002005 ST德豪润达
2025/03 - 三个月2024/122023/122022/122021/12

盈利能力分析
净资产收益率 ROE (%)0.420-68.802-30.908-29.455-33.317
总资产报酬率 ROA (%)0.069-12.981-10.130-12.069-14.131
投入资产回报率 ROIC (%)0.215-39.429-22.824-21.878-24.885

边际利润分析
销售毛利率 (%)16.18916.7898.7496.4695.831
营业利润率 (%)2.001-25.306-27.652-29.432-23.857
息税前利润/营业总收入 (%)-0.016-25.365-28.361-29.466-26.275
净利润/营业总收入 (%)0.532-26.848-28.823-31.372-25.754

收益指标分析
经营活动净收益/利润总额(%)-383.29750.313109.43973.85248.478
价值变动净收益/利润总额(%)214.983-0.771-30.4751.24641.579
营业外收支净额/利润总额(%)-26.3375.95411.2045.5866.840

偿债能力分析
流动比率 (X)0.6310.6480.5140.5890.746
速动比率 (X)0.5300.5450.4430.4970.592
资产负债率 (%)67.29668.83970.05452.77654.091
带息债务/全部投入资本 (%)33.81134.12025.43313.20121.979
股东权益/带息债务 (%)152.783148.051242.256600.764321.978
股东权益/负债合计 (%)24.79723.27529.67077.66075.733
利息保障倍数 (X)0.010-16.435-10.203-17.25539.453

营运能力分析
应收账款周转天数 (天)92.47083.03277.37487.29778.136
存货周转天数 (天)55.22648.81851.59962.27159.961