红相股份
300427
福建
民营

红相股份有限公司

公司是一家长期致力于电力设备状态监测、检测产品及电能表技术的研究和创新并为客户提供相关问题完整解决方案.公司旗下拥有红相、红相力、REDPHASE等知名品牌.

成立: 2005-07-29 上市: 2015-02-17

低价
¥10.94
PE:14.71   PB:1.91
创业板
 
2019年02月15日 15:30
总市值:38.6亿   流通市值:26.8亿
净利率X翻桌率X每股净值X权益乘数X市盈率= MJPrice
21.9,21.0,24.7,20.6,18.5
18.5 %
X0.71,0.68,0.52,0.50,0.36
0.36 次
X,,,,3.05,3.65,4.22,4.85,6.36,2.19,5.31
5.31 元
X1.30,1.32,1.20,1.30,1.58
1.58 倍
X30倍=高点: ¥16.76
20倍=常态: ¥11.18
10倍=低点: ¥5.59
参数取自上一年年终报表,算法仅适用于财务状况良好的稳定大型企业,算法供参考,投资需谨慎!
这家公司的财务状况...

CBS(财报评分): 73.12

(非权威评分,不构成投资指导与核心依据!)

现金流
气很长!现金流状况一般.收款速度也太慢了罢!
营运能力
重资产,周转很慢,风险高!还好现金超级多!货卖的不错.做一轮生意要 290 天.还好现金超级多!
盈利能力
毛利很高!费用率 25 个点.税后利润优异,能够打败巴菲特的回报率.每股去年为公司赚到了 0.8 元钱!
财务结构
基本没什么杠杆,看来股东非常看好公司!长期资金源源不绝!
偿债能力即便发生债务纠纷,公司也能立即清偿.
审计意见

"无保留."(基本反映事实)

by 刘维 , 吴乐霖 @致同会计师事务所

CBS(财报评分): 68.52

(非权威评分,不构成投资指导与核心依据!)

现金流
现金充足!现金流状况一般.收款速度也太慢了罢!
营运能力
重资产,周转很慢,风险高!好在现金还算充足!货卖的不错.做一轮生意要 324 天.好在现金还算充足!
盈利能力
毛利很高!费用率 24 个点.税后利润优异,不错的回报率.每股去年为公司赚到了 0.85 元钱!
财务结构
基本没什么杠杆,看来股东非常看好公司!长期资金源源不绝!
偿债能力即便发生债务纠纷,公司也能立即清偿.
审计意见

"无保留."(基本反映事实)

by 刘维 , 吴乐霖 @致同会计师事务所

CBS(财报评分): 69.32

(非权威评分,不构成投资指导与核心依据!)

现金流
气很长!现金流状况不佳.收款速度也太慢了罢!
营运能力
重资产,周转很慢,风险高!还好现金超级多!货卖的一般.做一轮生意要 395 天.还好现金超级多!
盈利能力
毛利很高!费用率 26 个点.税后利润优异,去年有不少额外收入!不错的回报率.每股去年为公司赚到了 0.83 元钱!
财务结构
基本没什么杠杆,看来股东非常看好公司!长期资金源源不绝!
偿债能力即便发生债务纠纷,公司也能立即清偿.
审计意见

"无保留."(基本反映事实)

by 刘维 , 吴乐霖 @致同会计师事务所

CBS(财报评分): 69.92

(非权威评分,不构成投资指导与核心依据!)

现金流
气很长!现金流状况一般.收款速度也太慢了罢!
营运能力
重资产,周转很慢,风险高!还好现金超级多!卖货很慢,属于原物料或低频消费品.做一轮生意要 353 天.还好现金超级多!
盈利能力
毛利很高!费用率 28 个点.税后利润优异,还可以的收益.每股去年为公司赚到了 0.26 元钱!
财务结构
基本没什么杠杆,看来股东非常看好公司!长期资金源源不绝!
偿债能力即便发生债务纠纷,公司也能立即清偿.
审计意见

"无保留."(基本反映事实)

by 刘维 , 吴乐霖 @致同会计师事务所

CBS(财报评分): 55.84

(非权威评分,不构成投资指导与核心依据!)

