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*ST夏利 (000927)


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流通市值: 市盈率: 52周最高:6.41 52周最低:2.83

*ST夏利(000927) 主要财务指标

下载数据
净利润
主营收
每股收益
报告日期
基本每股收益(元)
每股净资产(元)
每股经营活动产生的现金流量净额(元)
主营业务收入(万元)
主营业务利润(万元)
营业利润(万元)
投资收益(万元)
营业外收支净额(万元)
利润总额(万元)
净利润(万元)
净利润(扣除非经常性损益后)(万元)
经营活动产生的现金流量净额(万元)
现金及现金等价物净增加额(万元)
总资产(万元)
流动资产(万元)
总负债(万元)
流动负债(万元)
股东权益不含少数股东权益(万元)
净资产收益率加权(%)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302005-03-312004-12-312004-09-302004-06-302004-03-312003-12-312003-09-302003-06-302003-03-312002-12-312002-09-302002-06-302002-03-31
0.24-0.08-0.93-0.44-0.35-0.120.02-0.63-0.40-0.14-1.03-0.70-0.43-0.170.10-0.52-0.33-0.100.01-0.54-0.34-0.16-1.04-0.44-0.27-0.13-0.30-0.060.00-0.040.020.050.060.030.070.070.030.030.190.180.180.130.110.040.03-0.050.060.090.060.010.150.060.070.03----------------------------------------
--------------------------------------------------------------2.332.342.332.302.302.262.292.262.272.272.302.162.102.082.052.062.092.062.132.122.022.032.052.062.051.981.911.861.791.741.671.701.711.741.671.681.781.711.521.461.621.902.18
---------------------------------------------------------------0.70-0.42-0.12-0.51-0.54-0.21-0.12-0.54-0.65-0.210.13-0.260.26-0.030.07-0.33-0.33-0.060.13-0.28-0.190.050.031.050.000.00--0.770.000.000.000.030.000.000.00-0.170.000.000.000.780.000.990.00
6,4823,5317,5836,50815,32913,48718,24221,19635,51537,53145,42137,43427,28035,00255,30346,94844,32855,96774,49261,53487,425116,97698,94266,63067,43590,157148,246107,592135,652170,884198,059147,503198,817205,816251,914197,634240,937304,889326,005174,968219,437268,715224,569192,553229,377210,228169,318148,700187,404222,531192,136186,625185,595215,946203,981184,493224,513198,785195,189171,552202,002141,764133,741109,668159,184151,075140,181130,014129,828136,948115,438110,655110,65378,383
795282525-538-6,795-15,917-12,517-7,294-9,697-9,913-20,847-23,406-14,421-16,415-19,420-16,281-15,734-14,793-29,673-12,601-2,201-9,321-15,795-16,023-10,308-10,943-5,191-7,229-5,2845813,140-361,6452473,594-1,15813,6918,68021,246-2,7907,8278,49816,300-76019,4659,17920,1943,4218,0947726,8137,79510,84611,95920,84314,11522,02431,23528,48011,16415,69413,7713,9574,7088,90610,7227,9457,95526,43120,7543,265-3,644-6,5034,676
51,422-12,797-30,199-14,784-35,247-19,908104,454-36,526-41,603-22,303-48,687-43,945-40,280-26,85795,616-31,503-36,627-17,127-63,855-33,491-29,824-27,455-97,865-27,679-25,237-22,064-39,195-11,859-11,524-7,037-5,901-2,1172,6554,169-1,2195,061-1,1043,6082,542-2,0967,68621,3588,8311,96513,639-8,099-3,8433,0992,0301,6895,772-1,4376,9534,901-16,0491165822,2297,719-1,3792,905-1,852-4,745-10,345-41-4,127-6,836-6,09612,5763,908-11,500-17,722-36,540-3,055
73,123527-23645613574180,8865,4234,7847,2301,7676,5935,6245,776181,9148,85210,55913,79721,3319,8249,2998,2601315,15215,00712,76620,61621,48833,59321,59316,10732,56841,96738,69646,00535,62815,06226,50732,76024,41229,87542,07534,14035,29123,6011,8764,18125,86531,69620,74442,2997,18511,36011,23219,2318,8639,7936,5776,16910,2545,665-1,2764,6365,8876,0895,390-10,34317,81517,1271,725-9,82036180
------------------------------------------------------------------------------------------------------------00000000000000000000
51,494-12,791-77,880-14,910-35,229-19,897103,983-36,500-41,427-22,281-49,458-43,754-40,335-26,58099,039-30,647-35,129-16,67588,321-31,674-27,895-25,658-96,017-25,873-23,056-20,082-37,574-10,2226,561-5,582-4,169-5334,0825,7305956,4681505,3254,6723157,52121,3929,4162,02314,627-7,949-5,4283,8514,1311,8846,381-1,3826,9964,9252,28411,19710,8018,82011,0588,9359,271-3,18634-4,4646,1861,318-17,99911,70029,6895,560-20,551-17,779-37,531-3,165
51,643-12,793-78,000-14,927-35,224-19,902104,025-36,552-41,442-22,300-51,708-43,781-41,981-26,58398,755-30,645-35,188-16,68987,203-31,659-28,021-25,718-96,418-25,933-23,370-20,192-38,062-10,3886,272-5,814-4,899-7063,5395,486686,266-5425,1451,145457,64321,13510,6361,77413,179-8,016-3,7633,6088,4711,68814,767-1,6816,8154,7962,20311,16510,6688,91511,0718,8849,264-3,206-62-4,5176,1701,318-18,01611,69529,6815,560-20,777-17,609-37,512-3,139
