000965 天保基建
2024/03 - 三个月2023/122022/122021/122020/12

盈利能力分析
净资产收益率 ROE (%)0.2200.3680.4290.851-6.780
总资产报酬率 ROA (%)0.0860.1520.1820.4121.000
投入资产回报率 ROIC (%)0.1270.2140.2410.519-4.811

边际利润分析
销售毛利率 (%)12.82015.25931.14551.25459.751
营业利润率 (%)5.4831.3762.0547.428-40.991
息税前利润/营业总收入 (%)16.3015.98210.39914.476-29.548
净利润/营业总收入 (%)3.5780.9300.9501.950-47.627

收益指标分析
经营活动净收益/利润总额(%)-133.775257.389539.708241.918-76.983
价值变动净收益/利润总额(%)36.49363.30217.643-4.540-6.347
营业外收支净额/利润总额(%)0.0101.6520.8210.095-0.113

偿债能力分析
流动比率 (X)1.9562.0031.6761.6392.177
速动比率 (X)0.3050.2650.1880.1340.309
资产负债率 (%)54.12151.27857.41857.7040.443
带息债务/全部投入资本 (%)43.56340.41743.00544.22033.030
股东权益/带息债务 (%)128.872147.418132.022125.510202.421
股东权益/负债合计 (%)70.25178.67974.04573.184125.514
利息保障倍数 (X)1.5071.3051.2492.056-2.593

营运能力分析
应收账款周转天数 (天)2.8220.8471.2661.4723.140
存货周转天数 (天)3,876.5571,290.4492,020.6902,621.6288,091.829