现金流
现金充足!现金流状况一般.收款速度也太慢了罢!
营运能力
重资产,周转很慢,风险高!好在现金还算充足!货卖的一般.做一轮生意要 389 天.好在现金还算充足!
盈利能力
毛利很高!费用率 22 个点.税后利润不错,收益率不高.每股去年为公司赚到了 0.38 元钱!
财务结构
不需举债就能存活的很好,长期资金源源不绝!
偿债能力即便发生债务纠纷,公司清偿问题也不大.
审计意见

"无保留."(基本反映事实)

by 刘维 , 王肖生 @致同会计师事务所
资产负债比率(重要科目)
类别比率(占总资产%)20132014201520162017
364248000.0,424048000.0,759728000.0,894116000.0,3193070000.0
资产
现金与约当现金(%)29.2/10029.224.3/10024.337.9/10037.949.2/10049.216.9/10016.9
应收款项(%)48.8/10048.854.2/10054.236.9/10036.930.8/10030.829.1/10029.1
存货(%)4.4/1004.45.1/1005.17.7/1007.76.8/1006.85.3/1005.3
其他流动资产(%)0.0/1000.00.0/1000.02.5/1002.50.0/1000.00.0/1000.0
流动资产(%)86.9/10086.989.3/10089.389.2/10089.289.1/10089.152.5/10052.5
商誉(%)1.1/1001.11.0/1001.00.5/1000.50.5/1000.533.5/10033.5
非流动资产(%)13.1/10013.110.7/10010.710.8/10010.810.9/10010.947.5/10047.5
83447300.0,101734000.0,129207000.0,204100000.0,1172660000.0
负债
应付款项(%)10.8/10010.812.1/10012.16.7/1006.76.9/1006.910.1/10010.1
流动负债(%)20.4/10020.422.5/10022.516.2/10016.222.5/10022.535.7/10035.7
非流动负债(%)2.5/1002.51.5/1001.50.8/1000.80.3/1000.31.0/1001.0
364248000.0,424048000.0,759728000.0,894116000.0,3193070000.0
股权
股东权益(%)77.1/10077.176.0/10076.083.0/10083.077.2/10077.263.3/10063.3
五大财务比率(+成长能力)
类别财务比率20132014201520162017
财务结构负债占资产比率(%)22.9,24.0,17.0,22.8,36.722.924.017.022.836.7
长期资金占重资产比率(%)723.4,897.3,1065.5,1177.7,905.5723.4897.31065.51177.7905.5
偿债能力流动比率(%)425.8,396.5,550.4,396.3,147.1425.8396.5550.4396.3147.1
速动比率(%)393.0,361.0,483.9,360.8,130.8393.0361.0483.9360.8130.8
运营能力应收款项周转率(次/年)1.5,1.3,1.2,1.5,1.21.51.31.21.51.2
应收款项周转天数(天)232.5,274.3,300.8,243.5,291.6232.5274.3300.8243.5291.6
存货周转率(次/年)6.2,7.1,3.8,3.3,3.76.27.13.83.33.7
存货周转天数(天)58.0,50.7,94.9,109.7,98.258.050.794.9109.798.2
固定资产周转率(次/年)6.0,7.3,5.2,7.0,3.36.07.35.27.03.3
完整生意周期(天)290.5,325.0,395.6,353.2,389.9290.5325.0395.6353.2389.9
应付款项周转天数(天)101.5,123.9,122.7,105.4,165.5101.5123.9122.7105.4165.5
缺钱天数(天)189.0,201.0,272.9,247.8,224.3189.0201.0272.9247.8224.3
总资产周转率(次/年)0.71,0.68,0.52,0.5,0.360.710.680.520.500.36
盈利能力ROA=资产收益率(%)15.5,14.3,12.8,10.2,6.715.514.312.810.26.7
ROE=净资产收益率(%)20.3,18.7,16.0,12.5,9.520.318.716.012.59.5
税前纯益占实收资本(%)95.1,99.3,99.2,35.5,44.595.199.399.235.544.5
