陽光股份(000608)財務分析

陽光股份(000608) 概念題材 投資亮點 財務分析 價值定位 公司簡介

陽光股份(000608) 主要財務指標

凈利潤
主營收
每股收益
報告日期
基本每股收益(元)
每股凈資產(元)
每股經營活動產生的現金流量凈額(元)
主營業務收入(萬元)
主營業務利潤(萬元)
營業利潤(萬元)
投資收益(萬元)
營業外收支凈額(萬元)
利潤總額(萬元)
凈利潤(萬元)
凈利潤(扣除非經常性損益后)(萬元)
經營活動產生的現金流量凈額(萬元)
現金及現金等價物凈增加額(萬元)
總資產(萬元)
流動資產(萬元)
總負債(萬元)
流動負債(萬元)
股東權益不含少數股東權益(萬元)
凈資產收益率加權(%)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302005-03-312004-12-312004-09-302004-06-302004-03-312003-12-312003-09-302003-06-302003-03-312002-12-312002-09-302002-06-302002-03-312001-12-312001-06-302000-12-312000-06-301999-12-311999-06-301998-12-311998-06-301997-12-311997-06-301996-12-311996-06-301995-12-311994-12-311993-12-31
-0.03-0.030.02-0.010.08-0.040.200.40-0.11-0.04-0.62-0.45-0.18-0.060.030.02-0.02-0.07-0.780.020.030.030.260.250.04-0.000.350.180.07-0.010.230.260.010.000.580.660.580.570.500.470.460.090.050.200.170.130.390.470.180.04----------------------------------------------------------------------
------------------------------------------------------3.563.453.373.383.413.163.153.153.233.154.163.663.773.763.393.303.453.413.373.254.193.993.142.952.792.782.762.662.572.502.382.262.762.772.712.662.582.572.542.492.342.332.302.332.422.222.083.171.971.911.852.792.182.071.421.281.121.07
-------------------------------------------------------0.120.16-0.18-0.11-0.66-0.25-0.33-0.95-0.82-0.52-0.162.452.561.100.18-0.38-0.98-1.03-0.84-0.88-0.100.01-0.671.200.000.000.000.330.000.000.00-0.810.00--0.00-0.690.00--0.000.230.000.220.00-0.35-0.35-0.140.900.11-0.33-0.150.15--------------
10,8085,45528,88522,18515,7056,78353,44244,32436,88621,03563,95641,09523,42011,94264,76045,49634,32414,465135,86088,43624,4039,62468,98547,43331,19121,70554,59840,01325,32510,36580,64955,77729,79116,297304,235288,350255,766123,46098,81289,20372,81922,701151,396129,386114,00779,933129,63588,89342,9478,85198,73936,08330,03420,282113,50379,36956,99619,37095,62116,67915,0939,58145,52630,98127,32216,04554,87915,1724,54399244,41127,37568,17320,10118,6752,65517,23414,9947,1624,0007,2074,1877,99310,85110,964
8,6824,56218,34413,37910,9885,15616,30318,96013,5916,79624,97118,19111,4005,20445,39037,57319,4618,34945,63740,40217,5267,56850,94145,92518,83311,11330,59023,64514,1295,86429,80621,39414,2658,59996,94092,54976,56748,89741,92135,48226,49913,61546,46940,66931,92118,97236,40930,19714,7664,86628,24014,24911,4797,74534,14624,77418,5467,10923,8454,5594,0092,4269,0784,8294,1442,4469,7212,6641,464969,6326,65716,9486,1196,4411,2815,2594,820721702256690628----
381-93814,6993,6708,476-2,05429,11843,620-2,418124-21,051-12,934-7,668-14721,4078,5092,275-4,241-47,9728,689-371-2,65923,34724,5834,50680327,88311,1717,331-16319,39921,8492,3181,42166,84070,82461,94641,42544,11840,09037,9607,83113,48219,20617,31211,67029,82927,60810,6042,67218,3968,1347,6006,23024,79918,01713,9626,12919,2971,8102,0871,6126,1222,8362,5311,8325,79050021706,7124,96014,0605,5715,9779034,3414,279721045242728----
