603466 风语筑
2025/03 - 三个月2024/122023/122022/122021/12

盈利能力分析
净资产收益率 ROE (%)1.805-5.79612.1172.94020.569
总资产报酬率 ROA (%)0.840-2.7745.6301.38710.051
投入资产回报率 ROIC (%)1.104-3.7247.5321.86313.495

边际利润分析
销售毛利率 (%)31.48622.98428.39027.13432.956
营业利润率 (%)12.478-11.83513.5004.51917.378
息税前利润/营业总收入 (%)13.349-11.33613.2714.23516.444
净利润/营业总收入 (%)10.535-9.84112.0133.92714.927

收益指标分析
经营活动净收益/利润总额(%)132.032-27.921123.276246.256120.893
价值变动净收益/利润总额(%)6.38310.31428.66043.7885.680
营业外收支净额/利润总额(%)-0.2460.454-0.104-0.090-0.796

偿债能力分析
流动比率 (X)2.0921.9822.2001.8661.882
速动比率 (X)1.8141.7042.0081.5731.609
资产负债率 (%)52.40754.43249.87757.04247.896
带息债务/全部投入资本 (%)37.61137.57231.10041.01026.954
股东权益/带息债务 (%)162.564162.871216.303139.699261.614
股东权益/负债合计 (%)90.81483.717100.49175.308108.783
利息保障倍数 (X)14.799-20.475-61.647-15.133-20.639

营运能力分析
应收账款周转天数 (天)313.905382.738226.547302.403159.978
存货周转天数 (天)191.092160.454113.884183.957132.059