华设集团
603018.SH
沪主板
超户当日大幅流入
DDX连续流出2日
两融差额5日内流出4日
两融余额5日内流出4日
8.14
加自选
-0.03
-0.37%
收市(2025-03-31 15:00)
今开8.17
最高8.21
涨停8.99
均价8.14
成交量7.12万
量比0.89
总市值55.66亿
昨收8.17
最低8.06
跌停7.35
振幅1.84%
成交额5.79千万
换手率1.04%
流通市值55.66亿
市盈率(动)17.99
市盈率(静)7.98
市盈率(TTM)9.61
看涨
看跌
50.00%
50.00%
    主要指标
    资产负债表
    利润表
    现金流量表
    全部年报三季报半年报一季报
    显示同比
    报告期2024三季报2024半年报2024一季报2023年报2023三季报2023半年报2023一季报2022年报2022三季报2022半年报2022一季报2021年报2021三季报2021半年报2021一季报2020年报2020三季报2020半年报
    每股指标
    每股收益EPS-基本0.35000.23000.14001.01000.52000.39000.14001.00000.52000.39000.14000.92000.46000.35000.14000.87000.60000.3400
    每股收益EPS-稀释0.34000.22000.14001.01000.52000.37000.14000.99000.52000.38000.14000.92000.46000.35000.14000.87000.60000.3400
    每股收益EPS-扣除/基本- -0.2300- -0.9800- -0.3900- -0.9600- -0.3800- -0.9000- -0.3400- -0.8400- -0.3200
    每股收益EPS-扣除/稀释- -0.2200- -0.9800- -0.3800- -0.9600- -0.3800- -0.9000- -0.3400- -1.0100- -0.3800
    每股净资产BPS7.21367.13267.32417.22256.70736.57636.57546.42265.91715.81675.82225.80035.33995.22646.14816.02205.61125.3665
    每股营业总收入3.93672.42841.15547.82904.66803.27381.27638.53924.80093.36221.34118.70744.57583.22101.44259.60875.47523.6173
    每股营业收入3.93672.42841.15547.82904.66803.27381.27638.53924.80093.36221.34118.70744.57583.22101.44259.60875.47523.6173
    每股资本公积金0.83380.83980.83470.82930.82410.81900.80510.79130.77750.76370.74990.69360.69350.69371.03251.03251.03291.0329
    每股未分配利润5.03674.93215.15325.01744.51454.38864.40154.26253.86003.73013.74833.69363.30783.19413.80473.66223.29103.1046
    每股现金流量净额-1.1634-0.7641-0.28880.5524-0.5724-0.5664-0.20010.0205-1.0643-1.0639-0.51210.2392-0.6750-0.8180-0.59750.0834-0.8041-0.8242
    每股EBITDA- -- -- -1.3179- -- -- -1.3041- -- -- -1.2231- -- -- -1.3967- -- -
    盈利能力
    净资产收益率ROE(平均)4.70%3.14%1.87%14.96%7.81%5.90%2.14%16.53%8.77%6.58%2.38%17.09%8.97%6.84%2.34%18.73%10.99%7.70%
    净资产收益率ROE(加权)4.67%3.09%1.86%14.92%7.74%5.78%2.14%16.63%8.73%6.51%2.37%17.10%8.93%6.76%2.34%18.35%10.84%7.56%
    净资产收益率ROE(摊薄)4.70%3.16%1.85%14.13%7.64%5.83%2.11%15.57%8.59%6.50%2.35%15.94%8.70%6.71%2.32%17.37%10.54%7.54%
    总资产报酬率ROA2.13%1.48%- -6.74%3.42%2.78%- -7.40%3.84%2.98%- -7.60%3.98%3.09%1.07%8.25%4.69%3.42%
    总资产净利率1.79%1.18%0.74%5.70%3.02%2.31%0.83%6.30%3.40%2.50%0.87%6.40%3.41%2.53%0.90%7.00%4.07%2.83%
    销售净利率8.48%9.08%12.04%13.33%11.31%12.05%10.99%12.15%10.90%11.40%9.89%10.93%10.32%10.78%10.06%11.29%10.94%11.32%
    销售毛利率37.16%36.37%33.01%39.00%36.78%36.77%31.83%36.95%34.03%34.99%31.09%31.86%33.23%33.38%30.92%32.98%33.55%33.37%
    资本结构
    资产负债率59.09%59.43%59.00%61.68%60.98%60.03%59.72%62.16%59.97%60.32%59.39%62.71%60.57%60.89%60.02%62.51%61.60%62.06%
    长期负债/总资产0.040.040.040.030.040.000.010.010.000.000.000.000.000.000.000.000.000.00
    权益乘数2.442.472.442.612.562.502.482.642.502.522.462.682.542.562.502.672.602.64
    固定资产比重- -2.95%- -2.68%- -3.12%- -3.03%- -3.54%- -3.51%- -4.13%- -4.21%- -4.74%
