杭萧钢构

- 600477

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昨收盘:- 今开盘:- 最高价:- 最低价:-
市值:-亿元 流通:- 成交:-手 换手:-
单位:元
杭萧钢构(600477) 财务指标
报告期2008-06-302008-03-312007-12-312007-09-302007-06-30
每股财务数据
每股收益(元)0.08050.01840.14660.11180.056
每股收益增长率(%)44.6241-3.567671.771446.19546.0026
每股收益-扣除(元)0.07590.01230.12640.10610.044
每股收益-扣除-增长率(%)72.511.818280.571439.0564-15.3846
每股收益-加权(元)0.080.020.14660.1120.056
每股收益-加权-增长率(%)42.85715.263262.888907.6923
每股收益-扣除/加权(元)0.0760.010.12640.1060.044
每股收益-扣除/加权-增长率(%)72.7273080.57140-15.3846
每股未分配利润(元)0.98570.98370.96530.74380.6876
每股可分配利润(元)00000
每股净资产(元)2.372.362.352.312.26
每股净资产增长率(%)4.89984.49576.57735.47953.8386
每股净资产-调整(元)00000
每股现金含量(元)0.12-0.251.691.280.8834
每股资本公积金(元)0.23010.23010.23010.23590.2359
每股盈余公积金(元)0.15070.15070.15070.33250.3325
每股负债比(%)1077.26081015.45021014.7655938.2705984.4704
偿债能力分析
流动比率0.83910.83740.8360.83580.8333
速动比率0.38650.37150.43450.44490.4494
现金流动负债比(%)1.2092-2.794918.892215.902510.3885
股东权益比(%)17.683818.54918.424119.359418.2848
流动负债率(%)90.293288.143388.100785.800886.377
负债权益比(%)455.2017429.4515432.532405.7954436.3754
经营效率分析
存货周转天(天)115.8972139.297388.285192.2037108.4403
存货周转率(倍)1.55310.64614.07772.92831.6599
应收款周转天(天)46.64353.747473.707189.7696106.0945
应收帐款周转率(倍)3.85911.67454.88423.00771.6966
主营成本比例(%)89.939488.790588.692588.018187.7817
营业费用比例(%)1.64732.20711.87242.03812.3182
管理费用比例(%)3.56984.75283.60693.87344.3429
财务费用比例(%)2.54192.91952.47682.70723.1491
总资产周转率(倍)0.52840.22160.96010.65480.3754
盈利能力分析
经营净利率(%)1.16610.65251.28021.48041.2633
经营毛利率(%)9.110310.287410.174210.976311.0114
资产利润率(%)1.1030.37271.98391.69530.8954
资产净利率(%)0.61610.14461.22910.96940.4743
净利润率(%)1.16610.65251.28021.48041.2633
净资产收益率(%)3.40.786.254.832.47
净资产收益率-增长率(%)37.8688-7.716361.170738.60082.084
净资产收益率-扣除(%)3.210.525.394.591.95
净资产收益率-扣除-增长率(%)64.61548.333362.839931.8966-18.41
净资产收益率-加权(%)3.3706.402.46
净资产收益率-加权-增长率(%)36.9919062.849902.0747
净资产收益率-扣除/加权(%)3.1805.5201.95
净资产收益率-扣除/加权-增长率(%)63.0769064.77610-18.41
税前利润增长率(%)37.154340.522951.456856.804427.7182
扣除非经常性损益后净利润18783740.13046600.9731296738.0726275209.5710880806.31
成长能力分析
主营收入增长率(%)56.686159.911250.919553.880450.4041
净利润增长率(%)44.6241-3.567671.771446.19546.0026
总资产增长率(%)8.46476.049814.52069.331921.2128
股东权益增长率(%)4.89984.49576.57735.47953.8386