2,964233617155110-3650,74396,65631351-958637-1,08119139,0113,6174,0133563922219133,4551,952-1,368-62028,4756,3584,816-360-678-1,421-983-435-2,225-2,399-986-38233,60028,53228,655-1434,2603,693-77-6659-7855-308643000-50818173402172982986-187276705-2162110161809361883,7301411190102----
234113580-5792471,226-653-665-2-16,347-13,1714632365-167-227-472,8914,9814,8175,5651,509470895-424,4864,46525-16966558179145-1,773-513-50630-22-16-0-10-53---68---39--19-0-3900-6228000270-60-120200311130-580270-00000-90--------
615-82515,2793,6138,568-2,00830,34442,967-3,083122-37,398-26,105-7,622-11521,7728,3422,048-4,288-45,08113,6694,4462,90624,85625,0535,40176232,36915,6367,356-17820,36522,4072,4971,56765,06770,31161,43941,45544,09640,07437,9467,82113,43019,13417,24411,67729,79127,59010,6232,67218,4428,1007,5466,16824,82718,04213,9706,13719,4041,9032,1541,6476,3273,1522,8491,8625,803582296-6129,5966,46315,1946,4747,2891,1695,2804,4694,4518351,005727827----
-2,579-2,4961,146-5905,878-2,91915,23730,317-7,884-3,367-46,824-33,576-13,573-4,2892,0181,809-1,663-5,220-58,5171,7882,1242,20919,12718,3863,299-28426,54813,1885,291-91417,30519,41054724443,53949,60843,74930,26626,70925,16224,8884,8872,83310,6968,9106,81618,33316,1945,7901,2038,7093,8763,6733,02111,9858,8766,9243,30410,8797771,0028593,6371,9071,7071,0493,32728659-5225,8484,2268,3774,3845,0006593,3632,7584,3647098556207141,3911,873
-3,691-2,659-11,216-12,102-5,782-2,95312,45130,978-7,220-3,366-30,442-20,406-13,622-4,324-12,4571,951-1,504-5,185-61,996-2,798-2,235-3,40016,62418,0272,623-26123,153--5,267--16,401--422--45,093--44,126--26,741--24,91208,49010,7378,950018,36705,782--8,73103,712011,97207,309010,783093103,45001,40903,667211-2103,9034,3388,1404,3784,907--------------------
15,8751,173-941-20,430-20,418-10,34414,8499,7789,9228,74217,59511,85612,446-4,178-1,563251-4,683-8,563-16,4533,1431,561-23,726-44,779-37,689-18,226-14,923-59,826-9,06311,772-13,320-8,042-49,219-18,608-25,012-71,258-61,230-38,991-8,560131,129137,19459,1259,502-20,323-52,432-55,357-44,874-46,876-4,015422-19,51435,157-3,095-2,254-2,5779,650-1,2321,7422,261-23,784-21,132-5,874713-14,325-17,336-1,168-2,5144,89104,6720-7,262-7,336-2,81418,7371,390-3,640-1,6111,627--------------
18,499-3,850-88,610-78,622-51,794-25,35161,88978,102-4,8531,150-6,862-11,568-32,571-10,7432,682-2,814-7,451-21,509-39,819-30,045-2,609-43,87554,110-3,79016,89133,886-41,706-40,761-13,185-20,390-4,165-41,041-27,220-29,812-98,008-90,537-72,2117,854123,552143,92665,96957,792-19,542-3,058-29,523-46,288-13,98131,49572,694-13,88139,74316,731-17,190-4,98531,98115,52824,67816,641-23,079-25,052-8,018-9,20324,86819,08317,575-869-5,311024002,0512,487-5,99912,84321,204-2521,625542--------------
