金浦钛业000545资产负债表 |
5238 ℃ |
当前股价:2.41,市值:24
亿,动态市盈率PE:-9.66,
合理估值PE:15,未来三年预期收益率:-204.36%。 其中,历史营业增长率:10.81%,净利增长率:3.69%; 未来三年预估净利增长率:0% (25E:--%, 26E:--%, 27E:--%)。 |
2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | |
---|---|---|---|---|---|---|---|---|---|---|
货币资金(万) | 16929.12 | 39110.71 | 39182.59 | 45175.87 | 35996.86 | 22308.5 | 29140.31 | 56321.53 | 16661.17 | 26556.21 |
交易性金融资产(万) | - | - | - | - | - | - | - | - | - | 548.74 |
应收票据(万) | 16664.3 | 15958.51 | 14639.19 | 1872.1 | - | - | 4789.07 | 10819.72 | 15916.64 | 3855.05 |
应收账款(万) | 17130.18 | 12461.99 | 12844.8 | 17164.47 | 9499.17 | 8807.31 | 6710.44 | 6695.11 | 3656.87 | 3067.92 |
预付款项(万) | 819.46 | 517.36 | 1693.31 | 1911.98 | 1597.57 | 2771.33 | 2091.48 | 1028.1 | 4011.21 | 2558.84 |
应收利息(万) | 305.34 | 294.04 | - | - | 637.9 | 700.51 | 1200.26 | 53.28 | 34.84 | 28.76 |
其他应收款(万) | 6449.08 | 6511.45 | 323.31 | 408.35 | 399.19 | 4067.2 | 1673.44 | 1119.22 | 168.21 | 3221.86 |
存货(万) | 15431.62 | 16244.07 | 29006.07 | 24931.76 | 12871.7 | 23109.37 | 26922.52 | 24726.55 | 11921.67 | 10210.57 |
其他流动资产(万) | 4758.98 | 2621.15 | 56473.54 | 64805.08 | 60926.66 | 57257.2 | 52234.81 | 26541.66 | 71017.18 | 73209.46 |
流动资产合计(万) | 80044.59 | 98702.75 | 155880.44 | 158543.87 | 127348.39 | 126986.21 | 123562.07 | 127305.17 | 123387.81 | 123257.42 |
可供出售金融资产(万) | - | - | - | - | - | - | - | - | 9260.75 | - |
长期股权投资(万) | 18655.55 | 31232.98 | 22711.59 | 31368.04 | 36340.13 | 55342.51 | 61928.51 | 16395.63 | - | - |
投资性房地产(万) | 26071.42 | - | - | - | - | - | - | - | - | - |
固定资产净额(万) | 103175.02 | 112148.37 | 99409.88 | 105687.93 | 112487.6 | 117748.5 | 117683.11 | 122302.73 | 126097.28 | 59390.87 |
在建工程(万) | 42613.74 | 28583.67 | 5963.33 | 5102.16 | 3885.54 | 2408.7 | 3524.78 | 2906.01 | 1458.81 | 61741.92 |
工程物资(万) | 1498.08 | 469.56 | 31.83 | 16.63 | 13.31 | 31.85 | - | - | - | 669.1 |
无形资产(万) | 6818.06 | 6958.47 | 7138.9 | 4843.19 | 4964.09 | 4988.07 | 5118.62 | 5275.85 | 6659.79 | 5038.11 |
长期待摊费用(万) | 757.77 | 340.06 | 305.89 | 425.32 | 192.55 | - | 6 | 12 | - | - |
递延所得税资产(万) | 8899.66 | 5608.83 | 3872.57 | 1467.69 | 3117.57 | 733.46 | 838.61 | 1026.11 | 2730.86 | 1580.63 |
其他非流动资产(万) | 7023.43 | 8647.09 | 13099.46 | 385.85 | 421.42 | 881.09 | - | - | - | 805.15 |
非流动资产合计(万) | 215512.72 | 193989.03 | 152533.45 | 149296.8 | 161422.23 | 182134.18 | 189099.63 | 147918.32 | 146207.48 | 129225.77 |
资产总计(万) | 295557.31 | 292691.78 | 308413.89 | 307840.67 | 288770.61 | 309120.39 | 312661.69 | 275223.49 | 269595.29 | 252483.19 |
短期借款(万) | 44228.42 | 41092.72 | 53919.56 | 52381.77 | 52636.55 | 56720.4 | 67179.01 | 29573.94 | 33479.09 | 18000 |
交易性金融负债(万) | - | - | 55.2 | - | - | - | - | 300.19 | - | - |
应付票据(万) | 4083.71 | 13957.21 | 12038.81 | 13500 | 10300 | - | - | 1000 | 1000 | 11557.8 |
应付账款(万) | 66629.66 | 49716.2 | 32528.54 | 36168.12 | 31434.77 | 31592.48 | - | 25119.95 | 21330.81 | 23543.57 |
预收款项(万) | 2.3 | - | - | - | - | 842.44 | 684.92 | 2463.83 | 5745.85 | 1554.67 |
应付职工薪酬(万) | 1939.5 | 2035.65 | 2151.23 | 2804.64 | 2118.62 | 2367.14 | 2451.59 | 2755.34 | 2377.03 | 2281.98 |
