天意药业 (872055.oc)

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财务摘要(报告期)(天意药业)

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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) -0.070.050.100.200.05
 每股收益 - 稀释(元) -0.070.050.100.200.05
 每股收益 - 期末股本摊薄(元) -0.070.050.100.200.05
 每股净资产BPS(元) 1.641.721.801.671.43
 每股经营活动产生的现金流量净额(元) 0.310.37-0.01-0.15-0.01
 每股营业收入(元) 0.450.870.491.050.34
关键比率:
 净资产收益率 - 摊薄(%) -4.402.665.3311.873.58
 净资产收益率 - 加权(%) -4.312.705.2513.713.64
 净资产收益率 - 平均(%) -4.312.705.5413.153.65
 净资产收益率 - 扣除(%) -4.422.623.8711.693.46
 总资产净利率 - 平均(%) -2.321.543.248.382.50
 总资产报酬率ROA(%) -2.413.124.1811.383.15
 投入资本回报率ROIC(%) -2.453.994.5512.043.40
 销售毛利率(%) 43.1553.6557.2655.9051.55
 销售净利率(%) -16.095.2419.5718.9514.90
 资产负债率(%) 45.0441.3439.1337.4630.99
 资产周转率(倍) 0.140.290.170.440.17
 销售商品提供劳务收到的现金/营业收入(%) 90.86127.3477.7361.3092.88
 营业利润同比增长率(%) -182.31-80.56114.78-7.11-27.92
 营业收入同比增长率(%) -8.27-16.8546.35-4.17-24.02
 利润总额同比增长率(%) -180.74-80.93104.84-5.07-24.22
 归属母公司股东的净利润同比增长率(%) -175.25-76.9791.93-5.35-21.99
 扣非后归属母公司股东的净利润同比增长率(%) -204.28-76.9744.12-7.32-24.80
 总资产同比增长率(%) 1.509.3848.8347.6840.06
 总负债同比增长率(%) 16.8320.7187.91104.7079.79
 净资产同比增长率(%) -8.782.7328.9623.9823.25
利润表摘要:
 营业总收入(元) 23,357,185.0545,086,009.4925,462,724.8154,219,790.8417,398,622.84
 营业总成本(元) 27,180,882.9444,394,399.3220,979,876.9039,615,741.3914,596,748.07
 营业收入(元) 23,357,185.0545,086,009.4925,462,724.8154,219,790.8417,398,622.84
 营业利润(元) -4,814,215.752,335,029.965,848,710.7212,013,947.462,723,148.36
 利润总额(元) -4,724,254.802,328,922.245,850,975.4012,211,100.462,856,362.56
 净利润(元) -3,758,958.722,363,036.234,983,254.6410,276,907.972,592,723.38
 归属母公司股东的净利润(元) -3,749,184.542,367,100.384,982,048.6010,280,437.172,595,713.02
 非经常性损益(元) 19,735.2536,210.001,367,669.88158,459.6587,760.72
 归属母公司股东的净利润扣除非经常性损益(元) -3,768,919.792,330,890.383,614,378.7210,121,977.522,507,952.30
资产负债表摘要:
 流动资产(元) 59,050,292.2959,803,919.5279,001,142.6772,461,497.8542,297,228.20
 固定资产(元) 88,002,487.2689,670,099.5474,986,355.073,457,865.553,964,063.40
 资产总计(元) 163,907,308.59159,984,463.58161,490,825.05146,271,387.11108,504,519.19
 流动负债(元) 65,411,759.4563,031,509.5556,746,031.6447,609,842.1233,629,939.06
 非流动负债(元) 8,414,786.713,113,232.886,447,467.517,184,860.07-
 负债合计(元) 73,826,546.1666,144,742.4363,193,499.1554,794,702.1933,629,939.06
 股东权益(元) 90,080,762.4393,839,721.1598,297,325.9091,476,684.9274,874,580.13
 归属母公司股东的权益(元) 85,199,583.2688,948,767.8093,401,102.3686,581,667.4272,428,943.27
 资本公积(元) 8,406,797.298,406,797.298,406,797.298,406,797.293,016,797.29
 盈余公积(元) 3,570,836.673,570,836.673,332,845.233,332,845.232,303,672.28
 未分配利润(元) 21,358,949.3025,108,133.8429,798,459.8422,979,024.9016,323,473.70
现金流量表摘要:
 销售商品提供劳务收到的现金(元) 21,222,478.8757,411,366.3119,791,137.0933,238,551.9416,159,669.43
 经营活动产生的现金净流量(元) 16,235,785.9319,216,129.61-613,947.21-7,664,173.12-501,378.54
 购建固定无形长期资产支付的现金(元) 11,705,863.4626,158,999.623,351,585.6018,409,851.0213,368,501.94
 投资活动产生的现金净流量(元) -11,666,040.45-23,658,999.62-3,351,585.60-18,409,851.02-13,752,044.67
 吸收投资收到的现金(元) ---8,918,000.00-
 取得借款收到的现金(元) 28,017,272.0145,499,507.0024,850,000.0035,485,708.0021,075,708.00
 筹资活动产生的现金净流量(元) -7,593,504.61286,324.843,786,926.4729,096,789.9110,835,474.70
 现金及现金等价物净增加(元) -3,023,759.13-4,156,545.17-178,606.343,022,765.77-3,417,948.51
 期末现金及现金等价物余额(元) 863,285.723,887,044.857,864,983.688,043,590.021,602,875.74
 折旧与摊销(元) 3,504,825.095,432,666.891,401,246.801,199,699.14607,072.73
公告日期 2024-08-272024-04-252023-08-232023-04-202022-08-24
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