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600322
天房发展

行情走势 DDX在线指标 超赢数据 资金流向 同花顺主力 千股千评 融资融券 财务分析 分红配股 主营业务
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天房发展(600322)财务指标分析

天房发展(600322) 板块题材 投资亮点 财务分析 行业地位 公司概况

天房发展(600322) 主要财务指标

净利润
主营收
每股收益
报告日期
基本每股收益(元)
每股净资产(元)
每股经营活动产生的现金流量净额(元)
主营业务收入(万元)
主营业务利润(万元)
营业利润(万元)
投资收益(万元)
营业外收支净额(万元)
利润总额(万元)
净利润(万元)
净利润(扣除非经常性损益后)(万元)
经营活动产生的现金流量净额(万元)
现金及现金等价物净增加额(万元)
总资产(万元)
流动资产(万元)
总负债(万元)
流动负债(万元)
股东权益不含少数股东权益(万元)
净资产收益率加权(%)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302005-03-312004-12-312004-09-302004-06-302004-03-312003-12-312003-09-302003-06-302003-03-312002-12-312002-09-302002-06-302002-03-312001-12-312001-06-302000-12-311999-12-311998-12-31
0.220.150.120.130.130.070.200.160.160.05-0.34-0.24-0.080.000.000.040.030.030.150.060.060.060.130.100.070.060.240.130.090.050.240.200.120.050.200.150.090.040.140.060.040.010.100.100.090.040.060.030.020.01--------------------------------------------------
--------------------------------------------------4.04--3.883.843.873.823.783.703.683.633.573.513.463.463.383.363.333.353.353.343.333.292.022.014.523.973.943.923.983.963.943.933.963.953.933.933.963.923.913.913.893.913.913.903.873.863.393.313.211.55
---------------------------------------------------0.02--0.170.30-0.140.140.20-0.130.000.900.400.480.370.52-0.09-0.06-0.27-1.68-1.48-1.69-0.59-1.58-1.48-0.62-0.72-0.450.00--0.00-0.350.00--0.00-0.300.000.000.000.220.000.000.00-0.370.00-0.20---0.50-0.010.260.00--
307,635219,760340,141232,307178,411123,611634,949291,033212,50997,316353,125178,493117,43759,214380,218169,98380,29039,828318,104177,998111,63546,555174,944135,53775,60430,602321,314246,323164,98856,672325,396196,593151,11065,264198,623121,23563,39321,006116,90377,28047,99816,483150,527138,191119,32037,360181,905115,837102,72130,19699,00664,20549,67524,03070,02835,13724,0749,05956,20041,15727,03613,71272,05234,37221,4485,83851,55436,27422,1175,42160,86820,78558,68738,76056,748
52,61429,31866,29358,41043,62425,46097,66562,06546,14817,91060,50740,25133,93719,68168,58453,53932,42317,03784,54245,26332,97417,82953,74839,83721,9019,61270,83942,16327,09013,50373,96450,21741,05619,35056,72931,75618,1895,34131,41122,74014,9566,34532,97828,33523,0519,77825,53514,85310,6764,75818,59712,5298,8604,67420,49213,9029,2093,75217,08611,1477,2833,74019,1509,9356,3891,65514,7768,4805,4231,91313,9274,22420,68417,44122,547
39,96722,76624,45631,18124,03813,19645,27623,55718,2373,437-29,170-22,622-6,8412,00521,66821,97512,3936,22443,13713,73913,0718,65716,11111,6644,26352042,86421,42613,2557,91145,35231,21727,13412,07437,52620,73512,5055,96021,1907,2844,9801,48914,85114,57314,3695,0598,2353,8342,5829695,7092,8111,6857815,5693,3481,9505653,3891,4918356294,596440149-4363,4381,459899-516,1471,5168,3084,4928,809
385451-225-684-587-443420309509-492-357-371-29642-369-848-580-557236-351133172-535-190-231-700-827-451-319325-572-179-4136,4776,2676,6026,7659,824-794-469-378-849-522-311-196-206-260-200-75-365-5-16-9-1,140-1,013-349-6-188-9528-11374103643499941,1291,061403,3482,376-176-263840
421789-3,281193319,8098,1827,70812,92712,91412,9195,0478,339-543103220298,2578,2468,1858,1662,2082,19116711210,09610,12043191,326835806431,2608471121142,815---------------1290--0-1300-340-128000-1,279000-616-65-710-2010000
40,00922,76725,24527,90024,05713,19945,30733,36526,41811,146-16,243-9,7086,0787,05230,00721,97012,3976,22743,14713,77113,0918,68624,36819,91012,4488,68745,07123,61713,4228,02355,44841,33727,17612,09338,85321,57013,3116,00322,4508,1325,0921,60317,66717,13314,6035,5588,7234,0752,6449825,2372,7021,6787714,3202,2281,5685403,0731,2477015173,45424649-7214,6762,5851,950439,2943,8809,6034,5419,587
23,96616,06513,47214,86813,9937,48421,81318,14917,4795,450-37,677-26,951-8,7843344493,9463,2643,58516,8366,5706,2556,44914,37011,1417,9806,63226,02214,47910,1345,98626,78922,61813,1336,03822,61816,07510,0164,55315,6426,2574,1021,34511,23611,14010,1313,9695,1772,7181,8466583,3241,8091,1025052,1641,0338553131,5724223822712,08812280-6253,4291,8711,358326,6302,2406,4406,5785,684
