2025/03 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
资产回报率 (%) | -25.215% | -16.249% | -2.215% | 2.995% | 3.201% |
股东资金回报率 (%) | -71.581% | -34.162% | -4.604% | 6.551% | 6.547% |
资本运用回报率 (%) | -84.960% | -42.365% | -4.580% | 6.294% | 6.312% |
2025/03 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
毛利率 (%) | 2.692% | 4.424% | 6.898% | 5.669% | 6.091% |
未计利息、税项、折旧及摊销前利润率 (%) | -9.315% | -8.518% | 0.119% | 2.219% | 2.623% |
税前边际利润率 (%) | -15.654% | -13.042% | -1.707% | 1.120% | 1.656% |
纯利率 (%) | -15.766% | -14.701% | -1.301% | 0.978% | 1.313% |
2025/03 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
流动比率 (X) | 1.152 X | 1.384 X | 1.706 X | 1.596 X | 1.643 X |
速动比率 (X) | 0.912 X | 0.935 X | 1.063 X | 1.259 X | 1.314 X |
2025/03 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
总负债 / 总资产比率 (%) | 73.117% | 58.300% | 47.606% | 55.528% | 52.866% |
总债项 / 总资产比率 (%) | 49.553% | 38.283% | 17.620% | 22.744% | 20.198% |
净债项 / 总资产比率 (%) | 40.798% | 33.603% | 14.060% | 12.808% | 11.285% |
总债项 / 股东资金比率 (%) | 184.327% | 91.804% | 33.630% | 51.142% | 42.852% |
长期债项 / 股东资金比率 (%) | 21.944% | 0% | 0.313% | 0.466% | 0.210% |
净债项 / 股东资金比率 (%) | 151.760% | 80.581% | 26.835% | 28.801% | 23.942% |
净现金 / (债项) ($) | (1.72千万) | (1.82千万) | (9.25百万) | (9.89百万) | (7.65百万) |
每股净现金 / (债项) ($) | (0.016) | (0.017) | (0.008) | (0.012) | (0.010) |
总债项 / 资本运用比率 (%) | 145.918% | 90.149% | 33.525% | 50.905% | 42.762% |
利息盈利率 (X) | N/A | N/A | N/A | 2.368 X | 3.867 X |
2025/03 | 2023/12 | 2022/12 | 2021/12 | 2020/12 | |
存货周转率日数 (日) | 50.368日 | 98.097日 | 55.437日 | 22.760日 | 31.149日 |
应收贸易帐周转率日数 (日) | 78.031日 | 118.737日 | 92.568日 | 60.194日 | 72.679日 |
应付贸易帐周转率日数 (日) | 32.576日 | 70.883日 | 62.084日 | 36.453日 | 52.495日 |
备注: | 实时报价更新时间为25/07/2025 18:00 |
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