雷悦重工 (839609.OC)

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财务摘要(报告期)(雷悦重工)

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完整财报对比
2024年中报2023年年报2023年中报2022年年报2022年中报
每股指标:
 每股收益 - 基本(元) 0.041.050.451.261.16
 每股收益 - 稀释(元) 0.041.050.451.261.16
 每股收益 - 期末股本摊薄(元) 0.041.050.451.261.16
 每股净资产BPS(元) 3.893.863.272.824.30
 每股经营活动产生的现金流量净额(元) -0.36-0.080.241.651.60
 每股营业收入(元) 4.6411.595.1215.4512.78
关键比率:
 净资产收益率 - 摊薄(%) 0.9727.1813.9344.5027.03
 净资产收益率 - 加权(%) -31.4514.9657.2131.23
 净资产收益率 - 平均(%) 0.9831.3814.9357.2231.24
 净资产收益率 - 扣除(%) -25.8912.8844.4327.02
 总资产净利率 - 平均(%) 0.2611.255.1517.869.14
 总资产报酬率ROA(%) 0.0913.156.3619.9010.56
 投入资本回报率ROIC(%) 1.0523.6711.4840.9423.32
 销售毛利率(%) 7.3316.9617.9114.7017.36
 销售净利率(%) 0.639.079.218.109.04
 资产负债率(%) 70.2659.1763.7669.4372.68
 资产周转率(倍) 0.411.240.562.201.01
 销售商品提供劳务收到的现金/营业收入(%) 146.3374.4382.07110.50107.21
 营业利润同比增长率(%) -105.30-13.95-23.1514.27341.50
 营业收入同比增长率(%) -9.29-24.95-19.9154.01294.95
 利润总额同比增长率(%) -104.31-12.82-15.8112.94324.19
 归属母公司股东的净利润同比增长率(%) -91.67-16.58-21.6623.07341.61
 扣非后归属母公司股东的净利润同比增长率(%) --20.23-27.5524.63361.11
 总资产同比增长率(%) 44.232.2815.1093.47222.25
 总负债同比增长率(%) 58.93-12.840.97100.34225.50
 净资产同比增长率(%) 19.2037.1952.0580.09216.41
利润表摘要:
 营业总收入(元) 185,694,557.42463,749,552.02204,718,746.24617,919,345.67255,610,050.13
 营业总成本(元) 185,643,310.82417,403,502.69183,188,623.56562,457,922.67229,074,569.41
 营业收入(元) 185,694,557.42463,749,552.02204,718,746.24617,919,345.67255,610,050.13
 营业利润(元) -1,055,912.8746,609,737.5319,923,972.6654,167,498.3225,926,974.69
 利润总额(元) -941,733.1047,305,192.6321,832,501.7354,262,413.6425,931,556.07
 净利润(元) 1,169,601.4742,064,968.0718,847,562.6650,072,052.4223,103,326.05
 归属母公司股东的净利润(元) 1,515,638.1841,938,708.6518,189,236.4250,273,315.9723,218,233.49
 非经常性损益(元) -1,990,894.941,369,701.3877,018.073,486.44
 归属母公司股东的净利润扣除非经常性损益(元) -39,947,813.7116,819,535.0450,196,297.9023,214,747.05
资产负债表摘要:
 流动资产(元) 437,247,973.36289,258,594.33271,251,986.69284,929,279.52270,102,316.43
 固定资产(元) 51,950,167.8754,362,250.1655,179,816.2654,398,088.6119,562,276.97
 资产总计(元) 522,411,162.21377,991,276.47362,208,078.38369,568,740.09314,702,761.21
 流动负债(元) 342,439,191.60198,664,397.59202,076,774.14233,009,103.63214,851,813.53
 非流动负债(元) 24,605,347.5724,987,340.9728,865,935.8023,581,023.1813,878,173.35
 负债合计(元) 367,044,539.17223,651,738.56230,942,709.94256,590,126.81228,729,986.88
 股东权益(元) 155,366,623.04154,339,537.91131,265,368.44112,978,613.2885,972,774.33
 归属母公司股东的权益(元) 155,695,948.80154,275,796.57130,622,292.42112,985,215.1385,905,267.23
 资本公积(元) 371,302.72371,302.72371,302.72371,302.72371,302.72
 盈余公积(元) 15,273,504.4615,273,504.4611,164,779.6411,164,779.646,278,639.54
 未分配利润(元) 100,254,624.6898,738,986.5079,098,239.0961,443,602.9959,274,660.61
现金流量表摘要:
 销售商品提供劳务收到的现金(元) 271,730,911.56345,188,950.47168,002,642.02682,789,339.65274,032,826.28
 经营活动产生的现金净流量(元) -14,444,815.28-3,085,000.759,695,640.6965,969,273.1031,949,113.21
 购建固定无形长期资产支付的现金(元) 893,488.346,652,098.115,325,417.3146,512,228.0510,535,935.44
 投资活动产生的现金净流量(元) -893,488.34-6,652,098.11-5,325,417.31-46,512,228.05-10,535,935.44
 取得借款收到的现金(元) 70,000,000.0040,000,000.0020,000,000.0023,000,000.00-
 筹资活动产生的现金净流量(元) 68,298,890.1811,079,095.2617,357,477.552,913,270.66-7,231,634.86
 现金及现金等价物净增加(元) 56,084,173.471,830,665.1921,828,737.1922,868,944.9414,860,562.67
 期末现金及现金等价物余额(元) 98,290,700.8742,206,527.4062,204,599.4040,375,862.2132,367,479.94
 折旧与摊销(元) --3,916,203.534,005,057.411,514,932.13
公告日期 2024-08-272024-04-232023-08-232023-04-192022-08-24
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