乔尔·格林布拉特资本回报率 %--22.3237.1125.3120.4821.8817.6818.3422.9424.50
已动用资本回报率 %--7.3512.429.049.538.918.338.8410.0010.85
5年留存收益回报率 RORE %--------------------
资本回报率 %--7.759.885.575.486.338.192.714.526.49
加权平均资本成本 WACC %----9.208.388.923.018.648.948.388.63
实际借款利率 %--35.0012.8210.4110.014.693.5318.2810.1610.21
毛利率 %16.9220.9521.5420.6921.0920.6021.3119.7521.0922.25
营业利润率 %3.488.9611.869.469.679.5811.168.378.7310.43
净利率 %-11.994.717.832.912.724.193.951.232.383.36
税息折旧及摊销前利润率 %-2.5113.1716.0412.3712.6112.5711.6111.8313.2713.79
自由现金流利润率 %-14.600.035.852.864.51-8.502.7113.173.29-1.39
债务股本比率--0.060.130.460.460.460.050.460.460.46
股东权益比率--0.410.400.470.470.460.520.450.470.47
资产有息负债率--0.020.050.210.220.210.030.210.210.22
资产负债率--0.590.600.530.530.540.490.550.530.53
毛利润/总资产 %--16.1617.4717.8418.6817.3919.6217.5718.0819.16
资产周转率--0.770.810.860.890.210.230.220.210.22
股息支付率------0.120.22----0.470.350.29
应收账款周转天数--64.1364.7066.6493.7780.2786.21101.9494.8288.87
应付账款周转天数--65.1079.2787.1179.2980.1062.4982.1895.4585.06
存货周转天数--59.6660.8662.1965.9765.5166.0866.4466.6066.36
现金循环周期--58.7046.2941.7280.4565.6889.8086.2165.9870.17
存货周转率--6.126.005.875.531.391.381.371.371.38
营业成本/收入 %0.830.790.780.790.790.790.790.800.790.78
存货/收入--0.130.130.140.140.570.570.580.580.56
资本开支/收入0.050.050.030.040.040.050.050.040.040.05
资本开支/营业利润1.500.510.270.450.460.480.420.490.430.48
资本开支/经营现金流--0.990.350.600.49--0.640.240.531.39
合并利润表年度季度
趋势2020-122021-122022-122023-12TTM2023-032023-062023-092023-122024-03
营业收入1,034.003,227.003,348.003,500.003,528.00835.00887.00896.00882.00863.00
营业成本859.002,551.002,627.002,776.002,784.00663.00698.00719.00696.00671.00
毛利润175.00676.00721.00724.00744.00172.00189.00177.00186.00192.00
毛利率 %16.9220.9521.5420.6921.0920.6021.3119.7521.0922.25
销售及行政开支147.00421.00375.00415.00420.0099.00103.00104.00109.00104.00
研发费用-2.00-10.00-11.00-2.00------------
其他营业成本-6.00-24.00-40.00-20.00-17.00-7.00-13.00-2.00---2.00
总营业成本139.00387.00324.00393.00403.0092.0090.00102.00109.00102.00
营业利润36.00289.00397.00331.00341.0080.0099.0075.0077.0090.00
营业利润率 %3.488.9611.869.469.679.5811.168.378.7310.43
利息收入1.001.006.0013.0012.003.00--4.004.004.00
利息支出-17.00-35.00-20.00-56.00-70.00-6.00-4.00-22.00-22.00-22.00
净利息收入-16.00-34.00-14.00-43.00-58.00-3.00-4.00-18.00-18.00-18.00
其他收入(支出)-125.00-69.00-36.00-82.00-79.00-19.00-39.00-15.00-9.00-16.00
利润总额-105.00186.00347.00206.00204.0058.0056.0042.0050.0056.00
所得税费用-19.00-33.00-85.00-104.00-108.00-23.00-21.00-31.00-29.00-27.00
税率 %-18.1017.7424.5050.4952.9439.6637.5073.8158.0048.21
持续经营净利润-124.00153.00262.00102.0096.0035.0035.0011.0021.0029.00
终止经营净利润--------------------
其他收入(少数股东权益)---1.00----------------
归属于母公司股东的净利润-124.00152.00262.00102.0096.0035.0035.0011.0021.0029.00
净利率 %-11.994.717.832.912.724.193.951.232.383.36
优先股股利--------------------
基本每股收益-2.663.265.622.172.330.740.740.240.720.63
稀释每股收益-2.663.265.622.172.300.740.740.240.700.62
