*ST海投 (000616.SZ)

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财务摘要(报告期)(*ST海投)

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完整财报对比
2023年中报2023年一季报2022年年报2022年三季报2022年中报2022年一季报
每股指标:
 每股收益 - 基本(元) 0.01-0.01-0.530.070.04-
 每股收益 - 稀释(元) 0.01-0.01-0.530.070.04-
 每股收益 - 期末股本摊薄(元) 0.01-0.01-0.530.070.04-
 每股净资产BPS(元) 2.892.802.813.463.333.19
 每股经营活动产生的现金流量净额(元) ----0.01-0.01-
 每股营业收入(元) 0.010.010.040.030.020.01
关键比率:
 净资产收益率 - 摊薄(%) 0.41-0.22-19.021.991.12-0.11
 净资产收益率 - 加权(%) 0.42-0.22-18.142.121.16-0.11
 净资产收益率 - 平均(%) 0.42-0.22-17.742.061.14-0.11
 净资产收益率 - 扣除(%) 0.39-0.22-9.421.961.10-0.13
 总资产净利率 - 平均(%) 0.46-0.17-13.542.061.12-0.09
 总资产报酬率ROA(%) 0.64-0.08-13.162.331.30-0.05
 投入资本回报率ROIC(%) 0.40-0.21-16.871.971.09-0.11
 销售毛利率(%) 36.8532.6814.8636.9638.4234.97
 销售净利率(%) 160.11-118.40-1,152.97310.85221.92-36.18
 资产负债率(%) 16.6417.0416.999.019.139.75
 资产周转率(倍) --0.010.010.01-
 销售商品提供劳务收到的现金/营业收入(%) 147.37190.7887.51114.1885.52149.59
 营业利润同比增长率(%) -60.57-76.39-559.3534.21173.14-321.87
 营业收入同比增长率(%) -44.81-46.2080.7843.8342.9849.21
 利润总额同比增长率(%) -60.18-76.06-1,052.9234.19173.46-318.99
 归属母公司股东的净利润同比增长率(%) -68.07-76.34-1,791.9956.65344.29-315.29
 扣非后归属母公司股东的净利润同比增长率(%) -69.33-52.10-840.4058.10361.36-362.91
 总资产同比增长率(%) -3.02-2.10-2.452.54-0.32-0.48
 总负债同比增长率(%) 76.6771.1971.08-10.52-12.5131.27
 净资产同比增长率(%) -13.21-12.24-12.573.250.47-3.39
利润表摘要:
 营业总收入(元) 15,684,796.387,570,437.6064,213,096.0838,026,518.8828,417,277.9714,070,515.83
 营业总成本(元) 41,034,579.6119,316,512.07125,551,134.5773,545,659.7149,754,106.7525,153,755.02
 营业收入(元) 15,684,796.387,570,437.6064,213,096.0838,026,518.8828,417,277.9714,070,515.83
 营业利润(元) 24,881,669.12-8,913,237.32-352,673,353.85118,273,282.6763,102,397.38-5,053,032.19
 利润总额(元) 25,113,669.12-8,963,237.32-740,356,563.24118,207,069.7063,064,447.38-5,090,982.19
 净利润(元) 25,113,669.12-8,963,237.32-740,356,563.24118,207,069.7063,064,447.38-5,090,982.19
 归属母公司股东的净利润(元) 17,041,539.07-8,962,947.13-763,659,027.0898,377,451.5153,378,522.46-5,082,660.65
 非经常性损益(元) 960,448.31-27,851.69-385,617,314.261,284,732.16938,995.13791,648.85
 归属母公司股东的净利润扣除非经常性损益(元) 16,081,090.76-8,935,095.44-378,041,712.8297,092,719.3552,439,527.33-5,874,309.50
资产负债表摘要:
 流动资产(元) 19,354,417.1419,760,365.7429,971,864.0849,646,820.7859,935,948.1678,022,871.07
 固定资产(元) 894,110.10926,791.29998,113.031,257,942.351,589,658.261,913,113.85
 长期股权投资(元) 5,352,482,895.895,179,037,171.415,173,655,575.755,687,757,778.375,448,233,887.955,204,618,460.85
 资产总计(元) 5,553,174,132.005,390,806,001.405,399,231,746.955,957,495,196.485,726,391,374.205,506,718,380.38
 流动负债(元) 368,580,288.21163,354,352.91159,497,810.60153,333,253.27142,953,161.17145,862,302.20
 非流动负债(元) 555,463,084.10755,441,824.98757,851,706.61383,255,071.55380,074,691.75390,855,523.27
 负债合计(元) 924,043,372.31918,796,177.89917,349,517.21536,588,324.82523,027,852.92536,717,825.47
 股东权益(元) 4,629,130,759.694,472,009,823.514,481,882,229.745,420,906,871.665,203,363,521.284,970,000,554.91
 归属母公司股东的权益(元) 4,136,988,950.394,005,243,300.414,015,115,416.454,949,150,614.174,766,574,325.864,563,889,807.63
 资本公积(元) 52,446,617.0152,446,617.0152,446,617.0152,278,683.9352,278,683.9352,625,581.99
 盈余公积(元) 368,348,766.15368,348,766.15368,348,766.15368,348,766.15368,348,766.15368,348,766.15
 未分配利润(元) 2,068,066,279.682,042,061,793.482,051,024,740.612,913,061,219.202,868,062,290.152,809,601,107.04
现金流量表摘要:
 销售商品提供劳务收到的现金(元) 23,115,039.5514,442,651.9056,191,897.7543,418,307.5924,301,555.9621,048,304.31
 经营活动产生的现金净流量(元) -2,741,664.97383,728.71-5,144,236.26-7,377,861.73-9,731,695.641,890,819.61
 购建固定无形长期资产支付的现金(元) 63,020.0012,500.0096,843.00--46,044.00
 投资支付的现金(元) 7,393,137.733,662,406.127,191,028.977,051,028.973,117,967.512,981,767.51
 投资活动产生的现金净流量(元) 479,652.90-3,674,906.122,065,047.70-3,933,389.08-327.62-3,027,811.51
 筹资活动产生的现金净流量(元) -3,101,652.48-2,827,746.00-24,974,889.26-16,304,937.04-13,379,337.04-5,395,987.04
 现金及现金等价物净增加(元) -5,363,664.55-6,118,923.41-28,054,077.82-27,616,187.85-23,111,360.30-6,532,978.94
 期末现金及现金等价物余额(元) 3,656,997.762,954,765.309,020,662.3110,082,875.2214,587,702.7731,166,084.13
 折旧与摊销(元) 1,957,498.96-4,908,864.60-2,454,072.53-
公告日期 2023-08-292023-04-282023-04-282022-10-292022-08-252022-04-30
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