应交税费(万) | 408.11 | 401.2 | 455.49 | 1136.26 | 1092.41 | 1258.95 | 849.53 | 1290.89 | 780.99 | 977.83 |
应付利息(万) | - | - | - | - | - | - | 39.35 | 30.79 | 25 | 24.7 |
其他应付款(万) | 10738.47 | 4190.79 | 1831.73 | 789.03 | 617.16 | 756.83 | 845.43 | 530.01 | 713.51 | 3238.83 |
预提费用(万) | - | - | - | - | - | - | - | - | - | - |
一年内到期的非流动负债(万) | 1611.95 | - | - | - | - | - | 1598.34 | 1592.42 | 1563.32 | 1541.64 |
其他流动负债(万) | 16362.73 | 14320.67 | 13485.26 | 464.82 | 418.19 | - | - | - | - | - |
流动负债合计(万) | 148616.2 | 128001 | 117830.98 | 110820.2 | 101834.51 | 93538.25 | 99329.28 | 64657.36 | 67015.59 | 62721.03 |
长期借款(万) | 5600 | - | - | - | - | - | - | - | - | - |
预计非流动负债(万) | 52.1 | - | - | - | - | - | - | - | - | - |
递延所得税负债(万) | 612.36 | 687.35 | 761.91 | 1393.88 | 918.7 | 1007.16 | 1093.52 | 1925.93 | 2666.41 | 1028.1 |
长期递延收益(万) | 1017.49 | 1126.44 | 2128.29 | 3726.62 | 5324.96 | 6923.29 | 6923.29 | 8252.46 | 9609.49 | 12211.75 |
其他非流动负债(万) | - | - | - | - | - | - | - | - | - | - |
非流动负债合计(万) | 7281.95 | 1813.79 | 2890.2 | 5120.51 | 6243.66 | 7930.46 | 8016.81 | 10178.4 | 12275.9 | 13239.85 |
负债合计(万) | 155898.15 | 129814.79 | 120721.18 | 115940.71 | 108078.17 | 101468.71 | 107346.09 | 74835.75 | 79291.5 | 75960.88 |
实收资本(或股本)(万) | 98683.31 | 98683.31 | 98683.31 | 98683.31 | 98683.31 | 98683.31 | 98683.31 | 98683.31 | 98683.31 | 98683.31 |
资本公积(万) | -15772.03 | -22858.42 | -6411.76 | -6411.76 | -6411.76 | -6411.76 | -6411.76 | -6411.76 | -6411.76 | -7880.86 |
其他综合收益(万) | -1.74 | 0.03 | 0.03 | 2.67 | 3.67 | 7.02 | 6.13 | 462.42 | 4083.4 | 1006.43 |
专项储备(万) | 732.2 | 874.06 | 668.77 | 665.77 | 188.55 | 148.44 | 314.35 | 200.53 | 117.88 | 2.36 |
盈余公积(万) | - | - | 6192.55 | 6192.55 | 6192.55 | 6192.55 | 6192.55 | 6192.55 | 6192.55 | 6192.55 |
未分配利润(万) | 31023.22 | 60245.09 | 78177 | 92767.42 | 82036.11 | 109032.11 | 106531.01 | 101260.68 | 87638.4 | 78518.53 |
归属于母公司股东权益合计(万) | 114664.96 | 136944.08 | 177309.91 | 191899.97 | 180692.44 | 207651.68 | 205315.6 | 200387.74 | 190303.79 | 176522.31 |
少数股东权益(万) | 24994.2 | 25932.92 | 10382.8 | - | - | - | - | - | - | - |
所有者权益(或股东权益)合计(万) | 139659.16 | 162877 | 187692.71 | 191899.97 | 180692.44 | 207651.68 | 205315.6 | 200387.74 | 190303.79 | 176522.31 |
负债和所有者权益(或股东权益)总计(万) | 295557.31 | 292691.78 | 308413.89 | 307840.67 | 288770.61 | 309120.39 | 312661.69 | 275223.49 | 269595.29 | 252483.19 |
应收票据及应收账款(万) | 33794.48 | 28420.51 | 27484 | 19036.57 | 9499.17 | 8807.31 | - | - | - | - |
应收款项融资(万) | 1556.52 | 4983.45 | 1717.63 | 2274.26 | 5419.34 | 7964.79 | - | - | - | - |
其他应收款(合计)(万) | 6754.41 | 6805.49 | 323.31 | 408.35 | 1037.08 | 4767.71 | - | - | - | - |
在建工程(合计)(万) | 44111.82 | 29053.23 | 5995.16 | 5118.79 | 3898.85 | 2440.55 | - | - | - | - |
固定资产及清理(合计)(万) | 103175.02 | 112148.37 | 99409.88 | 105687.93 | 112487.6 | 117748.5 | - | - | - | - |
应付票据及应付账款(万) | 70713.37 | 63673.4 | 44567.35 | 49668.12 | 41734.77 | 31592.48 | - | - | - | - |
其他应付款(合计)(万) | 10738.47 | 4190.79 | 1831.73 | 789.03 | 617.16 | 756.83 | - | - | - | - |
长期应付款(合计)(万) | - | - | - | - | - | - | - | - | - | - |