毛利率(%)52.0,50.2,50.1,52.4,43.252.050.250.152.443.2
营业利润率(%)24.1,23.1,23.5,21.9,21.224.123.123.521.921.2
净利率(%)21.9,21.0,24.7,20.6,18.521.921.024.720.618.5
营业费用率(%)25.3,24.3,26.0,28.0,22.225.324.326.028.022.2
经营安全边际率(%)46.3,46.1,46.8,41.8,49.046.346.146.841.849.0
EPS=基本每股收益(元)0.8,0.85,0.83,0.26,0.380.800.850.830.260.38
成长能力营收增长率(%)3.7,10.5,14.1,34.5,81.23.710.514.134.581.2
营业利润增长率(%)9.2,6.2,15.8,25.5,75.29.26.215.825.575.2
净资本增长率(%)15.6,14.8,95.6,9.4,192.815.614.895.69.4192.8
现金流量现金流量比率(%)32.9,17.6,34.5,64.9,25.732.917.634.564.925.7
现金流量允当比率(%)122.3,112.0,81.4,143.5,148.0122.3112.081.4143.5148.0
现金再投资比率(%)3.1,0.5,-0.8,15.8,13.23.10.5-0.815.813.2
现金流量表
20132014201520162017
期初现金
104146000.0,105286000.0,102393000.0,287730000.0,438224000.01.04 亿1.05 亿1.02 亿2.88 亿4.38 亿
+ 营业活动现金流量
(from 损益表)
24470400.0,16764300.0,42473100.0,130540000.0,293322000.00.24 亿0.17 亿0.42 亿1.31 亿2.93 亿
+ 投资活动现金流量
(from 资产负债表左)
-3513000.0,-437613.0,326038.0,-7558220.0,-39227900.0(3.51 百万)(43.76 万)32.6 万(7.56 百万)(0.39 亿)
+ 融资活动现金流量
(from 资产负债表右)
-19614300.0,-19230100.0,142875000.0,27657400.0,-170936000.0(0.2 亿)(0.19 亿)1.43 亿0.28 亿(1.71 亿)
期末现金
105286000.0,102393000.0,287730000.0,438224000.0,521318000.01.05 亿1.02 亿2.88 亿4.38 亿5.21 亿
自由现金流(FCF)
20730400.0,15819700.0,31912000.0,105584000.0,266109000.00.21 亿0.16 亿0.32 亿1.06 亿2.66 亿
资产负债表
年份->趋势20132014201520162017
资产总计364248000.0,424048000.0,759728000.0,894116000.0,3193070000.03.64 亿4.24 亿7.6 亿8.94 亿31.93 亿
   流动资产316552000.0,378709000.0,677734000.0,797004000.0,1675300000.03.17 亿3.79 亿6.78 亿7.97 亿16.75 亿
      货币资金106502000.0,102892000.0,287994000.0,439661000.0,539544000.01.07 亿1.03 亿2.88 亿4.4 亿5.4 亿
      交易性金融资产0.0,0.0,0.0,0.0,0.0----------
      应收票据4963900.0,3252600.0,11296800.0,11635300.0,264301000.04.96 百万3.25 百万0.11 亿0.12 亿2.64 亿
      应收利息0.0,0.0,746392.0,0.0,668003.0----74.64 万--66.8 万
      应收股利0.0,0.0,0.0,0.0,0.0----------
      应收账款172843000.0,226657000.0,268836000.0,263614000.0,665696000.01.73 亿2.27 亿2.69 亿2.64 亿6.66 亿
      其他应收款7879770.0,12015000.0,7969730.0,10527800.0,19936200.07.88 百万0.12 亿7.97 百万0.11 亿0.2 亿
      预付款项8383720.0,12334300.0,23258600.0,10953700.0,14985000.08.38 百万0.12 亿0.23 亿0.11 亿0.15 亿