----------------------------------------------------------------------------------------------------------------------------------------------------
-11,667-7,459-70,259-35,592-29,757-24,903-130,595-92,853-55,520-24,125-168,407-137,400-109,054-48,857-218,031-161,943-99,280-54,187-180,298-126,973-72,368-12,884-148,374-141,463-94,569-29,052-166,732-146,427-47,764-9,444-102,438-111,969-66,424-19,420-80,741-86,862-32,871-18,809-86,377-103,554-33,28320,768-42,00141,491-4,88210,715-52,662-52,003-9,03920,994-44,106-30,6758,5765,020167,657163,53994,05246,489122,736121,996104,62553,9704,3063,92233,72830,588-27,2099,858-11,72613,539124,1250143,8630
-5,751-8,545-115,522-90,256-78,992-30,29553,568-56,764-32,767-44,976-20,718-3,188-4,738-811-43,046110,050-34,822-71,312106,42316,51710,091-5,364-7,4395,33856,205-9,759-34,769-7,08063,031-20,712-7,153-26,37735,483-11,19712,81320,88484,697-13,03911,530-2,55029,024-358-17,14940,38133,93014,129-71,477-76,880-4,00312,070-26,150-68,568-16,916-57,50648,69446,87432,66425,69129,35139,20323,98711,1992,9439,10627,07735,639-74,435-37,470-10,3875,80566,6560137,4540
218,910182,320194,653280,380317,242409,090451,453456,620463,699476,863490,030510,260509,757479,955470,929715,381552,864521,999590,392682,584663,396674,255680,368720,314767,882791,943819,028841,878900,350895,590899,353913,642960,479982,724919,414899,835931,868949,451907,931809,428827,959881,281806,692811,659802,466747,722735,050718,405736,011689,304693,584606,537687,958671,761709,509710,427755,556780,178736,818804,082804,756771,398798,211784,680812,665758,562746,327816,215796,469804,957754,045781,357860,041764,899
110,58472,13480,538118,996151,565236,594274,742155,309163,344164,762193,921239,131255,220213,302209,421378,255220,558152,800227,564177,752167,276136,905138,942175,006233,606162,349206,283240,176313,008206,058221,774256,971332,480297,420287,017338,914415,247334,731340,458282,884308,890305,611273,969342,788366,101241,671233,862260,439322,760275,345304,926225,478315,101267,147336,248348,622419,947434,170391,730453,018461,839430,547457,238449,983474,877468,351441,209506,363535,072--000487,729
301,134330,943330,544338,374360,319416,973439,437548,085518,589490,320481,199449,812405,548333,762298,154641,412448,247382,004433,717613,158562,287544,977525,413468,934490,604491,082498,051482,825530,953530,848529,133538,615584,838607,559549,668530,210568,620580,953544,670443,835462,483512,343459,000474,673467,353417,911403,389383,194404,508347,348353,426282,248362,121343,170379,912383,933440,020475,210440,736518,415527,977503,884527,584511,524535,042492,752478,937531,661523,691561,860521,752523,431584,542--
206,493242,454243,016305,718328,761399,312407,778511,325490,981458,908449,788399,388355,118278,441242,832583,484390,319374,006425,716554,431501,846482,858461,596405,565425,435428,422433,974420,439471,071471,457468,275469,762515,528538,324477,297459,368499,794510,862472,936374,016457,101506,801455,733471,952464,616414,636401,077378,293399,439335,915341,871257,193332,061312,920367,015352,478408,564468,754419,280426,772436,387412,294436,038439,660463,178420,888407,073460,644452,674--000372,603
-84,816-151,405-138,673-60,680-45,754-10,5689,334-94,468-57,933-16,4965,79957,485101,259143,234169,80971,063101,702136,886153,56766,36298,018126,035151,741248,144274,072297,435317,608355,655366,084361,349366,950371,793372,499372,151366,665366,597360,330365,658360,513362,656362,611366,134344,999334,344332,570327,367329,249332,889329,281339,677337,989322,566324,247327,060328,123326,494315,537304,968296,082285,668276,779267,514270,628273,156277,623265,811267,390284,554272,778243,097232,293258,313275,922316,174
0.000.000.000.000.000.0049.150.000.000.00-186.83-98.86-50.59-16.9810.04-73.48-40.66-11.491.18-78.32-43.04-18.52-70.71-24.57-14.73-6.57-14.03-2.740.12-1.600.932.252.431.523.012.991.271.428.518.058.015.945.25--1.560.003.040.003.06--6.730.003.54--10.540.006.40--9.170.002.210.001.080.002.740.0011.610.0013.810.00-29.330.00-13.720.00

