岳阳兴长000819资产负债表 |
3736 ℃ |
当前股价:17.45,市值:65
亿,动态市盈率PE:64.54,
合理估值PE:15,未来三年预期收益率:-51.84%。 其中,历史营业增长率:10.41%,净利增长率:2.21%; 未来三年预估净利增长率:19.82% (24E:18.62%, 25E:20.00%, 26E:20.83%)。 |
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | |
---|---|---|---|---|---|---|---|---|---|---|
货币资金(万) | 110238.85 | 23923.09 | 27525.11 | 46890.56 | 50490.19 | 53849.18 | 49025.03 | 48666.15 | 41955.8 | 38787.52 |
交易性金融资产(万) | - | - | 11339.28 | 5007.39 | 7048.32 | - | - | - | - | - |
衍生金融资产(万) | - | - | - | - | 21.39 | - | - | - | - | - |
应收票据(万) | 638.31 | 174.22 | 174.62 | - | 3168.15 | 33.6 | 113.7 | 161.05 | 103.44 | 257.5 |
应收账款(万) | 13145.74 | 8273.46 | 1972.2 | 1950.75 | 1154.7 | 1495.46 | 1388.35 | 386.13 | 460.64 | 70.32 |
预付款项(万) | 4274.09 | 1138.07 | 3490.83 | 606.3 | 1456.98 | 626.25 | 965.82 | 174.46 | 1146.26 | 1448.18 |
应收利息(万) | - | - | 7.39 | 1724.5 | 2595.64 | 1669.93 | 707.24 | 517.62 | 627.58 | 432.29 |
应收股利(万) | - | - | - | - | - | - | - | - | 122.5 | - |
其他应收款(万) | 331.09 | 293.02 | 117.57 | 82.73 | 248.5 | 2407.28 | 485.89 | 1174.47 | 91.42 | 129.66 |
存货(万) | 8207.08 | 6613.01 | 6984.95 | 4590.09 | 4916.35 | 3976.86 | 5940.66 | 3637.56 | 3858.37 | 2745.86 |
划分为持有待售的资产(万) | 372.33 | - | - | - | - | - | - | - | - | - |
一年内到期的非流动资产(万) | - | 1182.99 | - | - | - | - | - | - | - | - |
其他流动资产(万) | 8844.01 | - | 302.52 | 3254.16 | 226.98 | 3103.12 | 590.96 | 570.88 | 735.53 | 929.5 |
流动资产合计(万) | 146835.09 | 41912.23 | 52484.64 | 64337.45 | 71327.2 | 65491.73 | 59217.64 | 55288.33 | 49101.53 | 44800.83 |
可供出售金融资产(万) | - | - | - | - | - | 1310.75 | 1310.75 | 1510.75 | 2160.75 | 1510.75 |
长期股权投资(万) | 476.76 | - | - | - | 812.49 | - | - | 2770.29 | 3493.18 | 3880.94 |
固定资产净额(万) | 49419.78 | 43256.07 | 42113.23 | 13407.78 | 15200.42 | 15213.52 | 17258 | 19386.57 | 21629.6 | 21335.54 |
在建工程(万) | 108308.63 | 14935.52 | 1643.79 | 8267.2 | 895.6 | 1138.49 | 919.46 | - | 23.61 | 169.35 |
工程物资(万) | - | - | 12.21 | - | - | - | - | - | - | - |
固定资产清理(万) | - | - | - | 91.23 | 6.02 | - | - | - | - | - |
无形资产(万) | 24333.54 | 20208.87 | 8007.37 | 5582.65 | 2770.54 | 2788.64 | 2870.7 | 2952.76 | 4326.79 | 4506.36 |
商誉(万) | 22.5 | 22.5 | 22.5 | 22.5 | 22.5 | 22.5 | 22.5 | 22.5 | 22.5 | 22.5 |
长期待摊费用(万) | 697.74 | 837.07 | 928.58 | 345.74 | 78.95 | 94.74 | 229.59 | 553.02 | 876.45 | 1199.89 |
递延所得税资产(万) | 2020.3 | 949.79 | 28.04 | 59.95 | 155.32 | 165.75 | 167.24 | 247.81 | 245.73 | 178.78 |
其他非流动资产(万) | 1544.09 | 10815.05 | 7884.59 | 2949.44 | 766.31 | - | - | - | - | - |
非流动资产合计(万) | 193373.55 | 96761.79 | 66238.02 | 35600.16 | 24448.77 | 20734.39 | 22778.24 | 27443.71 | 32778.62 | 32804.1 |
资产总计(万) | 340208.64 | 138674.02 | 118722.66 | 99937.61 | 95775.97 | 86226.12 | 81995.88 | 82732.03 | 81880.15 | 77604.93 |
短期借款(万) | 17950 | 650 | 1000 | 500 | 679.86 | - | - | - | - | - |
应付票据(万) | 340.82 | - | - | - | - | - | - | - | - | - |
应付账款(万) | 33692.33 | 8117.36 | 11495 | 3970.6 | 2764.63 | - | 5368.01 | 4574.13 | 3912.46 | 2922.38 |
预收款项(万) | 160.17 | 95.06 | 77.41 | 61.64 | 1736.44 | 2308.8 | 1950.09 | 1554.32 | 1437.64 | 1496.43 |
