江苏神通002438资产负债表 |
3655 ℃ |
当前股价:12.07,市值:61
亿,动态市盈率PE:20.76,
合理估值PE:15,未来三年预期收益率:18.18%。 其中,历史营业增长率:14.93%,净利增长率:13.61%; 未来三年预估净利增长率:19.94% (24E:17.21%, 25E:23.24%, 26E:19.44%)。 |
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | |
---|---|---|---|---|---|---|---|---|---|---|
货币资金(万) | 71544.28 | 91529.47 | 60795.13 | 29383.81 | 24014.11 | 23397.18 | 21552.77 | 10852.15 | 11799.13 | 17016.12 |
交易性金融资产(万) | 15673.04 | 29152.45 | 16284.43 | 11362.76 | 26500 | - | - | - | - | - |
应收票据(万) | 22589.45 | 26903.9 | 20565.46 | 28136.68 | 17119.7 | 14985.6 | 9202.68 | 12485.09 | 5708.02 | 4363.83 |
应收账款(万) | 101025.22 | 80909.22 | 65210.71 | 61576.44 | 58644.71 | 47821.58 | 52135.05 | 51998.77 | 53146.1 | 34249.42 |
预付款项(万) | 6232.59 | 3502.08 | 3744.31 | 6758.33 | 6413.57 | 5027.66 | 4005.47 | 2858.45 | 1539.53 | 1533.58 |
应收利息(万) | - | - | - | - | 8.03 | - | - | - | - | - |
其他应收款(万) | 3463.1 | 2460.71 | 2937.37 | 2007.05 | 1495.37 | 1327.19 | 1846.08 | 1727.87 | 1503.61 | 1188.11 |
存货(万) | 84690.6 | 85020.92 | 81970.15 | 77291.74 | 75055.84 | 77605.37 | 56103.05 | 36946.13 | 31401.77 | 21401.39 |
其他流动资产(万) | 6900.1 | 2842.44 | 441.97 | 20378.48 | 17201.28 | 42456.69 | 35400.32 | 2828.98 | 6423.5 | 10778.84 |
流动资产合计(万) | 317592.5 | 329046.89 | 266994.51 | 241856.63 | 226452.6 | 212621.27 | 180245.42 | 119697.44 | 111521.66 | 90531.28 |
长期股权投资(万) | 5136.98 | 1546.74 | 2067.34 | 3022.37 | 2855.82 | 8622.04 | 7998.86 | 7884.33 | - | - |
投资性房地产(万) | - | - | 1129.86 | 2809.92 | - | - | - | - | - | - |
固定资产净额(万) | 200725.41 | 109612.15 | 66606.57 | 58713.96 | 62180.46 | 62358.23 | 58397.72 | 48471.32 | 24923.92 | 16523.69 |
在建工程(万) | 2801.33 | 84035.6 | 53987.97 | 9194.17 | 5089.23 | 5663.93 | 3885.88 | 937.17 | 20817.96 | 11040.78 |
固定资产清理(万) | - | - | 0.69 | - | - | - | - | - | - | - |
无形资产(万) | 10805.85 | 10925.51 | 12977.27 | 12963.41 | 12158.23 | 12779.72 | 13442.05 | 13609.72 | 13854.16 | 6122.28 |
商誉(万) | 23259.44 | 23259.44 | 23259.44 | 23259.44 | 23259.44 | 23259.44 | 23259.44 | 1672.49 | 1672.49 | - |
长期待摊费用(万) | 2625.83 | 2941.45 | 1955.14 | 1091.45 | 989.94 | 793.27 | 620.72 | 363.38 | 251.99 | 164.45 |
递延所得税资产(万) | 3769.86 | 3825.45 | 3173.72 | 2800.93 | 2596.49 | 2276.87 | 2599.58 | 2130.4 | 2026.47 | 1465.14 |
其他非流动资产(万) | 12105.73 | 12195.05 | 3585.12 | 277.54 | 267.76 | 1265.86 | 142.62 | - | 308.52 | 525.78 |
非流动资产合计(万) | 266998.41 | 250967.52 | 171605.51 | 117173.99 | 109397.37 | 117019.35 | 110346.87 | 75068.82 | 63855.5 | 35842.13 |
资产总计(万) | 584590.92 | 580014.41 | 438600.02 | 359030.62 | 335849.97 | 329640.62 | 290592.29 | 194766.25 | 175377.17 | 126373.41 |
短期借款(万) | 59201.95 | 65563.54 | 63071.12 | 31700 | 33578.29 | 34700 | 20758.78 | 13900 | 4380 | - |
应付票据(万) | 25103.09 | 30127.67 | 29559.6 | 13166.21 | 9537.28 | - | 9574.6 | 5864.12 | 4638.11 | 4572.04 |
应付账款(万) | 68738.47 | 73317.19 | 51620.42 | 47099.29 | 36285.01 | - | 30810.36 | 22834.48 | 20528.63 | 15591.65 |
预收款项(万) | - | 22.04 | - | 47.6 | 30857.69 | 26102.39 | 11500.59 | 5737.79 | 3336.06 | 3027.57 |