主营利润增长率(%)29.635237.53516.617420.46269.1995
财务结构分析
资产负债率(%)80.497179.658979.690278.559479.7903
长期负债资产比(%)7.7519.37449.407111.041410.7536
固定比(%)38.569840.703440.748643.082742.0471
现金流量比率
主营收入现金含量(倍)0.93030.89841.00671.00791.0585
净利润现金含量(倍)1.462-13.578611.522111.452315.8802
杭萧钢构(600477) 财务指标
报告期2007-03-312006-12-312006-09-302006-06-302006-03-31
每股财务数据
每股收益(元)0.01910.0850.0760.0520.024
每股收益增长率(%)-20.5271-48.1953-48.7368-43.8355-62.037
每股收益-扣除(元)0.0110.070.07630.0520.023
每股收益-扣除-增长率(%)-52.1739-53.3333-48.201-42.2222-64.2302
每股收益-加权(元)0.0190.09--0.052--
每股收益-加权-增长率(%)---52.6316---52.7273--
每股收益-扣除/加权(元)--0.07--0.052--
每股收益-扣除/加权-增长率(%)---58.8235---52.7273--
每股未分配利润(元)0.65110.59020.60760.58360.5851
每股可分配利润(元)--0.6202--0.6136--
每股净资产(元)2.262.22.192.172.18
每股净资产增长率(%)3.80972.35962.70364.5324-34.6223
每股净资产-调整(元)--2.192.172.142.15
每股现金含量(元)0.4366-0.0596-0.3015-0.1783-0.2002
每股资本公积金(元)0.27920.28710.28670.29130.2968
每股盈余公积金(元)0.33250.3240.29780.29780.2978
每股负债比(%)946.7748858.65840.8349767.9904694.0316
偿债能力分析
流动比率0.83990.81610.82670.81070.7601
速动比率0.56230.62390.55870.57750.5507
现金流动负债比(%)5.4007-0.8226-4.2819-2.8195-3.4147
股东权益比(%)18.824919.797320.066421.344223.1632
流动负债率(%)85.391384.359783.736882.355684.491
负债权益比(%)418.4085390.0618383.5818353.4859318.3985
经营效率分析
存货周转天(天)107.040967.968195.504293.047395.4705
存货周转率(倍)0.84085.29662.82711.93450.9427
应收款周转天(天)135.8491116.373123.5359128.4888138.0792
应收帐款周转率(倍)0.66253.09352.18561.40090.6518
主营成本比例(%)86.594585.660884.956483.805781.3724
营业费用比例(%)2.98772.66733.06463.44014.2297
管理费用比例(%)5.40885.41595.26065.39766.7171
财务费用比例(%)3.77233.34083.55443.7693.9216
总资产周转率(倍)0.15260.74750.48820.30250.1427
盈利能力分析
经营净利率(%)1.08211.12481.55821.79251.8128
经营毛利率(%)11.961113.166914.021315.166317.5055
资产利润率(%)0.2921.53921.24030.84950.4309
资产净利率(%)0.16510.84080.76070.54220.2586
净利润率(%)1.08211.12481.55821.79251.8128
净资产收益率(%)0.843.883.492.421.1
净资产收益率-增长率(%)-23.4437-49.3895-50.0863-46.2707-41.9328
净资产收益率-扣除(%)0.483.313.482.391.06
净资产收益率-扣除-增长率(%)-54.717-52.0984-49.5652-45.9276-45.0777
净资产收益率-加权(%)--3.93--2.41--
净资产收益率-加权-增长率(%)---50.2532---46.085--
净资产收益率-扣除/加权(%)--3.35--2.39--
净资产收益率-扣除/加权-增长率(%)---53.0154---45.6818--
税前利润增长率(%)-15.6423-44.787-46.7073-41.1106-34.3668
扣除非经常性损益后净利润2711300.2318024431.218880976.2112870743.895701072.28
成长能力分析