      存货15979200.0,21558200.0,58646800.0,60545000.0,170114000.00.16 亿0.22 亿0.59 亿0.61 亿1.7 亿
      其中:消耗性生物资产0.0,0.0,0.0,0.0,0.0----------
      待摊费用0.0,0.0,0.0,0.0,0.0----------
      其他资产0.0,0.0,0.0,0.0,0.0----------
      一年内到期的非流动资产0.0,0.0,0.0,0.0,0.0----------
      其他流动资产0.0,0.0,18986300.0,67167.9,57592.8----0.19 亿6.72 万5.76 万
   非流动资产47696300.0,45338300.0,81994000.0,97112400.0,1517770000.00.48 亿0.45 亿0.82 亿0.97 亿15.18 亿
      可供出售金融资产0.0,0.0,4969520.0,4969520.0,104970000.0----4.97 百万4.97 百万1.05 亿
      持有至到期投资0.0,0.0,0.0,0.0,0.0----------
      投资性房地产0.0,0.0,0.0,15028900.0,13985100.0------0.15 亿0.14 亿
      长期股权投资0.0,0.0,0.0,0.0,0.0----------
      长期应收款0.0,0.0,0.0,0.0,0.0----------
      固定资产40075600.0,36613400.0,58668000.0,58306100.0,226807000.00.4 亿0.37 亿0.59 亿0.58 亿2.27 亿
      工程物资0.0,0.0,0.0,0.0,0.0----------
      在建工程0.0,0.0,1076170.0,539151.0,0.0----1.08 百万53.92 万--
      固定资产清理0.0,0.0,0.0,0.0,0.0----------
      生产性生物资产0.0,0.0,0.0,0.0,0.0----------
      油气资产0.0,0.0,0.0,0.0,0.0----------
      无形资产252570.0,193438.0,2958850.0,3142560.0,65956900.025.26 万19.34 万2.96 百万3.14 百万0.66 亿
      开发支出0.0,0.0,0.0,0.0,5855670.0--------5.86 百万
      商誉4099180.0,4099180.0,4099180.0,4099180.0,1069680000.04.1 百万4.1 百万4.1 百万4.1 百万10.7 亿
      长期待摊费用674983.0,519583.0,636068.0,1433690.0,1052100.067.5 万51.96 万63.61 万1.43 百万1.05 百万
      递延所得税资产2593960.0,3912690.0,5804500.0,6720700.0,20284000.02.59 百万3.91 百万5.8 百万6.72 百万0.2 亿
      其他非流动资产0.0,0.0,3781710.0,2872580.0,9182440.0----3.78 百万2.87 百万9.18 百万
负债合计83447300.0,101734000.0,129207000.0,204100000.0,1172660000.00.83 亿1.02 亿1.29 亿2.04 亿11.73 亿
   流动负债74343100.0,95504600.0,123128000.0,201096000.0,1139260000.00.74 亿0.96 亿1.23 亿2.01 亿11.39 亿
      短期借款0.0,0.0,16000000.0,3000000.0,200000000.0----0.16 亿3.0 百万2.0 亿
      其中:质押借款0.0,0.0,0.0,0.0,0.0----------
      交易性金融负债0.0,0.0,0.0,0.0,0.0----------
      应付票据0.0,0.0,99000.0,0.0,46887000.0----9.9 万--0.47 亿
      应付账款39327300.0,51164400.0,51088200.0,61723000.0,274775000.00.39 亿0.51 亿0.51 亿0.62 亿2.75 亿
      应付短期债券0.0,0.0,0.0,0.0,0.0----------
      预收款项3895500.0,5848980.0,11923800.0,15091000.0,44084900.03.9 百万5.85 百万0.12 亿0.15 亿0.44 亿