发行在外的稀释性潜在普通股平均股数46.646.646.647.046.547.047.047.147.046.5
息税前利润-88.00221.00367.00262.00274.0064.0060.0064.0072.0078.00
折旧、损耗和摊销62.00204.00170.00171.00171.0041.0043.0042.0045.0041.00
税息折旧及摊销前利润-26.00425.00537.00433.00445.00105.00103.00106.00117.00119.00
税息折旧及摊销前利润率 %-2.5113.1716.0412.3712.6112.5711.6111.8313.2713.79
合并资产负债表年度季度
趋势2020-122021-122022-122023-12TTM2023-032023-062023-092023-122024-03
货币资金和现金等价物--259.00251.00365.00325.00265.00213.00367.00365.00325.00
短期证券--------------------
货币资金、现金等价物、及短期证券--259.00251.00365.00325.00265.00213.00367.00365.00325.00
应收账款--567.00620.00658.001,023.00849.00827.001,175.00658.001,023.00
应收票据--------------------
应收贷款--------------------
其他流动应收款项--335.00271.00359.00----64.00--359.00--
应收账款总额--902.00891.001,017.001,023.00849.00891.001,175.001,017.001,023.00
原材料--249.00275.00286.00264.00284.00301.00313.00286.00264.00
在产品--37.0039.0046.0051.0042.0038.0038.0046.0051.00
存货调整--------------------
库存商品--131.00145.00155.00174.00167.00179.00178.00155.00174.00
其他存货--------------------
存货--417.00459.00487.00489.00493.00518.00529.00487.00489.00
其他流动资产--46.0040.0058.0080.0082.0048.0053.0058.0080.00
流动资产合计--1,624.001,641.001,927.001,917.001,689.001,670.002,124.001,927.001,917.00
非流动投资--42.0046.0052.0053.0049.0053.0050.0052.0053.00
土地--237.00228.00250.00--------250.00--
房屋及建筑物修缮--------------------
机器、家具和设备--882.00936.001,031.00--------1,031.00--
在建工程--86.0081.0079.00--------79.00--
其他固定资产、无形资产和其他长期资产--57.0046.0042.00888.00926.00901.00889.0042.00888.00
固定资产、无形资产和其他长期资产总值--1,262.001,291.001,402.00888.00926.00901.00889.001,402.00888.00
累计折旧---272.00-369.00-481.00---------481.00--
固定资产、无形资产和其他长期资产净额--990.00922.00921.00888.00926.00901.00889.00921.00888.00
无形资产--966.00922.00916.00894.00919.00911.00897.00916.00894.00
商誉--496.00490.00499.00491.00492.00490.00486.00499.00491.00
其他非流动资产--560.00543.00225.00226.00255.00334.00231.00225.00226.00
非流动资产合计--2,558.002,433.002,114.002,061.002,149.002,199.002,067.002,114.002,061.00
资产总计--4,182.004,074.004,041.003,978.003,838.003,869.004,191.004,041.003,978.00
应付票据及应付账款--455.00686.00639.00612.00478.00478.00817.00639.00612.00
应交税费--20.0040.0047.0071.00--41.0051.0047.0071.00
其他应付账款--301.00--------99.00------
应交税费和其他应付款--81.0094.00113.00100.00--89.00105.00113.00100.00
应付票据及应付账款、应交税费和其他应付款--857.00820.00799.00783.00478.00707.00973.00799.00783.00
短期借款----99.0089.0090.00----87.0089.0090.00
短期资本化租赁债务--19.0018.0017.0017.00--16.0017.0017.0017.00
短期借款和资本化租赁债务--19.00117.00106.00107.00--16.00104.00106.00107.00
流动递延收益负债----3.006.00--------6.00--
流动递延所得税负债--------------------
流动递延所得税和收益负债--26.0020.0012.002.00--9.005.0012.002.00
其他流动负债--272.00213.00231.00230.00520.00215.00239.00231.00230.00
流动负债合计--1,174.001,170.001,148.001,122.00998.00947.001,321.001,148.001,122.00
长期借款--27.0026.00709.00706.00811.0025.00713.00709.00706.00
长期资本租赁负债--54.0069.0049.0046.00--54.0051.0049.0046.00
长期借款和资本化租赁债务--81.0095.00758.00752.00811.0079.00764.00758.00752.00