主营收入增长率(%)33.137523.883511.5169-2.4399-5.9592
净利润增长率(%)-20.5271-48.1953-48.7368-43.8355-39.2592
总资产增长率(%)27.733221.129119.820415.253915.5636
股东权益增长率(%)3.80972.35962.70364.53244.6043
主营利润增长率(%)-9.03065.80320.601-1.26199.1856
财务结构分析
资产负债率(%)78.764977.221676.971175.448773.7512
长期负债资产比(%)11.374112.077712.51813.312511.438
固定比(%)42.89746.837446.713749.627852.6386
现金流量比率
主营收入现金含量(倍)1.25590.87860.93641.09541.0352
净利润现金含量(倍)22.8546-0.6982-3.9428-3.3981-8.3297
杭萧钢构(600477) 财务指标
报告期2005-12-312005-09-302005-06-302005-03-312004-12-31
每股财务数据
每股收益(元)0.160.150.0930.06330.51
每股收益增长率(%)-67.8864-57.058-46.9461-51.7484-39.3226
每股收益-扣除(元)0.150.14730.090.06430.49
每股收益-扣除-增长率(%)-69.3878-54.0835-40-26.6819-43.0233
每股收益-加权(元)0.19--0.11--0.51
每股收益-加权-增长率(%)-62.7451---38.8889---56.0345
每股收益-扣除/加权(元)0.17--0.11--0.49
每股收益-扣除/加权-增长率(%)-65.3061---26.6667---58.1197
每股未分配利润(元)0.56110.6120.55790.90830.8431
每股可分配利润(元)0.62360.67450.6204--0.9181
每股净资产(元)2.152.132.083.333.27
每股净资产增长率(%)-34.2462-31.1471-29.0105-42.3607-42.1466
每股净资产-调整(元)2.132.082.033.273.22
每股现金含量(元)0.2680.1230.06140.08520.1695
每股资本公积金(元)0.29170.29110.29081.06021.06
每股盈余公积金(元)0.29780.23130.22970.36560.3675
每股负债比(%)668.8994665.4219639.1045913.1246778.4785
偿债能力分析
流动比率0.76040.78780.77960.76710.766
速动比率0.57390.58590.60330.57950.6068
现金流动负债比(%)4.70762.04551.0060.96792.1781
股东权益比(%)23.427523.410723.533425.589927.7508
流动负债率(%)85.11690.367895.532996.41399.9434
负债权益比(%)311.0331311.7669307.4958273.8744238.0199
经营效率分析
存货周转天(天)64.56772.982865.895468.477553.0754
存货周转率(倍)5.57563.69952.73161.31436.7828
应收款周转天(天)107.2578115.0846112.1845111.138675.2587
应收帐款周转率(倍)3.35642.34611.60450.80984.7835
主营成本比例(%)83.574583.588584.218184.190883.7088
营业费用比例(%)2.99322.362.15862.23821.8206
管理费用比例(%)4.60044.9385.35045.41224.8664
财务费用比例(%)3.33853.32993.1133.13162.3792
总资产周转率(倍)0.74030.53390.37050.18181.0103
盈利能力分析
经营净利率(%)2.68973.38973.11372.80665.045
经营毛利率(%)15.416915.542714.985415.077415.2406
资产利润率(%)3.42012.83861.72410.7876.553
资产净利率(%)1.99121.80991.15370.51045.097
净利润率(%)2.68973.38973.11372.80665.045
净资产收益率(%)7.666.994.51.915.68
净资产收益率-增长率(%)-51.1609-37.6323-25.2651-16.28694.8814
净资产收益率-扣除(%)6.916.94.421.9314.96
净资产收益率-扣除-增长率(%)-53.8102-33.3333-14.506826.9737-1.4493
净资产收益率-加权(%)7.9--4.47--16.91
净资产收益率-加权-增长率(%)-53.2821---26.601---52.5932