      应付职工薪酬6737530.0,6605040.0,14817900.0,16423700.0,25541000.06.74 百万6.61 百万0.15 亿0.16 亿0.26 亿
      应付股利0.0,0.0,0.0,4701980.0,15358900.0------4.7 百万0.15 亿
      应交税费20401100.0,27103100.0,23780000.0,29948600.0,56991400.00.2 亿0.27 亿0.24 亿0.3 亿0.57 亿
      应付利息13731.1,10364.8,32917.4,30281.2,936376.01.37 万1.04 万3.29 万3.03 万93.64 万
      其他应付款1092980.0,1897730.0,2511440.0,67302500.0,473919000.01.09 百万1.9 百万2.51 百万0.67 亿4.74 亿
      预提费用0.0,0.0,0.0,0.0,0.0----------
      递延收益0.0,0.0,0.0,0.0,0.0----------
      一年内到期的非流动负债2875000.0,2875000.0,2875000.0,2875000.0,770833.02.88 百万2.88 百万2.88 百万2.88 百万77.08 万
      其他流动负债0.0,0.0,0.0,0.0,0.0----------
   非流动负债9104170.0,6229170.0,6078420.0,3003820.0,33391700.09.1 百万6.23 百万6.08 百万3.0 百万0.33 亿
      长期借款9104170.0,6229170.0,3354170.0,479167.0,0.09.1 百万6.23 百万3.35 百万47.92 万--
      应付债券0.0,0.0,0.0,0.0,0.0----------
      长期应付款0.0,0.0,0.0,0.0,0.0----------
      专项应付款0.0,0.0,0.0,0.0,0.0----------
      预计负债0.0,0.0,0.0,0.0,0.0----------
      递延所得税负债0.0,0.0,2724250.0,2524650.0,18440200.0----2.72 百万2.52 百万0.18 亿
      其他非流动负债0.0,0.0,0.0,0.0,0.0----------
所有者权益合计280801000.0,322314000.0,630521000.0,690017000.0,2020420000.02.81 亿3.22 亿6.31 亿6.9 亿20.2 亿
   所有者权益280801000.0,322314000.0,630521000.0,690017000.0,2020420000.02.81 亿3.22 亿6.31 亿6.9 亿20.2 亿
      实收资本(或股本)66500000.0,66500000.0,88670000.0,283744000.0,352587000.00.67 亿0.67 亿0.89 亿2.84 亿3.53 亿
      其中:优先股0.0,0.0,0.0,0.0,0.0----------
      其中:永续债0.0,0.0,0.0,0.0,0.0----------
      资本公积金34925100.0,34925100.0,199525000.0,4450560.0,1082120000.00.35 亿0.35 亿2.0 亿4.45 百万10.82 亿
      减:库存股0.0,0.0,0.0,0.0,0.0----------
      其他综合收益-558620.0,-721080.0,-771701.0,-809422.0,-792634.0(55.86 万)(72.11 万)(77.17 万)(80.94 万)(79.26 万)
      专项储备0.0,0.0,0.0,0.0,0.0----------
      盈余公积21080700.0,24896900.0,30158900.0,36889800.0,40186000.00.21 亿0.25 亿0.3 亿0.37 亿0.4 亿
      未分配利润158854000.0,196713000.0,246428000.0,296666000.0,398551000.01.59 亿1.97 亿2.46 亿2.97 亿3.99 亿
      一般风险准备0.0,0.0,0.0,0.0,0.0----------
      外币报表折算差额0.0,0.0,0.0,0.0,0.0----------
      未确认投资损失0.0,0.0,0.0,0.0,0.0----------
      其他储备(公允价值变动储备)0.0,0.0,0.0,0.0,0.0----------