债务股本比率--0.060.130.460.460.460.050.460.460.46
养老金和退休福利--73.0079.00132.00133.0085.0083.0094.00132.00133.00
非流动递延负债--54.0046.0063.0073.00--55.0066.0063.0073.00
其他非流动负债--1,088.001,041.0053.0048.00177.00713.0054.0053.0048.00
非流动负债合计--1,296.001,261.001,006.001,006.001,073.00930.00978.001,006.001,006.00
负债合计--2,470.002,431.002,154.002,128.002,071.001,877.002,299.002,154.002,128.00
普通股--1,647.001,731.001.001.00--2,053.001.001.001.00
优先股--------------------
留存收益------9.0026.00-----1.009.0026.00
累计其他综合收益(亏损)--62.00-88.00-131.00-153.00-67.00-61.00-122.00-131.00-153.00
资本公积------2,031.002,018.001,834.00--2,023.002,031.002,018.00
库存股-------23.00-42.00-----9.00-23.00-42.00
其他所有者权益--------------------
归属于母公司所有者权益合计--1,709.001,643.001,887.001,850.001,767.001,992.001,892.001,887.001,850.00
少数股东权益--3.00----------------
所有者权益合计--1,712.001,643.001,887.001,850.001,767.001,992.001,892.001,887.001,850.00
股东权益比率--0.410.400.470.470.460.520.450.470.47
合并现金流量表年度季度
趋势2020-122021-122022-122023-12TTM2023-032023-062023-092023-122024-03
来自持续经营收益的净利润-124.00153.00262.00102.0096.0035.0035.0011.0021.0029.00
折旧、损耗和摊销62.00204.00170.00171.00171.0041.0043.0042.0045.0041.00
经营性应收项目变动-37.0016.00-103.0079.0079.00-36.00-28.00-59.00202.00-36.00
存货变动4.00-84.00-60.00-4.0019.00-29.00-23.00-8.0056.00-6.00
预付资产变动28.00-4.0012.00-5.00-31.0025.00-6.004.00-28.00-1.00
应付票据及应付账款、应交税费和其他应付款变动45.00-87.0047.00-95.00-46.00-43.0027.00185.00-264.006.00
其他营运资金变动-10.00-69.00-69.00-26.00-11.00-29.003.00-11.0011.00-14.00
营运资金变动30.00-228.00-173.00-51.0010.00-112.00-27.00111.00-23.00-51.00
递延所得税-4.00-56.0025.0032.0028.008.00---6.0030.004.00
股权激励3.0011.0011.0010.0013.001.003.003.003.004.00
资产减值费用82.0014.005.00--------------
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-146.0049.003.00-14.00-4.00-6.0012.00-6.00-14.004.00
经营活动产生的现金流量净额-97.00147.00303.00250.00314.00-33.0066.00155.0062.0031.00
购建固定资产、无形资产和其他长期资产支付的现金-54.00-146.00-107.00-150.00-155.00-38.00-42.00-37.00-33.00-43.00
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--------------------
处置子公司及其他营业单位收到的现金净额422.00------------------
投资支付的现金-------2.00------------
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1.006.002.002.001.00--------1.00
投资活动产生的现金流量净额369.00-140.00-105.00-150.00-154.00-38.00-42.00-37.00-33.00-42.00
发行股票产生的现金流入--------------------
回购股票产生的现金流出-------24.00-23.00---------23.00
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95.00126.00140.00819.00789.0030.0064.00725.00----
偿付债券现金流出-112.00-178.00-118.00-732.00-635.00-100.006.00-635.00-3.00-3.00
发行债券产生的现金流量净额-17.00-52.0022.0087.00154.00-70.0070.0090.00-3.00-3.00
分配股利、利润或偿付利息支付的现金-------23.00-12.00---------12.00
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19.008.00-207.00-20.00-137.0067.00-67.00-40.00-27.00-3.00
筹资活动产生的现金流量净额2.00-44.00-185.0020.00-18.00-3.003.0050.00-30.00-41.00
期初现金及现金等价物余额4.00292.00259.00251.00181.00251.00181.00213.00367.00365.00
