天一恩华 (873437.oc)

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财务摘要(报告期)(天一恩华)

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完整财报对比
2023年年报2023年三季报2023年中报2022年年报2022年三季报2022年中报
每股指标:
 每股收益 - 基本(元) 0.780.560.411.022.792.31
 每股收益 - 稀释(元) 0.780.560.411.022.792.31
 每股收益 - 期末股本摊薄(元) 0.780.560.410.982.642.30
 每股净资产BPS(元) 3.032.812.662.257.775.20
 每股经营活动产生的现金流量净额(元) 0.820.150.150.481.323.57
 每股营业收入(元) 4.633.212.383.9410.638.43
关键比率:
 净资产收益率 - 摊薄(%) 25.7119.9715.4443.5333.9844.16
 净资产收益率 - 加权(%) 29.5022.1916.7463.7350.9247.79
 净资产收益率 - 平均(%) 29.5022.1916.7458.4543.4046.72
 净资产收益率 - 扣除(%) 25.3219.6115.1742.6533.0042.77
 总资产净利率 - 平均(%) 16.6013.469.6524.5919.4817.64
 总资产报酬率ROA(%) 17.1013.849.8225.8420.1518.19
 投入资本回报率ROIC(%) 26.7420.3715.1248.6937.3237.72
 销售毛利率(%) 28.0427.7226.3935.8533.7634.50
 销售净利率(%) 16.8017.4817.2324.6524.6327.07
 资产负债率(%) 36.5324.6931.9151.1943.7957.13
 资产周转率(倍) 0.990.770.561.000.790.65
 销售商品提供劳务收到的现金/营业收入(%) 86.8675.9173.41119.22108.92106.99
 营业利润同比增长率(%) -21.07-14.66-25.1037.1742.3995.69
 营业收入同比增长率(%) 17.626.2119.0436.1535.8953.92
 利润总额同比增长率(%) -21.29-14.97-25.4837.2142.3795.67
 归属母公司股东的净利润同比增长率(%) -20.49-15.06-24.7628.9125.4391.43
 扣非后归属母公司股东的净利润同比增长率(%) -20.11-27.02-23.7028.3123.0787.79
 总资产同比增长率(%) 3.528.4936.4940.18-16.97
 总负债同比增长率(%) -26.12-38.82-23.757.62--10.69
 净资产同比增长率(%) 34.6144.52115.11104.32-100.28
利润表摘要:
 营业总收入(元) 600,351,717.33416,101,544.11308,972,134.06510,397,506.98344,696,888.17259,543,355.61
 营业总成本(元) 496,342,606.68343,502,190.70256,554,218.20387,762,703.81263,202,029.42191,903,947.95
 营业收入(元) 600,351,717.33416,101,544.11308,972,134.06510,397,506.98344,696,888.17259,543,355.61
 营业利润(元) 103,710,720.6474,556,220.1353,944,136.98131,400,474.5187,361,721.3672,021,854.14
 利润总额(元) 103,398,845.3474,263,578.3353,658,829.60131,364,699.0187,338,185.9572,009,413.96
 净利润(元) 100,844,218.8372,721,792.3253,226,532.82125,790,322.0484,908,529.7770,256,002.58
 归属母公司股东的净利润(元) 100,844,218.8372,721,792.3253,226,532.82126,831,143.6985,618,896.0470,741,340.24
 非经常性损益(元) 1,540,914.531,321,998.28947,887.362,538,300.002,483,352.012,224,223.82
 归属母公司股东的净利润扣除非经常性损益(元) 99,303,304.3071,399,794.0452,278,645.46124,292,816.7883,135,544.0368,517,116.42
资产负债表摘要:
 流动资产(元) 579,237,249.44442,007,777.81458,949,878.01539,048,373.03412,748,256.92334,389,463.06
 固定资产(元) 24,280,421.6428,524,807.5033,477,501.5143,385,635.2321,173,575.1323,870,931.64
 资产总计(元) 618,026,339.49483,515,395.83506,155,127.87597,017,804.97445,686,408.71370,840,044.46
 流动负债(元) 218,330,856.02112,605,698.27154,777,309.45297,904,733.44188,549,346.44205,195,474.62
 非流动负债(元) 7,457,297.986,793,938.586,757,318.947,719,104.876,624,887.886,650,181.10
 负债合计(元) 225,788,154.00119,399,636.85161,534,628.39305,623,838.31195,174,234.32211,845,655.72
 股东权益(元) 392,238,185.49364,115,758.98344,620,499.48291,393,966.66250,512,174.39158,994,388.74
 归属母公司股东的权益(元) 392,238,185.49364,115,758.98344,620,499.48291,393,966.66251,950,585.01160,207,770.75
 资本公积(元) 14,759,974.5814,759,974.5814,759,974.5814,759,974.58113,764,183.5838,528,962.12
 盈余公积(元) 35,596,408.6325,125,809.3625,125,809.3625,125,809.3615,000,000.0015,000,000.00
 未分配利润(元) 212,234,678.28194,582,851.04175,087,591.54121,861,058.7290,774,620.4375,897,064.63
现金流量表摘要:
 销售商品提供劳务收到的现金(元) 521,460,681.47315,875,000.16226,816,117.87608,483,402.89375,455,816.23277,678,393.58
 经营活动产生的现金净流量(元) 105,829,791.9119,136,431.6519,989,033.7262,227,228.9342,689,154.20109,892,335.32
 购建固定无形长期资产支付的现金(元) ---44,705,892.8215,437,525.4415,396,567.37
 投资支付的现金(元) 575,310,001.00391,310,000.00266,490,000.00751,590,000.00606,170,000.00465,000,000.00
 投资活动产生的现金净流量(元) 580,613.55-5,685,074.12883,839.676,382,771.6722,886,722.60-18,312,546.94
 吸收投资收到的现金(元) ---77,149,651.21--
 取得借款收到的现金(元) 20,000,000.0010,000,000.00-67,837,356.0037,837,356.0026,806,153.00
 筹资活动产生的现金净流量(元) -26,734,775.76-36,594,911.63-24,565,483.28-16,396,583.25-36,227,529.81-101,464,040.06
 现金及现金等价物净增加(元) 79,675,629.70-23,143,554.10-3,692,609.8952,213,417.3529,348,346.99-9,884,251.68
 期末现金及现金等价物余额(元) 209,548,431.15106,729,247.35126,180,191.56129,872,801.45107,007,731.0967,775,132.42
 折旧与摊销(元) 21,306,406.9816,499,662.3211,005,725.1013,384,300.009,276,539.885,976,395.51
公告日期 2024-04-292023-11-132023-08-302023-04-172022-10-312022-08-25
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