      归属母公司股东权益合计280801000.0,322314000.0,564010000.0,620941000.0,1872650000.02.81 亿3.22 亿5.64 亿6.21 亿18.73 亿
      少数股东权益0.0,0.0,66511400.0,69075700.0,147770000.0----0.67 亿0.69 亿1.48 亿
      少数股东权益0.0,0.0,66511400.0,69075700.0,147770000.0----0.67 亿0.69 亿1.48 亿
      其他权益工具0.0,0.0,0.0,0.0,0.0----------
利润表
年份->趋势20132014201520162017
营业总收入242095000.0,267597000.0,305255000.0,410557000.0,743861000.02.42 亿2.68 亿3.05 亿4.11 亿7.44 亿
 + 营业收入242095000.0,267597000.0,305255000.0,410557000.0,743861000.02.42 亿2.68 亿3.05 亿4.11 亿7.44 亿
 + 利息收入0.0,0.0,0.0,0.0,0.0----------
 + 手续费及佣金收入0.0,0.0,0.0,0.0,0.0----------
 + 已赚保费0.0,0.0,0.0,0.0,0.0----------
 + 其他营业收入0.0,0.0,0.0,0.0,0.0----------
营业总成本183826000.0,205713000.0,238352000.0,321361000.0,601540000.01.84 亿2.06 亿2.38 亿3.21 亿6.02 亿
 - 营业成本116131000.0,133253000.0,152204000.0,195527000.0,422652000.01.16 亿1.33 亿1.52 亿1.96 亿4.23 亿
 - 利息支出0.0,0.0,0.0,0.0,0.0----------
 - 手续费及佣金支出0.0,0.0,0.0,0.0,0.0----------
 - 其他营业成本0.0,0.0,0.0,0.0,0.0----------
 - 营业税金及附加2590620.0,2969390.0,2431980.0,5261580.0,7345180.02.59 百万2.97 百万2.43 百万5.26 百万7.35 百万
 - 销售费用32771900.0,32884400.0,40788500.0,54776800.0,67176900.00.33 亿0.33 亿0.41 亿0.55 亿0.67 亿
 - 管理费用27873100.0,31938900.0,39102700.0,61119500.0,99060100.00.28 亿0.32 亿0.39 亿0.61 亿0.99 亿
 - 财务费用685188.0,330919.0,-632830.0,-1075210.0,-949537.068.52 万33.09 万(63.28 万)(1.08 百万)(94.95 万)
 - 资产减值损失3774210.0,4335570.0,4456950.0,5750940.0,6255460.03.77 百万4.34 百万4.46 百万5.75 百万6.26 百万
非经营性净收益0.0,0.0,4746520.0,704602.0,15213700.00.0 元0.0 元4.75 百万70.46 万0.15 亿
 + 公允价值变动净收益0.0,0.0,0.0,0.0,0.0----------
 + 投资收益0.0,0.0,4746520.0,704602.0,0.0----4.75 百万70.46 万--
   其中:对联营合营企业的投资收益0.0,0.0,0.0,0.0,0.0----------
 + 汇兑收益0.0,0.0,0.0,0.0,0.0----------
营业利润58268300.0,61884500.0,71649600.0,89901100.0,157535000.00.58 亿0.62 亿0.72 亿0.9 亿1.58 亿
 + 营业外收入5024590.0,4212930.0,16479500.0,10972800.0,206414.05.02 百万4.21 百万0.16 亿0.11 亿20.64 万
 - 营业外支出28645.4,46809.8,204175.0,86566.0,688392.02.86 万4.68 万20.42 万8.66 万68.84 万
   其中:非流动资产处置净损失0.0,35574.1,189765.0,19858.0,0.0--3.56 万18.98 万1.99 万--
利润总额63264300.0,66050600.0,87924900.0,100787000.0,157053000.00.63 亿0.66 亿0.88 亿1.01 亿1.57 亿
 - 所得税费用10190500.0,9745230.0,12380000.0,16070400.0,19238900.00.1 亿9.75 百万0.12 亿0.16 亿0.19 亿