汇率变动对现金及现金等价物的影响14.004.00-21.00-6.002.004.005.00-14.00-1.0012.00
现金及现金等价物净额288.00-33.00-8.00114.00144.00-70.0032.00154.00-2.00-40.00
期末现金及现金等价物余额292.00259.00251.00365.00325.00181.00213.00367.00365.00325.00
资本开支-54.00-146.00-107.00-150.00-155.00-38.00-42.00-37.00-33.00-43.00
自由现金流-151.001.00196.00100.00159.00-71.0024.00118.0029.00-12.00
估值比率年度季度
趋势2020-122021-122022-122023-12TTM2023-032023-062023-092023-122024-03
市盈率------13.9619.28--6.298.0313.9616.68
扣非市盈率------7.3313.00--5.165.827.3311.25
股价/巴菲特所有者每股收益--------------------
市净率------0.741.10--0.740.660.740.95
股价/每股有形账面价值------1.442.15--1.371.261.441.84
股价/自由现金流------14.2313.16--11.085.4314.2311.39
股价/每股经营现金流------5.696.65--5.673.405.695.75
市销率------0.410.59--0.430.360.410.51
市盈增长比--------------------
企业价值/收入------0.540.73--0.400.500.540.65
企业价值倍数------4.385.76--2.643.864.385.15
企业价值/息税前利润------7.249.35--3.896.087.248.36
乔尔·格林布拉特收益率 %------13.8110.70--25.7116.4513.8111.96
唐纳德·亚克曼收益率 %--------------------
席勒市盈率--------------------
股息率 %------1.651.66----0.931.651.95
估值和质量年度季度
趋势2020-122021-122022-122023-12TTM2023-032023-062023-092023-122024-03
总市值------1,3982,055--1,4811,2511,3981,756
企业价值------1,8972,563--1,3631,7521,8972,290
月末股价------30.2944.98--31.4926.7930.2938.43
每股现金净流量---47.51-46.37-38.75-39.47-38.41-35.39-41.38-38.75-39.47
净流动资产价值 NCAV---18.22-16.80-4.92-4.62-8.12-4.40-3.75-4.92-4.62
净净营运资本 NNWC---33.91-31.60-22.79-17.32-19.63-16.69-16.84-22.79-17.32
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--40.6246.9344.2140.1149.3556.2146.9741.1740.11
盈利能力值(EPV)--------------------
两年破产风险(Z分数)0.000.000.001.701.940.001.881.611.701.86
基本面趋势(F分数)------5--------5--
财务造假嫌疑(M分数)0.000.000.00-2.67-2.500.000.000.00-2.67-2.50
可供营运的资产净额/总资产----0.380.590.590.570.490.620.570.59
斯隆比率 %--3.471.570.05-1.612.402.64-1.690.05-1.61
流动比率--1.381.401.681.711.691.761.611.681.71
速动比率--1.031.011.251.271.201.221.211.251.27
现金比率--0.220.210.320.290.270.220.280.320.29
利息保障倍数2.128.2619.855.914.8713.3324.753.413.504.09
最高股价------37.0045.37--37.0036.7530.6938.43
最低股价------23.9423.46--31.0124.6023.9428.23
股票回购率 %-----0.891.812.84----0.701.121.04
股票回购收益率 %------1.721.12--------5.24
每股收入同比增长率 %--212.093.753.655.13-1.7110.453.202.764.50
每股收益同比增长率 %--222.5872.37-61.40-55.25-39.14-15.39-87.43-56.51-16.71
税息折旧及摊销前利润同比增长率 %--1,734.6226.35-20.05-13.96-17.401.08-37.94-17.1414.59
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46.6046.6046.6046.9046.1047.0247.0247.0046.6046.10
期末总股本46.6046.6047.0246.1745.6847.0247.0246.6946.1745.68
β贝塔系数--------------------
重述日期06/06/2302/28/2402/28/2402/28/2404/25/2404/25/2408/07/2311/06/2302/28/2404/25/24
报告日期06/06/2302/28/2406/06/2302/28/2404/25/2406/06/2308/07/2311/06/2302/28/2404/25/24
收益发布日期------02/21/2404/25/24--08/07/2311/06/2302/21/2404/25/24
股东人数------1,2621,262------1,262--
在职员工人数------13,20013,200------13,20013,200
外汇汇率1.001.001.001.00--1.001.001.001.001.00