23,85215,98212,85117,32813,9797,48314,42010,82610,769-654-49,299-36,628-18,464-3,443-5,8863,9463,2603,58316,8306,5506,2426,4288,1834,9631,845--24,421--10,061--18,647--13,105--16,448--4,208--6,344--4,015010,179010,10605,29101,804--3,41001,10303,19601,10601,491048502,512039102,7551,8731,365--6,8311,24300--
38,401-1,219400,168467,61288,46714,668198,467123,78264,544-143,298-220,953-47,1953,625-6,089-360,553-227,960-75,533-44,680-323,637-332,180-122,377-22,492-150,082-165,637-41,293-1,829-8,80718,26232,681-15,44315,27421,946-13,96918599,83243,96753,33740,84257,596-9,454-6,332-29,754-185,373-163,393-186,372-65,183-175,079-125,540-52,855-30,659-18,917-13,567-11,425-16,049-14,850-13,873-9,395-9,223-12,545-9,908-2,086-4,7698,96313,43212,1554,585-15,8050-8,641---21,118-3748,2340--
-51,611-22,695-257,858-252,980-276,804-162,445-114,450-108,615-85,088-215,779202,125139,594109,981119,042237,888297,50779,86266,539-248,445-262,455-89,501-14,056194,016142,12029,75330,36966,88443,690-33,007-16,088-73,340-16,830-39,807-30,83720,40332,06948,32922,1296,294-30,187-38,638-22,643-90,189-123,259-90,517-10,414135,105-31,576-5,30823,15325,2077,45118,85521,320-17,746-7,173-5,843-14,13914,574-9,955-1,0057,89513,02520,69215,5217,180-18,4560-12,238--25,988-3,2318,0760--
3,017,4713,025,5973,166,2993,236,6263,311,9353,456,8663,567,9083,757,8973,663,9513,532,1323,448,4953,036,5032,724,4192,607,5642,439,1012,453,7302,074,5831,987,2931,878,0211,913,4221,847,0731,736,8621,760,4481,634,8051,346,2681,277,2271,219,8351,170,2301,119,6051,198,4301,231,5771,289,0601,241,4231,235,7701,268,2781,248,1991,187,7811,090,0651,020,861986,629961,091952,005952,044886,489879,469868,545812,714572,110496,490544,839504,719465,425469,477448,261417,361402,432388,089372,267355,017328,047325,057333,439317,847341,969329,007306,529295,960301,720310,340297,537305,913251,668256,370256,057243,137
2,811,1712,809,7052,948,5143,019,4413,052,1763,246,1863,366,4163,573,7703,477,7773,324,0433,238,3702,878,8562,565,1342,446,6642,276,1442,337,1831,957,2311,868,9711,757,2011,812,1661,744,5281,632,9961,655,0181,531,2681,240,5281,169,6451,111,0041,065,5591,016,2791,096,8751,128,3091,184,5971,134,4481,127,5061,182,0881,164,8881,102,9111,004,448935,010881,337855,960858,144857,135800,765792,897811,415754,899511,095434,842485,192468,873428,449432,160410,346379,154365,621349,191332,853315,401290,382291,962302,121286,442311,882298,778--------262,9910000202,254
2,463,1302,483,1262,640,0642,704,9852,781,4612,933,0433,051,9693,210,2303,117,0262,999,1812,923,0692,504,4612,165,9242,043,5481,878,8311,897,4501,477,2591,389,2071,283,7911,350,0171,283,7821,172,0771,202,0651,130,068838,523772,051720,980679,424636,325711,453750,661813,926788,704788,842830,374823,649770,990678,623609,084585,777562,391555,640553,515488,009482,758473,192421,956374,217299,572353,323316,364278,365283,042264,464238,977224,918210,779192,045175,125157,912155,387162,241148,628173,482160,611138,819127,387129,971139,218127,727135,897138,828143,847149,834144,830
1,642,7211,884,1362,074,5421,961,0051,911,2831,944,9991,935,3702,008,5891,564,8981,342,1411,143,209885,937826,376486,788721,197911,258707,284677,961692,922662,855740,415773,742810,049798,101565,622463,091462,297512,106589,007661,437681,795730,922679,777586,141617,400607,788575,699496,502400,209352,629303,362298,835326,898268,792278,553319,587307,285278,566206,333285,963259,391224,013236,390211,543206,756191,116186,977164,737147,817118,955110,229111,783108,171148,024131,703--------99,0430000143,628
475,482467,580451,516452,934452,059445,550438,066434,439433,769421,740416,290427,052445,220454,559454,224457,733457,051462,458458,873448,637448,322452,940446,490443,268448,400447,051440,420428,883424,538428,130422,144417,978408,501406,934400,896394,356388,298382,827382,697373,315371,160368,403370,376370,284369,275368,642364,232171,490170,618171,440168,387166,899166,191168,495167,990166,886166,708167,861167,547166,418166,378167,962165,996165,516165,474164,812165,604165,602165,090163,819163,730106,409103,924100,68797,043
5.173.503.033.343.141.695.114.274.111.30-8.66-6.12-1.950.070.100.860.710.783.721.461.391.433.232.521.801.496.033.402.381.416.515.523.231.495.774.152.601.184.16--1.110.003.060.002.750.002.530.001.08--1.960.000.650.001.280.00--0.000.940.000.000.001.250.000.050.002.070.000.00--5.272.136.200.000.00