 - 未确认的投资损失0.0,0.0,0.0,0.0,0.0----------
净利润53073800.0,56305300.0,75544900.0,84717000.0,137814000.00.53 亿0.56 亿0.76 亿0.85 亿1.38 亿
 - 少数股东损益0.0,0.0,4607050.0,10901100.0,19863800.0----4.61 百万0.11 亿0.2 亿
 = 归属于母公司所有者的净利润53073800.0,56305300.0,70937900.0,73815900.0,117950000.00.53 亿0.56 亿0.71 亿0.74 亿1.18 亿
综合收益总额52583700.0,56142900.0,75494300.0,84679300.0,137831000.00.53 亿0.56 亿0.75 亿0.85 亿1.38 亿
 归属于母公司所有者的综合收益总额52583700.0,56142900.0,70887300.0,73778200.0,117967000.00.53 亿0.56 亿0.71 亿0.74 亿1.18 亿
 归属于少数股东的综合收益总额0.0,0.0,4607050.0,10901100.0,19863800.0----4.61 百万0.11 亿0.2 亿
 其他综合收益-490146.0,-162460.0,-50621.2,-37720.8,16788.0(49.01 万)(16.25 万)(5.06 万)(3.77 万)1.68 万
 归属于母公司所有者的其他综合收益总额-490146.0,-162460.0,-50621.2,-37720.8,16788.0(49.01 万)(16.25 万)(5.06 万)(3.77 万)1.68 万
 归属于少数股东的其他综合收益总额0.0,0.0,0.0,0.0,0.0----0.0 元0.0 元--
每股收益
 基本每股收益0.8,0.85,0.83,0.26,0.380.8 元0.85 元0.83 元0.26 元0.38 元
 稀释每股收益0.8,0.85,0.83,0.26,0.380.8 元0.85 元0.83 元0.26 元0.38 元
现金流量表
年份->趋势20132014201520162017
现金的期初余额104146000.0,105286000.0,102393000.0,287730000.0,438224000.01.04 亿1.05 亿1.02 亿2.88 亿4.38 亿
经营活动产生的现金流量净额24470400.0,16764300.0,42473100.0,130540000.0,293322000.00.24 亿0.17 亿0.42 亿1.31 亿2.93 亿
 + 销售商品、提供劳务收到的现金212280000.0,249145000.0,320587000.0,480425000.0,802472000.02.12 亿2.49 亿3.21 亿4.8 亿8.02 亿
 + 收到的税费返还3524960.0,996475.0,5307860.0,5908250.0,9277910.03.52 百万99.65 万5.31 百万5.91 百万9.28 百万
 + 收到其他与经营活动有关的现金21094500.0,31004200.0,41526000.0,39649400.0,58934400.00.21 亿0.31 亿0.42 亿0.4 亿0.59 亿
 + 经营活动现金流入小计236899000.0,281146000.0,367421000.0,525983000.0,870684000.02.37 亿2.81 亿3.67 亿5.26 亿8.71 亿
 + 购买商品、接受劳务支付的现金88650400.0,124884000.0,156451000.0,186473000.0,319297000.00.89 亿1.25 亿1.56 亿1.86 亿3.19 亿
 + 支付给职工以及为职工支付的现金34023500.0,35382000.0,40974500.0,68360500.0,86084600.00.34 亿0.35 亿0.41 亿0.68 亿0.86 亿
 + 支付的各项税费27455600.0,34192300.0,44242800.0,56379700.0,58684400.00.27 亿0.34 亿0.44 亿0.56 亿0.59 亿
 + 支付其他与经营活动有关的现金62299300.0,69923200.0,83279200.0,84230100.0,113296000.00.62 亿0.7 亿0.83 亿0.84 亿1.13 亿
 + 经营活动现金流出小计212429000.0,264382000.0,324948000.0,395443000.0,577362000.02.12 亿2.64 亿3.25 亿3.95 亿5.77 亿
投资活动产生的现金流量净额-3513000.0,-437613.0,326038.0,-7558220.0,-39227900.0(3.51 百万)(43.76 万)32.6 万(7.56 百万)(0.39 亿)