净资产收益率-扣除/加权(%)7.13--4.4--16.14
净资产收益率-扣除/加权-增长率(%)-55.824---16.0305---55.439
税前利润增长率(%)-31.3561-17.2766-1.2244.451523.0526
扣除非经常性损益后净利润36795978.2836477832.3722751865.439956671.5175730495.52
成长能力分析
主营收入增长率(%)-3.6247-1.419318.049433.495822.8865
净利润增长率(%)-48.6183-31.2928-15.1138-3.496821.3549
总资产增长率(%)24.621126.16122.83928.734341.2729
股东权益增长率(%)5.206110.164713.583115.278615.7068
主营利润增长率(%)-2.5099-0.016613.859927.135731.4889
财务结构分析
资产负债率(%)72.867272.986972.364270.084366.0525
长期负债资产比(%)10.84557.03023.23262.51390.0374
固定比(%)52.836748.038946.107848.165949.4342
现金流量比率
主营收入现金含量(倍)0.981.01690.89691.05740.7845
净利润现金含量(倍)1.6270.82460.65741.34570.3304
杭萧钢构(600477) 财务指标
报告期2004-09-302004-06-302004-03-312003-12-312003-06-30
每股财务数据
每股收益(元)0.350.180.130.850.63
每股收益增长率(%)0-72.009200.69070
每股收益-扣除(元)0.32080.150.08770.860.51
每股收益-扣除-增长率(%)0-70.588201.17650
每股收益-加权(元)--0.18--1.160.63
每股收益-加权-增长率(%)0-71.4286038.09520
每股收益-扣除/加权(元)--0.15--1.170.51
每股收益-扣除/加权-增长率(%)0-70.5882037.64710
每股未分配利润(元)0.81940.64821.22521.08451.3376
每股可分配利润(元)0.89440.7232--1.08451.3376
每股净资产(元)3.12.935.785.652.66
每股净资产增长率(%)010.11870177.90260
每股净资产-调整(元)3.062.895.715.62--
每股现金含量(元)-0.2902-0.349-1.10680.02561.16
每股资本公积金(元)1.05491.0543.1083.1080.0053
每股盈余公积金(元)0.22560.22560.45120.46090.3257
每股负债比(%)773.2626790.74591375.92411064.39351262.2206
偿债能力分析
流动比率0.88090.93940.97511.10960.72
速动比率0.67470.73060.69040.83740.45
现金流动负债比(%)-4.0619-4.7672-8.79640.274210.448
股东权益比(%)26.8125.451128.576933.882516.8019
流动负债率(%)92.395192.588791.446887.708487.7938
负债权益比(%)249.4493270.0835237.8672188.2772474.742
经营效率分析
存货周转天(天)61.979274.080297.698751.857546.9974
存货周转率(倍)4.35632.42980.92126.94213.83
应收款周转天(天)73.994982.068187.710750.025739.3873
应收帐款周转率(倍)3.64892.19331.02617.19634.57
主营成本比例(%)83.687483.633383.458284.119884.7893
营业费用比例(%)1.93492.07592.681.7161.6019
管理费用比例(%)5.03945.84826.28724.68883.9293
财务费用比例(%)2.47222.74512.72481.39651.3218
总资产周转率(倍)0.71760.40990.18311.34540.8426
盈利能力分析
经营净利率(%)4.86354.33013.88245.10875.4272
经营毛利率(%)15.324615.536815.831614.243513.2291
资产利润率(%)4.54652.27931.01268.71485.3166
资产净利率(%)3.49011.77480.71086.87324.5731
净利润率(%)4.86354.33013.88245.10875.4272
净资产收益率(%)11.216.022.2714.9523.67
净资产收益率-增长率(%)0-74.58130-63.76760
净资产收益率-扣除(%)10.355.171.5215.1819.01
净资产收益率-扣除-增长率(%)0-72.80380-63.47450
