宁水集团603700资产负债表 |
3408 ℃ |
当前股价:10.8,市值:22
亿,动态市盈率PE:25.93,
合理估值PE:15,未来三年预期收益率:-40.19%。 其中,历史营业增长率:10.1%,净利增长率:11.28%; 未来三年预估净利增长率:-13.48% (24E:-44.39%, 25E:4.11%, 26E:11.84%)。 |
2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | |
---|---|---|---|---|---|---|---|---|---|---|
货币资金(万) | 40284.64 | 42799.8 | 54165.4 | 50000.34 | 50350.19 | 22772.41 | 23010.04 | 17322.87 | 5230.03 | 4619.35 |
交易性金融资产(万) | - | - | 21022.17 | 40988.83 | 35000 | - | - | - | - | - |
应收票据(万) | 2233.61 | 996.22 | 918.74 | - | 4174.71 | 2476.41 | - | - | - | 3076.51 |
应收账款(万) | 76614.62 | 75220.62 | 66310.83 | 52507.34 | 34280.42 | 20484.78 | - | - | - | 11093.58 |
预付款项(万) | 626.06 | 667.13 | 717.26 | 229.95 | 175.94 | 156.1 | 170.08 | 184.75 | 391.07 | 1052.89 |
其他应收款(万) | 3283.52 | 3860.66 | 2606.46 | 1851.07 | 1143.24 | 1059.86 | 580.5 | 776.78 | 654.14 | 835.71 |
存货(万) | 33909.24 | 42449.24 | 34132.07 | 31712.55 | 28501.64 | 21207.24 | 13428.85 | 11028.54 | 9158.42 | 9137.14 |
其他流动资产(万) | 246.98 | 251.87 | 228.91 | 573.03 | 200.08 | 1103.91 | 407.77 | 228.63 | 124.55 | 38.08 |
流动资产合计(万) | 158222.98 | 167385.49 | 181326 | 181826.16 | 153826.22 | 69260.71 | 56317.74 | 47609.75 | 33720.25 | 29853.26 |
可供出售金融资产(万) | - | - | - | - | - | - | - | - | - | 346.42 |
长期应收款(万) | 39.11 | - | - | 96.3 | 124.34 | 105.82 | - | - | - | - |
长期股权投资(万) | 6741.54 | 6929.1 | 616.97 | 633.47 | 620.58 | 608.25 | 546.18 | 1498.13 | 1282.68 | 1284.88 |
投资性房地产(万) | 1277.37 | 1324.51 | 1519.48 | 1731.92 | 1791.33 | 1850.73 | 1910.26 | 1972.51 | 2804.48 | 1063.68 |
固定资产净额(万) | 39717.41 | 41883.78 | 8959.9 | 8697.02 | 8609.14 | 8559.81 | 8637.94 | 9228.35 | 9153.27 | 10719.94 |
在建工程(万) | 430.63 | 377.19 | 15729.05 | 4644.51 | - | 154.94 | 106.28 | - | - | 2.74 |
无形资产(万) | 4504.83 | 4467.37 | 4548.31 | 4560.5 | 3486.68 | 613.93 | 632.43 | 577.54 | 572.6 | 952.98 |
商誉(万) | - | - | 45.6 | - | - | - | - | - | - | - |
长期待摊费用(万) | 751.54 | 861.91 | 431.86 | 502.14 | 680.11 | 507.76 | 273.99 | 310.12 | 346.88 | 235.15 |
递延所得税资产(万) | 2002.4 | 1286.28 | 1219.59 | 832.62 | 532.8 | 392.58 | 339.2 | 362.02 | 255.04 | 217.76 |
其他非流动资产(万) | 10276.41 | 6789.94 | 3843.72 | 2467.71 | 379.99 | 403.44 | 118.48 | - | 244.96 | 155.89 |
非流动资产合计(万) | 69342.91 | 67656.64 | 40772.71 | 24166.19 | 16224.96 | 13197.26 | 12564.76 | 13948.66 | 14659.91 | 14633.01 |
资产总计(万) | 227565.89 | 235042.13 | 222098.71 | 205992.35 | 170051.18 | 82457.97 | 68882.51 | 61558.41 | 48380.16 | 44486.27 |
短期借款(万) | 500 | 8606.6 | 200 | 1000.88 | - | 800 | - | - | 3000 | 3000 |
应付票据(万) | 21141.3 | 16212.75 | 14099.58 | 7569.08 | - | - | - | - | - | - |
应付账款(万) | 29732.36 | 42786.26 | 34384.5 | 29709.72 | 32603.58 | 20029 | - | - | - | 11404.39 |
预收款项(万) | - | - | - | - | 1483.49 | 2985.59 | 986.88 | 824.73 | 2649.77 | 1062.88 |
应付职工薪酬(万) | 4575.51 | 3597.92 | 4202.65 | 5057.54 | 4418.04 | 3052.08 | 2311.54 | 2438.48 | 1264.83 | 976.33 |
应交税费(万) | 3282.38 | 2456.71 | 4438.86 | 6451.42 | 5314.56 | 2932.17 | 2271.98 | 1480.08 | 921.51 | 1757.9 |
应付利息(万) | - | - | - | - | - | 8.37 | - | - | - | 19.46 |
