600248 陕建股份
2024/09 - 九个月2023/122022/122021/122020/12

盈利能力分析
净资产收益率 ROE (%)10.90116.28216.88220.75517.900
总资产报酬率 ROA (%)0.8551.2091.3131.7161.729
投入资产回报率 ROIC (%)2.7393.9914.3405.3883.870

边际利润分析
销售毛利率 (%)10.73310.5779.1078.7017.818
营业利润率 (%)3.8373.1482.8732.5962.747
息税前利润/营业总收入 (%)5.3364.2633.5913.1633.270
净利润/营业总收入 (%)3.3022.6292.4122.2342.317

收益指标分析
经营活动净收益/利润总额(%)131.570200.180198.933205.965162.676
价值变动净收益/利润总额(%)6.6802.8412.432-0.7596.066
营业外收支净额/利润总额(%)2.142-2.562-1.216-0.6610.674

偿债能力分析
流动比率 (X)1.0921.0721.0611.0701.071
速动比率 (X)1.0801.0621.0491.0551.056
资产负债率 (%)88.11889.18588.76890.11590.507
带息债务/全部投入资本 (%)70.29472.34272.47270.422--
股东权益/带息债务 (%)37.26533.14434.65137.60435.393
股东权益/负债合计 (%)9.5718.1398.5728.8719.528
利息保障倍数 (X)3.7713.5704.7755.4106.492

营运能力分析
应收账款周转天数 (天)442.450314.737255.631225.9860.000
存货周转天数 (天)9.0186.2786.1766.2500.000