净资产收益率-加权(%)--6.09--35.6726.79
净资产收益率-加权-增长率(%)0-77.26760-29.78350
净资产收益率-扣除/加权(%)--5.24--36.2221.52
净资产收益率-扣除/加权-增长率(%)0-75.65060-29.18870
税前利润增长率(%)0-8.6378057.68020
扣除非经常性损益后净利润49636064.3123408234.966786997.1466397817.78--
成长能力分析
主营收入增长率(%)03.66290101.18140
净利润增长率(%)0-17.2927048.76060
总资产增长率(%)0114.80370110.8080
股东权益增长率(%)0225.37920310.57370
主营利润增长率(%)021.7457057.98280
财务结构分析
资产负债率(%)66.877568.739367.97563.793179.7658
长期负债资产比(%)5.0865.09455.8147.84129.7364
固定比(%)45.570940.2139.385638.153449.988
现金流量比率
主营收入现金含量(倍)0.81180.94030.83290.91690.6674
净利润现金含量(倍)-0.8355-1.9818-8.43380.03031.8401
杭萧钢构(600477) 财务指标
报告期2002-12-312001-12-312000-12-31
每股财务数据
每股收益(元)0.840.320.22
每股收益增长率(%)163.195646.2064--
每股收益-扣除(元)0.850.360.12
每股收益-扣除-增长率(%)136.1111200--
每股收益-加权(元)0.840.321.02
每股收益-加权-增长率(%)162.5-68.6275--
每股收益-扣除/加权(元)0.850.360.56
每股收益-扣除/加权-增长率(%)136.1111-35.7143--
每股未分配利润(元)0.70840.1396-0.0616
每股可分配利润(元)0.74660.16450.448
每股净资产(元)2.031.230.94
每股净资产增长率(%)65.002831.369--
每股净资产-调整(元)------
每股现金含量(元)0.870.76--
每股资本公积金(元)0.00020.00020
每股盈余公积金(元)0.32570.0930
每股负债比(%)936.9033415.8263379.6157
偿债能力分析
流动比率0.670.850.79
速动比率0.410.630.63
现金流动负债比(%)10.6423----
股东权益比(%)17.396922.246519.7498
流动负债率(%)87.631985.910199.6572
负债权益比(%)460.5565337.2807404.498
经营效率分析
存货周转天(天)55.130254.878110.7692
存货周转率(倍)6.536.563.25
应收款周转天(天)49.586868.7023113.5647
应收帐款周转率(倍)7.265.243.17
主营成本比例(%)78.924675.837168.9296
营业费用比例(%)2.18852.56162.653
管理费用比例(%)5.75327.422210.7644
财务费用比例(%)1.94912.81924.9572
总资产周转率(倍)1.41021.1487--
盈利能力分析
经营净利率(%)6.90895.39589.1773
经营毛利率(%)18.138321.49126.8337
资产利润率(%)11.65458.8298--
资产净利率(%)9.74286.198--
净利润率(%)6.90895.39589.1773
净资产收益率(%)41.2725.8723.25
净资产收益率-增长率(%)59.509811.2945--
净资产收益率-扣除(%)41.5629.1412.76
净资产收益率-扣除-增长率(%)42.6218128.3699--
净资产收益率-加权(%)50.829.0536.03
净资产收益率-加权-增长率(%)74.8709-19.3727--
净资产收益率-扣除/加权(%)51.1532.7219.77
净资产收益率-扣除/加权-增长率(%)56.326465.5033--
税前利润增长率(%)120.9967127.4181--
扣除非经常性损益后净利润------
成长能力分析
主营收入增长率(%)105.5549148.6695--
净利润增长率(%)163.195646.2064--
总资产增长率(%)110.999716.6252--
股东权益增长率(%)65.002831.369--
主营利润增长率(%)73.486999.1588--
财务结构分析
资产负债率(%)80.122675.033379.8874
长期负债资产比(%)9.909710.57210.2738
固定比(%)53.217240.647238.254
现金流量比率
主营收入现金含量(倍)0.8764----
净利润现金含量(倍)1.0407----
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