下载数据 盈利能力

营业利润率

营业利润率

净资产收益率

净资产收益率

2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-31
总资产利润率(%) 17.68-7.02-76.01-24.98-17.38-4.86
主营业务利润率(%) 10.766.63-52.96-65.82-78.82-118.02
总资产净利润率(%) 18.72-6.79-45.80-19.14-14.34-4.62
成本费用利润率(%) 96.28-75.41-97.77-61.78-63.62-52.39
营业利润率(%) 385.75-362.44-233.38-197.99-191.40-147.60
主营业务成本率(%) 86.2187.26148.19161.21174.40213.44
销售净利率(%) 386.51-362.33-344.81-198.30-191.32-147.54
净资产收益率(%) ------------
股本报酬率(%) 157.29-8.0237.73-43.91154.68-12.47
净资产报酬率(%) ------------
资产报酬率(%) 114.61-7.0230.92-24.9877.77-4.86
销售毛利率(%) ---------74.40-113.44
三项费用比重(%) 312.21387.04199.65155.07121.8663.59
非主营比重(%) 190.49-4.1731.08-2.48-2.21-2.94
主营利润比重(%) 2.78-1.8315.3633.2041.2080.00

下载数据 偿还能力

流动比率

流动比率

资产负债率

资产负债率

2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-31
流动比率(%) 0.540.300.330.390.460.59
速动比率(%) 0.520.280.310.370.440.55
现金比率(%) 2.853.266.7716.1023.9939.37
利息支付倍数(%) 1,367.43-1,111.38-3,197.28-1,927.29-2,353.35-1,664.17
资产负债率(%) 137.56181.52169.81120.68113.58101.93
长期债务与营运资金比率(%) --0.000.00------
股东权益比率(%) -37.56-81.52-69.81-20.68-13.58-1.93
长期负债比率(%) --0.000.00------
股东权益与固定资产比率(%) -94.50---148.92---27.92--
负债与所有者权益比率(%) -366.24-222.67-243.24-583.47-836.45-5,289.28
长期资产与长期资金比率(%) ---74.14-83.98------
资本化比率(%) --0.000.00------
固定资产净值率(%) 29.08--30.48--33.82--
资本固定化比率(%) -131.75-74.14-83.98-278.28-384.61-2,188.10
产权比率(%) -251.14-163.13-178.83-527.16-763.19-5,065.25
清算价值比率(%) --69.8574.71------
固定资产比重(%) 39.75--46.88--48.63--

下载数据 成长能力

净利润增长率

净利润增长率    

净资产增长率

净资产增长率    

2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-31
主营业务收入增长率(%) -65.25-73.82-61.85-62.52-60.55-64.06
净利润增长率(%) -----4,142.53------
净资产增长率(%) -----1,230.94------
总资产增长率(%) -31.00-55.43-56.88-38.60-31.58-14.21

下载数据 营运能力

存货周转率(次)

存货周转率(次)

总资产周转率(次)

总资产周转率(次)

2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-31
应收账款周转率(次) 10.903.4930.8623.4915.086.20
应收账款周转天数(天) 16.5225.7711.6611.4911.9314.52
存货周转率(次) 2.310.694.103.442.871.31
固定资产周转率(次) 0.11--0.33--0.18--
总资产周转率(次) 0.050.020.130.100.080.03
存货周转天数(天) 77.79130.4987.8578.5362.6768.69
总资产周转天数(天) 3,719.014,812.832,710.842,797.932,400.002,875.40
流动资产周转率(次) 0.100.050.240.180.140.05
流动资产周转天数(天) 1,717.561,943.841,490.681,505.021,331.361,704.55
经营现金净流量对销售收入比率(%) -1.17-2.11-1.64-1.01-1.03-1.85
资产的经营现金流量回报率(%) -0.05-0.04-0.36-0.13-0.09-0.06
经营现金净流量与净利润的比率(%) -0.30----------
经营现金净流量对负债比率(%) -0.04-0.02-0.21-0.11-0.08-0.06
现金流量比率(%) -5.65-3.08-28.91-11.64-9.05-6.24
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