619,859655,750658,327658,286687,137697,797721,534736,497963,184974,114980,094996,267993,9741,018,8481,025,2321,059,7311,047,8001,135,3461,123,8531,205,6491,224,4511,159,136856,127742,525774,351768,393682,980704,025705,998624,112625,665755,768696,869636,365646,214588,499604,091786,992776,085733,808625,036654,478568,695582,227538,075504,782546,478536,616534,948435,516395,174351,186285,930255,765256,517257,569271,773244,885238,183235,338225,769187,681193,031144,625122,569116,912127,359126,939123,536109,793104,344105,687119,058128,10584,32735,50026,54529,78419,67815,36614,9699,9989,755----
134,853171,837124,837136,986165,083175,704199,305214,842438,903351,456361,404364,714347,465370,596382,153436,676430,308432,899425,636507,914528,497464,416491,617449,604473,093483,600423,940447,242449,619370,771378,638516,497458,591394,500404,345351,086363,841547,773610,313561,125506,808522,450434,475448,470414,334382,944426,380404,661413,551312,355273,569272,598211,267207,172212,657216,315230,923239,868233,055229,713219,993186,457191,756140,646120,806------0108,8710000030,18821,26915,61310,5216,6878,2383,2363,075----
262,893284,950285,124291,545314,521332,432353,620354,426599,453606,507610,873614,093592,178608,420612,135649,634641,271704,767688,191692,709715,079648,568510,228391,223437,700432,754346,656380,879386,980319,007319,956447,590408,214348,656359,237308,169330,958527,791544,234490,983383,415421,033360,582367,772326,582296,729346,877337,242344,991323,423289,012251,493187,128157,855162,605167,682184,600162,928160,266168,146158,254125,201131,47185,29463,65058,65770,24170,85467,693--48,44546,94464,85778,86941,99810,2824,9548,7702,7592,1422,4543,6113,989----
136,432151,933130,312133,41381,98571,15191,47786,456238,611154,199139,105135,226209,629227,271241,606382,393337,383319,649306,242260,515307,901306,535258,409197,644249,968256,598257,656318,554322,080255,092254,106324,466311,704241,491259,647215,069248,498437,271469,254397,793311,775333,307271,846262,723238,556215,763297,292280,617243,606211,128187,632153,293128,108106,465109,745129,162120,080107,928120,266133,146123,25490,20196,47150,29448,650------047,5790000010,2824,9548,5292,4382,1422,4543,0813,459----
294,065294,150297,422295,704302,172295,626298,540313,607276,724281,289284,652297,887317,890327,174331,463331,238327,765324,197329,418399,512399,981402,319293,601295,369280,322279,738280,031266,667258,760252,571253,474255,579236,715236,412236,168242,237236,378222,896195,843201,866201,592181,591176,704184,567182,782180,687173,871172,550164,20691,68686,27381,44181,23880,58677,56574,94572,99469,37466,07057,53357,75756,43355,57453,79453,59452,93551,88648,84548,61848,03748,55950,47046,25943,30838,92421,47020,81220,20816,87913,22512,5156,3865,7665,0524,833
-0.87-0.840.39-0.201.96-0.985.2310.13-2.81-1.19-15.20-10.67-4.18-1.300.610.55-0.51-1.60-16.270.450.530.556.666.391.18-0.109.955.072.07-0.367.077.890.230.1020.2322.7020.2414.3514.05--13.160.001.620.005.000.0013.140.005.53--10.630.004.683.8216.6312.599.960.0017.730.001.770.006.770.003.240.006.620.000.120.0012.818.7419.430.000.00----------0.00--------