应付职工薪酬(万) | 4854.59 | 3241.43 | 2894.47 | 2290.94 | 2952.74 | 1902.7 | 2083.33 | 1626.42 | 1489.16 | 1892.14 |
应交税费(万) | 5137.5 | 2051.52 | 2117.85 | 970.86 | 1304.33 | 1552.25 | 1112.95 | 927.13 | 1112.32 | 858.79 |
应付利息(万) | - | - | - | - | 8.77 | - | - | - | - | - |
其他应付款(万) | 8085.67 | 6017.52 | 1105.49 | 1787.11 | 2204.51 | 1283.86 | 2067.1 | 1353.28 | 1329.12 | 1335.26 |
一年内到期的非流动负债(万) | 2160.48 | 193.78 | 97.4 | - | - | - | 800 | 600 | 1000 | 400 |
其他流动负债(万) | 777.37 | 422.17 | 219.97 | 158.1 | - | - | - | - | - | - |
流动负债合计(万) | 79286.13 | 24575.5 | 22410.73 | 12302.86 | 11651.28 | 10474.47 | 13381.48 | 10635.28 | 10280.7 | 8905 |
长期借款(万) | 38676.48 | 4900 | - | - | - | - | - | 800 | 600 | 1600 |
专项应付款(万) | - | - | - | - | - | - | - | - | - | - |
预计非流动负债(万) | 114.36 | 37.33 | - | - | - | - | - | - | - | - |
递延所得税负债(万) | 1309.86 | 1035.91 | 1028.68 | 892.58 | 624.89 | - | - | - | - | - |
长期递延收益(万) | - | - | - | - | 23 | - | - | - | - | - |
非流动负债合计(万) | 40508.49 | 6175.85 | 1353.25 | 892.58 | 647.89 | - | - | 800 | 600 | 1600 |
负债合计(万) | 119794.63 | 30751.35 | 23763.98 | 13195.44 | 12299.18 | 10474.47 | 13381.48 | 11435.28 | 10880.7 | 10505 |
实收资本(或股本)(万) | 36969.75 | 30632.53 | 29915.03 | 29915.03 | 28490.5 | 27133.81 | 27133.81 | 25841.72 | 24611.17 | 23439.21 |
资本公积(万) | 105877.27 | 11751.2 | 6846.05 | 7036.08 | 7036.08 | 7036.08 | 7040.58 | 7040.57 | 8271.12 | 8271.12 |
减:库存股(万) | 6438.07 | 4699.63 | - | - | - | - | - | - | - | - |
其他综合收益(万) | 3501.06 | 3107.72 | 2906.57 | 2672.18 | 1838.44 | - | - | - | - | - |
专项储备(万) | 2195.85 | 1675.72 | 1569.05 | 2105.54 | 1692.56 | 1088.69 | 552.69 | 689.45 | 319.32 | - |
盈余公积(万) | 16604.73 | 15301.26 | 14480.22 | 13993.84 | 13914.69 | 13214.39 | 13214.39 | 13214.39 | 13214.39 | 13214.39 |
未分配利润(万) | 50014.26 | 41207.07 | 34398.18 | 28804.36 | 28306.12 | 24875.81 | 19668.45 | 23237.68 | 21434.48 | 18917.99 |
归属于母公司股东权益合计(万) | 208724.85 | 98975.86 | 90115.09 | 84527.02 | 81278.39 | 73348.78 | 67609.91 | 70023.81 | 67850.47 | 63842.71 |
少数股东权益(万) | 11689.16 | 8946.81 | 4843.58 | 2215.15 | 2198.41 | 2402.86 | 1004.49 | 1272.94 | 3148.97 | 3257.23 |
所有者权益(或股东权益)合计(万) | 220414.01 | 107922.67 | 94958.68 | 86742.17 | 83476.79 | 75751.64 | 68614.4 | 71296.76 | 70999.44 | 67099.93 |
负债和所有者权益(或股东权益)总计(万) | 340208.64 | 138674.02 | 118722.66 | 99937.61 | 95775.97 | 86226.12 | 81995.88 | 82732.03 | 81880.15 | 77604.93 |
应收票据及应收账款(万) | 13784.05 | 8447.68 | 2146.82 | 1950.75 | 4322.85 | - | - | - | - | - |
其他应收款(合计)(万) | 331.09 | 293.02 | 124.95 | 1807.22 | 2844.14 | - | - | - | - | - |
在建工程(合计)(万) | 108308.63 | 14935.52 | 1656 | 8267.2 | 895.6 | - | - | - | - | - |
固定资产及清理(合计)(万) | 49419.78 | 43256.07 | 42113.23 | 13499.01 | 15206.44 | - | - | - | - | - |
使用权资产(万) | 571.38 | 282.54 | 411.54 | - | - | - | - | - | - | - |
应付票据及应付账款(万) | 34033.15 | 8117.36 | 11495 | 3970.6 | 2764.63 | - | - | - | - | - |
其他应付款(合计)(万) | 8085.67 | 6017.52 | 1105.49 | 1787.11 | 2213.28 | - | - | - | - | - |
租赁负债(万) | 407.79 | 202.62 | 324.57 | - | - | - | - | - | - | - |
长期应付款(合计)(万) | - | - | - | - | - | - | - | - | - | - |