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浙江富润(600070)盈利能力图
浙江富润(600070)盈利能力    年份:
截止日期2020-09-302020-06-302020-03-312019-12-312019-09-30
净资产收益率_平均,计算值(%)11.639.062.1618.6614.11
净资产收益率_加权,公布值(%)11.599.062.1618.4413.92
净资产收益率_摊薄,公布值(%)11.078.672.1417.0813.17
净资产收益率_扣除,摊薄(%)3.573.330.412.494.56
净资产收益率_扣除,加权(%)--3.58--2.69--
净资产收益率_TTM(%)15.1115.3812.9017.0815.92
总资产报酬率(%)10.837.362.2816.2712.57
总资产报酬率_TTM(%)15.8713.2412.0215.2214.63
总资产净利率(%)8.235.701.4112.319.84
总资产净利率_TTM(%)11.709.868.7011.5211.53
投入资本回报率(%)10.807.612.2516.6613.12
销售净利率(%)18.5421.7310.5017.5320.17
销售净利率_TTM(%)16.4017.1213.7717.5316.15
销售毛利率(%)15.7315.4913.5015.2619.18
销售毛利率_TTM(%)12.9014.0014.3415.2617.79
销售成本率(%)84.2784.5186.5084.7480.82
销售期间费用率(%)9.108.579.808.538.56
销售期间费用率_TTM(%)8.888.889.008.538.14
净利润/营业总收入(%)18.5421.7310.5017.5320.17
净利润/营业总收入_TTM(%)16.4017.1213.7717.5316.15
营业利润/营业总收入(%)22.9127.1613.8922.3524.75
营业利润/营业总收入_TTM(%)21.0822.1517.7822.3519.48
息税前利润/营业总收入(%)24.4028.0516.9323.1625.76
息税前利润/营业总收入_TTM(%)22.2522.9719.0223.1620.48
营业总成本/营业总收入(%)93.7893.5096.7995.9691.45
营业总成本/营业总收入_TTM(%)98.6797.6697.0195.9692.21
销售费用/营业总收入(%)1.641.521.401.431.70
销售费用/营业总收入_TTM(%)1.391.321.321.431.59
管理费用/营业总收入(%)4.003.393.202.973.41
管理费用/营业总收入_TTM(%)3.353.083.012.972.71
财务费用/营业总收入(%)1.521.683.130.981.14
财务费用/营业总收入_TTM(%)1.221.231.370.981.03
资产减值损失/营业总收入(%)0.320.560.690.990.32
资产减值损失/营业总收入_TTM(%)1.011.210.990.990.66
归属母公司净利润(元)347941967.68(元)269676884.79(元)62031529.49(元)485478552.00(元)358571220.84(元)
扣除非经常性损益后的净利润(元)112111605.06(元)103696088.20(元)11875180.67(元)70804546.22(元)124025601.63(元)
息税前利润(元)489880579.33(元)364030247.37(元)109160833.18(元)724816056.72(元)536176623.84(元)
息税折旧摊销前利润(元)489880579.33(元)393263962.99(元)109160833.18(元)777702067.94(元)536176623.84(元)
营业利润率(%)22.9127.1613.8922.3524.75
成本费用利润率(%)25.0229.7514.6424.6628.27
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