盈利能力

營業利潤率

王中王论坛资料三肖中特 www.lwvmc.icu 營業利潤率

凈資產收益率

凈資產收益率

2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-31
總資產利潤率(%)-0.14-0.251.290.161.01-0.37
主營業務利潤率(%)80.3483.6363.5160.3169.9676.02
總資產凈利潤率(%)-0.14-0.251.230.160.99-0.36
成本費用利潤率(%)4.27-12.2937.5311.8544.76-22.81
營業利潤率(%)3.53-17.1950.8916.5453.97-30.29
主營業務成本率(%)5.714.8220.6826.6117.3314.28
銷售凈利率(%)-8.07-29.8429.334.8344.24-37.65
凈資產收益率(%)-0.88-0.850.39-0.201.95-0.99
股本報酬率(%)2.57-2.1714.961.4312.91-3.41
凈資產報酬率(%)0.54-0.443.010.292.60-0.70
資產報酬率(%)0.31-0.251.700.161.41-0.37
銷售毛利率(%)94.2995.1879.3273.3982.6785.72
三項費用比重(%)113.52106.70104.4697.6891.85105.81
非主營比重(%)519.80-41.887.842.702.36-0.53
主營利潤比重(%)1,411.08-553.05120.06370.36128.24-256.84

償還能力

流動比率

流動比率

資產負債率

資產負債率

2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-31
流動比率(%)0.991.130.961.032.012.47
速動比率(%)0.500.680.440.511.161.47
現金比率(%)28.0410.4715.1622.5069.87117.79
利息支付倍數(%)108.7975.38198.08131.95210.0344.84
資產負債率(%)42.4143.4543.3144.2945.7747.64
長期債務與營運資金比率(%)-51.984.47-19.0031.262.001.69
股東權益比率(%)57.5956.5556.6955.7154.2352.36
長期負債比率(%)13.2413.5815.8016.9724.2125.31
股東權益與固定資產比率(%)35,276.76--34,999.83--34,339.31--
負債與所有者權益比率(%)73.6576.8576.4079.5084.4190.99
長期資產與長期資金比率(%)110.47105.23111.78108.9696.8696.34
資本化比率(%)18.6919.3721.8023.3530.8632.58
固定資產凈值率(%)26.55--27.96--28.42--
資本固定化比率(%)135.87130.51142.95142.14140.11142.90
產權比率(%)61.2164.9962.8066.8466.6567.80
清算價值比率(%)283.19271.65280.44268.10276.25281.21
固定資產比重(%)0.16--0.16--0.16--

成長能力

凈利潤增長率

凈利潤增長率    

凈資產增長率

凈資產增長率    

2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-31
主營業務收入增長率(%)-31.18-19.57-45.95-49.95-57.42-67.76
凈利潤增長率(%)-112.56---55.45-96.77----
凈資產增長率(%)-4.201.491.44-4.012.44-0.61
總資產增長率(%)-9.79-6.03-8.76-10.62-28.66-28.37

營運能力

存貨周轉率(次)

存貨周轉率(次)

總資產周轉率(次)

總資產周轉率(次)

2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-31
應收賬款周轉率(次)3.603.765.663.992.831.22
應收賬款周轉天數(天)49.9923.9663.6567.6563.6173.90
存貨周轉率(次)0.010.000.090.080.040.01
固定資產周轉率(次)10.40--25.90--13.97--
總資產周轉率(次)0.020.010.040.030.020.01
存貨周轉天數(天)19,565.2223,076.924,186.053,191.494,663.216,617.65
總資產周轉天數(天)10,650.8910,843.378,591.898,385.098,071.759,375.00
流動資產周轉率(次)0.080.040.180.130.090.04
流動資產周轉天數(天)2,163.462,445.652,020.202,047.012,088.172,486.19
經營現金凈流量對銷售收入比率(%)1.470.22-0.03-0.92-1.30-1.53
資產的經營現金流量回報率(%)0.030.00-0.00-0.03-0.03-0.01
經營現金凈流量與凈利潤的比率(%)-----0.11-19.06-2.94--
經營現金凈流量對負債比率(%)0.060.00-0.00-0.07-0.06-0.03
現金流量比率(%)11.640.77-0.72-15.31-24.90-14.54
  陽光股份(000608)財務報表數據分析圖
陽光股份(000608)財務報表數據分析圖
  陽光股份(000608)資產負債表分析圖
陽光股份(000608)(陽光股份)資產負債表分析圖
  陽光股份(000608)利潤分配表分析圖
陽光股份(000608)(陽光股份)利潤分配表分析圖
  陽光股份(000608)現金流量表分析圖
陽光股份(000608)(陽光股份)現金流量表分析圖
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