盈利能力

营业利润率

营业利润率

净资产收益率

净资产收益率

2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-31
总资产利润率(%)0.930.540.450.480.440.23
主营业务利润率(%)17.1013.3419.4925.1424.4520.60
总资产净利润率(%)0.910.520.430.460.420.22
成本费用利润率(%)14.9211.528.1813.9215.6512.01
营业利润率(%)12.9910.367.1913.4213.4710.68
主营业务成本率(%)80.2683.7677.9772.3272.8777.98
销售净利率(%)9.147.394.236.748.156.38
净资产收益率(%)5.043.442.983.283.101.68
股本报酬率(%)42.7814.6830.0414.1729.817.13
净资产报酬率(%)8.532.996.312.956.211.51
资产报酬率(%)1.570.541.050.481.000.23
销售毛利率(%)19.7416.2422.0327.6827.1322.02
三项费用比重(%)4.283.2410.2011.4510.609.49
非主营比重(%)1.071.982.23-14.21-2.36-3.33
主营利润比重(%)131.51128.78262.60209.36181.34192.89

偿还能力

流动比率

流动比率

资产负债率

资产负债率

2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-31
流动比率(%)1.711.491.421.541.601.67
速动比率(%)0.120.120.130.140.120.18
现金比率(%)5.015.906.457.086.0111.79
利息支付倍数(%)-19,302.64-24,695.42492.35520.43450.40419.14
资产负债率(%)81.6382.0783.3883.5783.9884.85
长期债务与营运资金比率(%)0.490.620.620.680.660.57
股东权益比率(%)18.3717.9316.6216.4316.0215.15
长期负债比率(%)19.1019.0917.1922.2222.6321.61
股东权益与固定资产比率(%)6,614.20--5,987.04--5,862.79--
负债与所有者权益比率(%)444.33457.74501.69508.80524.34559.93
长期资产与长期资金比率(%)18.2419.2720.3517.3620.3016.58
资本化比率(%)50.9851.5750.8457.5058.5558.78
固定资产净值率(%)30.39--31.85--32.93--
资本固定化比率(%)37.2239.8041.3940.8548.9740.22
产权比率(%)400.33453.81497.64504.16501.57513.93
清算价值比率(%)135.95122.88120.89120.73124.45128.39
固定资产比重(%)0.28--0.28--0.27--

成长能力

净利润增长率

净利润增长率    

净资产增长率

净资产增长率    

2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-31
主营业务收入增长率(%)72.4377.78-46.43-20.18-16.0527.02
净利润增长率(%)93.37105.93-55.70-35.01-32.404.78
净资产增长率(%)4.503.562.00-2.93-3.01-1.71
总资产增长率(%)-8.89-12.48-11.26-13.87-9.61-2.13

营运能力

存货周转率(次)

存货周转率(次)

总资产周转率(次)

总资产周转率(次)

2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-31
应收账款周转率(次)1,648.821,226.20884.64468.28355.49221.87
应收账款周转天数(天)0.110.070.410.580.510.41
存货周转率(次)0.090.070.100.060.050.03
固定资产周转率(次)35.83--37.38--19.33--
总资产周转率(次)0.100.070.100.070.050.04
存货周转天数(天)1,929.261,287.553,757.834,500.003,930.132,686.57
总资产周转天数(天)1,809.051,267.613,564.363,953.153,468.212,556.82
流动资产周转率(次)0.110.080.110.070.060.04
流动资产周转天数(天)1,685.391,179.553,342.623,708.793,237.412,406.42
经营现金净流量对销售收入比率(%)0.12-0.011.182.010.500.12
资产的经营现金流量回报率(%)0.01-0.000.130.140.030.00
经营现金净流量与净利润的比率(%)1.37-0.0827.7829.856.091.86
经营现金净流量对负债比率(%)0.02-0.000.150.170.030.01
现金流量比率(%)2.34-0.0619.2923.854.630.75
  天房发展(600322)财务报表数据分析图
天房发展(600322)财务报表数据分析图
  天房发展(600322)资产负债表分析图
天房发展(600322)(天房发展)资产负债表分析图
  天房发展(600322)利润分配表分析图
天房发展(600322)(天房发展)利润分配表分析图
  天房发展(600322)现金流量表分析图
天房发展(600322)(天房发展)现金流量表分析图
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宁波东力 002164+3.68% 千股千评 DDX指标 超赢 资金流向 大小非 股东 分红
大智慧 601519+3.68% 千股千评 DDX指标 超赢 资金流向 大小非 股东 分红
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