应付股利(万) | 6.88 | 135.5 | 3.3 | 2.08 | 2 | - | - | - | - | 5.73 |
其他应付款(万) | 1538.94 | 1232.88 | 1866.09 | 2424.75 | 815.93 | 561.89 | 1353.34 | 1530.33 | 1144.24 | 2830.87 |
一年内到期的非流动负债(万) | 585.82 | 107.7 | 138.56 | 5003.89 | - | - | 5000 | - | - | 4000 |
其他流动负债(万) | 686.37 | 728.45 | 250.31 | 1133.6 | - | - | - | - | - | - |
流动负债合计(万) | 64797.85 | 80471.36 | 61470.56 | 59615.67 | 44637.61 | 30369.11 | 26099.81 | 19232.63 | 19701.07 | 25057.56 |
长期借款(万) | - | - | - | - | - | - | - | 5000 | - | - |
长期应付款(万) | 145.3 | 145.3 | 145.3 | 145.43 | 146.21 | 151.13 | 160.2 | 163.65 | 164.9 | 195.2 |
预计非流动负债(万) | 232.3 | 251.94 | - | - | - | - | - | - | - | - |
递延所得税负债(万) | - | - | 239.4 | 302.01 | 229.22 | 106.48 | - | - | - | - |
长期递延收益(万) | 945.68 | 565.19 | 234.7 | 334.53 | 439.21 | 540.21 | 557.6 | 64.06 | - | - |
其他非流动负债(万) | 502.78 | 288.6 | 215.24 | 188.8 | - | - | - | - | - | - |
非流动负债合计(万) | 1854.89 | 1317.36 | 994.59 | 970.78 | 814.64 | 797.82 | 717.8 | 5227.71 | 164.9 | 195.2 |
负债合计(万) | 66652.74 | 81788.72 | 62465.15 | 60586.45 | 45452.25 | 31166.92 | 26817.61 | 24460.35 | 19865.97 | 25252.76 |
实收资本(或股本)(万) | 20324.2 | 20324.2 | 20324.2 | 20324.2 | 15634 | 11725 | 11725 | 11725 | 4690 | 4690 |
资本公积(万) | 49840.98 | 49751.55 | 49411.72 | 51068.35 | 55758.55 | - | - | 50.16 | 50.16 | 50.16 |
减:库存股(万) | 5010.05 | 5010.05 | 1672.4 | 1998.8 | - | - | - | - | - | - |
其他综合收益(万) | - | - | - | - | - | - | - | -49.03 | -49.03 | -15.3 |
专项储备(万) | 2831.92 | 2490.87 | 2277.25 | 1988.24 | 1761.82 | 1515.58 | 1306.77 | 1070.42 | 850.82 | 632.25 |
盈余公积(万) | 10162.1 | 10162.1 | 10162.1 | 10162.1 | 7817 | 6210.13 | 4836.91 | 3642.43 | 2345 | 2345 |
未分配利润(万) | 82853.38 | 75607.16 | 79126.6 | 63719.22 | 43445.42 | 31639.63 | 23981.86 | 20521.72 | 20469.75 | 10960.76 |
归属于母公司股东权益合计(万) | 161002.53 | 153325.83 | 159629.48 | 145263.31 | 124416.79 | 51090.34 | 41850.53 | 36960.7 | 28356.7 | 18662.87 |
少数股东权益(万) | -89.37 | -72.42 | 4.09 | 142.59 | 182.14 | 200.71 | 214.36 | 137.37 | 157.5 | 570.64 |
所有者权益(或股东权益)合计(万) | 160913.15 | 153253.41 | 159633.56 | 145405.9 | 124598.93 | 51291.05 | 42064.89 | 37098.07 | 28514.19 | 19233.5 |
负债和所有者权益(或股东权益)总计(万) | 227565.89 | 235042.13 | 222098.71 | 205992.35 | 170051.18 | 82457.97 | 68882.51 | 61558.41 | 48380.16 | 44486.27 |
应收票据及应收账款(万) | 78848.22 | 76216.83 | 67229.57 | 52507.34 | 38455.13 | - | - | - | - | - |
应收款项融资(万) | 753.49 | 760.93 | 719.05 | 3232.79 | - | - | - | - | - | - |
其他应收款(合计)(万) | 3283.52 | 3860.66 | 2606.46 | 1851.07 | 1143.24 | - | - | - | - | - |
在建工程(合计)(万) | 430.63 | 377.19 | 15729.05 | 4644.51 | - | - | - | - | - | - |
固定资产及清理(合计)(万) | 39717.41 | 41883.78 | 8959.9 | 8697.02 | 8609.14 | - | - | - | - | - |
使用权资产(万) | 125.31 | 236.56 | 358.22 | - | - | - | - | - | - | - |
应付票据及应付账款(万) | 50873.66 | 58999.02 | 48484.08 | 37278.8 | 32603.58 | - | - | - | - | - |
其他应付款(合计)(万) | 1545.82 | 1368.38 | 1869.39 | 2426.83 | 817.93 | - | - | - | - | - |
租赁负债(万) | 28.83 | 66.33 | 159.95 | - | - | - | - | - | - | - |
长期应付款(合计)(万) | 145.3 | 145.3 | 145.3 | 145.43 | 146.21 | - | - | - | - | - |