 + 收回投资收到的现金0.0,0.0,0.0,0.0,0.0----------
 + 取得投资收益收到的现金0.0,0.0,4000130.0,1450990.0,0.0----4.0 百万1.45 百万--
 + 处置固定资产、无形资产和其他长期资产收回的现金净额226958.0,507000.0,147000.0,6876.57,0.022.7 万50.7 万14.7 万6,876.57 元--
 + 处置子公司及其他营业单位收到的现金净额0.0,0.0,0.0,0.0,0.0----------
 + 收到其他与投资活动有关的现金0.0,0.0,146740000.0,18940000.0,3707000.0----1.47 亿0.19 亿3.71 百万
 => 投资活动现金流入小计226958.0,507000.0,150887000.0,20397900.0,3707000.022.7 万50.7 万1.51 亿0.2 亿3.71 百万
 - 购建固定资产、无形资产和其他长期资产支付的现金3739960.0,944613.0,10561100.0,24956100.0,27213000.03.74 百万94.46 万0.11 亿0.25 亿0.27 亿
 - 投资支付的现金0.0,0.0,0.0,0.0,0.0----------
 - 取得子公司及其他营业单位支付的现金净额0.0,0.0,0.0,0.0,15721900.0--------0.16 亿
 - 质押贷款净增加额0.0,0.0,0.0,0.0,0.0----------
 - 支付其他与投资活动有关的现金0.0,0.0,140000000.0,3000000.0,0.0----1.4 亿3.0 百万--
 => 投资活动现金流出小计3739960.0,944613.0,150561000.0,27956100.0,42934900.03.74 百万94.46 万1.51 亿0.28 亿0.43 亿
筹资活动产生的现金流量净额-19614300.0,-19230100.0,142875000.0,27657400.0,-170936000.0(0.2 亿)(0.19 亿)1.43 亿0.28 亿(1.71 亿)
 + 吸收投资收到的现金0.0,0.0,206398000.0,0.0,0.0----2.06 亿----
 + 其中:子公司吸收少数股东投资受到的现金0.0,0.0,0.0,0.0,0.0----------
 + 发行债券收到的现金0.0,0.0,0.0,0.0,0.0----------
 + 取得借款收到的现金0.0,0.0,0.0,3000000.0,0.0------3.0 百万--
 + 收到其他与筹资活动有关的现金0.0,0.0,0.0,64832100.0,32315300.0------0.65 亿0.32 亿
 => 筹资活动现金流入小计0.0,0.0,206398000.0,67832100.0,32315300.0----2.06 亿0.68 亿0.32 亿
 - 偿还债务支付的现金2875000.0,2875000.0,2875000.0,18875000.0,65875000.02.88 百万2.88 百万2.88 百万0.19 亿0.66 亿
 - 分配股利、利润或偿付利息支付的现金15429300.0,15255100.0,47620600.0,20999700.0,22885900.00.15 亿0.15 亿0.48 亿0.21 亿0.23 亿
 - 其中:子公司支付给少数股东的股利、利润或偿付的利息0.0,0.0,31090200.0,3634860.0,4179780.0----0.31 亿3.63 百万4.18 百万
 - 支付其他与筹资活动有关的现金1309990.0,1100000.0,13027400.0,300000.0,114490000.01.31 百万1.1 百万0.13 亿30.0 万1.14 亿
 => 筹资活动现金流出小计19614300.0,19230100.0,63523000.0,40174700.0,203251000.00.2 亿0.19 亿0.64 亿0.4 亿2.03 亿
汇率变动对现金及现金等价物的影响-202415.0,10349.1,-338026.0,-144609.0,-63959.9(20.24 万)1.03 万(33.8 万)(14.46 万)(6.4 万)
= 现金及现金等价物净增加额(净现金流)1140690.0,-2893050.0,185336000.0,150494000.0,83094200.01.14 百万(2.89 百万)1.85 亿1.5 亿0.83 亿
现金的期末余额105286000.0,102393000.0,287730000.0,438224000.0,521318000.01.05 亿1.02 亿2.88 亿4.38 亿5.21 亿

动态
暂时还有没有动态