应付职工薪酬(万) | 6081.08 | 5015.13 | 4809.68 | 4147.94 | 3996.48 | 3332.97 | 2782.66 | 2115.75 | 1610.08 | 1187.73 |
应交税费(万) | 2793.9 | 2166.88 | 2552.34 | 2236.82 | 1064.93 | 571.4 | 2370.85 | 1018.68 | 1925.31 | 1014.09 |
应付利息(万) | - | - | - | 37.72 | 46.11 | 51.53 | 32.38 | 30.78 | 17.2 | - |
其他应付款(万) | 4050.37 | 3169.43 | 2363.73 | 8604.27 | 13907.5 | 20545.41 | 27713.8 | 937.05 | 8467.76 | 949.71 |
一年内到期的非流动负债(万) | 33023.46 | 13759.03 | 2261.05 | 750 | 1200 | 1000 | 1000 | 8000 | 3000 | - |
其他流动负债(万) | 4449.28 | 3214.32 | 3901.58 | 3237.14 | - | - | - | - | - | - |
流动负债合计(万) | 221195.18 | 213147.76 | 181306.6 | 134708.31 | 130473.3 | 139031.54 | 106544.03 | 60438.65 | 47903.14 | 26342.78 |
长期借款(万) | 15425.69 | 51400.72 | 11000 | 2250 | 2668 | 3868 | 4868 | 5000 | 6600 | - |
预计非流动负债(万) | 610.28 | 617.64 | 535.32 | 199.34 | - | - | - | - | - | - |
递延所得税负债(万) | 1272.08 | 906.21 | 649.52 | 709.37 | 779.86 | 988.17 | 973.75 | 978.28 | 1070.66 | - |
长期递延收益(万) | 7230.35 | 7813.3 | 6148.59 | 4962.9 | 4902.68 | 5422.71 | 6141.44 | 6487.1 | 6615.14 | 6256.26 |
其他非流动负债(万) | 11087.53 | 10784.53 | - | - | - | - | - | - | - | - |
非流动负债合计(万) | 35625.93 | 71522.4 | 18333.43 | 8121.62 | 8350.54 | 10278.89 | 11983.19 | 12465.38 | 14285.8 | 6256.26 |
负债合计(万) | 256821.11 | 284670.16 | 199640.03 | 142829.92 | 138823.85 | 149310.43 | 118527.23 | 72904.03 | 62188.94 | 32599.04 |
实收资本(或股本)(万) | 50753.75 | 50753.75 | 48575.62 | 48575.62 | 48575.62 | 48577.22 | 48587.82 | 21957.15 | 21609.15 | 20800 |
资本公积(万) | 119120.73 | 115594.58 | 81389.57 | 81389.57 | 81389.57 | 81396.86 | 81400.18 | 62978.01 | 58713.05 | 40725.98 |
减:库存股(万) | - | - | - | - | - | 1435.53 | - | - | - | - |
其他综合收益(万) | 2607.48 | -367.89 | -151.67 | - | - | 719.45 | 124.69 | - | - | - |
盈余公积(万) | 13500.35 | 11936.88 | 10110.81 | 7580.59 | 6203.2 | 5091.12 | 4626.66 | 4252.75 | 3902.39 | 3730.52 |
未分配利润(万) | 141785.22 | 117426.93 | 99035.66 | 78654.92 | 60857.74 | 45981.09 | 37325.71 | 32674.3 | 28963.64 | 28517.87 |
归属于母公司股东权益合计(万) | 327767.52 | 295344.25 | 238959.99 | 216200.7 | 197026.12 | 180330.2 | 172065.06 | 121862.22 | 113188.23 | 93774.37 |
少数股东权益(万) | 2.28 | - | - | - | - | - | - | - | - | - |
所有者权益(或股东权益)合计(万) | 327769.8 | 295344.25 | 238959.99 | 216200.7 | 197026.12 | 180330.2 | 172065.06 | 121862.22 | 113188.23 | 93774.37 |
负债和所有者权益(或股东权益)总计(万) | 584590.92 | 580014.41 | 438600.02 | 359030.62 | 335849.97 | 329640.62 | 290592.29 | 194766.25 | 175377.17 | 126373.41 |
应收票据及应收账款(万) | 123614.67 | 107813.12 | 85776.18 | 89713.12 | 75764.41 | - | - | - | - | - |
其他应收款(合计)(万) | 3463.1 | 2460.71 | 2937.37 | 2007.05 | 1503.4 | - | - | - | - | - |
在建工程(合计)(万) | 2801.33 | 84035.6 | 53987.97 | 9194.17 | 5089.23 | - | - | - | - | - |
固定资产及清理(合计)(万) | 200725.41 | 109612.15 | 66607.26 | 58713.96 | 62180.46 | - | - | - | - | - |
使用权资产(万) | - | 18.14 | - | - | - | - | - | - | - | - |
应付票据及应付账款(万) | 93841.56 | 103444.86 | 81180.02 | 60265.49 | 45822.29 | - | - | - | - | - |
其他应付款(合计)(万) | 4050.37 | 3169.43 | 2363.73 | 8641.99 | 13953.62 | - | - | - | - | - |
长期应付款(合计)(万) | - | - | - | - | - | - | - | - | - | - |