    经营活动净现金/总资产-4.95-5.16-1.853.78-3.72-2.26-1.784.13-4.49-5.18-2.943.67-4.44-5.56-3.684.39-4.17-5.23
    偿债能力
    流动比率1.551.551.571.501.511.451.461.411.441.441.471.401.421.411.421.401.411.39
    速动比率1.511.511.531.461.471.411.421.371.381.381.411.341.341.331.341.321.301.29
    保守速动比率0.840.830.890.860.830.800.810.790.790.800.790.830.750.730.750.790.690.66
    现金比率0.220.230.270.290.220.200.240.240.160.160.230.260.200.180.230.270.210.21
    净债务/归属母公司的净资产-0.06-0.17-0.24-0.28-0.12-0.20-0.27-0.33-0.15-0.16-0.28-0.36-0.17-0.15-0.25-0.39-0.20-0.18
    经营活动净现金/净债务1.940.770.19-0.360.790.280.17-0.340.770.840.27-0.280.670.980.38-0.310.560.79
    经营活动净现金/利息支出- --54.15- -23.29- --40.83- -32.33- --98.28- -20.71- --64.55- -26.16- --52.68
    EBITDA利息保障倍数- -18.18- -42.03- -56.84- -58.90- -63.09- -43.19- -39.03- -50.37- -38.26
    产权比率148.04%150.11%147.51%165.03%160.32%153.17%151.48%167.65%153.49%155.96%150.15%172.86%157.78%159.64%154.38%171.52%164.29%167.11%
    营运能力
    营业周期(天)474.15504.01537.34314.50383.88363.37449.94274.09361.60346.78400.85246.94331.04306.95393.65307.11391.08380.71
    存货周转天数(天)43.0546.3148.4033.3637.9637.7546.3433.6146.3744.5352.3637.8462.2755.8374.8354.8381.3077.90
    应收账款周转天数(天)431.09457.70488.94281.14345.92325.63403.60240.48315.22302.26348.49209.10268.77251.12318.82252.28309.77302.81
    应付账款周转天数(天)607.85649.07645.02409.39487.40457.18539.36336.26395.81378.19445.56266.55344.94333.45401.85247.06302.62314.80
    现金周期(天)-133.70-145.06-107.68-94.89-103.52-93.80-89.42-62.17-34.22-31.40-44.71-19.61-13.90-26.50-8.2060.0588.4665.91
    存货周转率(次)6.273.891.8610.797.114.771.9410.715.824.041.729.514.343.221.206.573.322.31
    应收账款周转率(次)0.630.390.181.280.780.550.221.500.860.600.261.721.000.720.281.430.870.59
    流动资产周转率(次)0.240.150.070.490.310.220.090.600.360.250.100.670.380.270.100.710.430.29
    固定资产周转率(次)- -4.99- -15.36- -6.34- -15.92- -6.22- -15.28- -5.62- -13.79- -5.23
    总资产周转率(次)0.210.130.060.430.270.190.080.520.310.220.090.590.330.230.090.620.370.25
    成长能力
    营业总收入(同比增长率)-15.66%-25.82%-9.48%-8.32%-2.77%-2.63%-4.83%0.29%7.30%6.75%14.09%8.74%0.28%6.84%40.32%14.19%11.15%5.29%
    归属母公司净利润(同比增长率)-33.78%-41.28%-2.28%2.08%0.87%1.36%1.73%10.58%11.89%10.30%17.69%6.10%-5.77%3.91%33.54%12.50%12.89%9.21%
    其他
    每股现金流-0.8950-0.9291-0.33870.7304-0.6561-0.3792-0.29710.7159-0.6806-0.7792-0.43290.5864-0.6176-0.7620-0.58230.7255-0.6236-0.7558
    净资产收益率(ROE)4.61%3.06%1.81%14.53%7.60%5.82%2.06%15.89%8.60%6.45%2.28%16.56%8.75%6.67%2.20%18.07%10.44%7.22%
    毛利率37.16%36.37%33.01%39.00%36.78%36.77%31.83%36.95%34.03%34.99%31.09%31.86%33.23%33.38%30.92%32.98%33.55%33.37%
    销售净利率- -- -- -- -- -- -- -- -- -- -- -- -- -- -- -- -- -- -
    期间费用率15.29%15.40%14.76%13.69%13.19%13.62%14.90%13.52%11.76%11.79%14.54%10.51%11.94%11.40%14.80%10.81%11.76%11.05%
    资产负债率59.09%59.43%59.00%61.68%60.98%60.03%59.72%62.16%59.97%60.32%59.39%62.71%60.57%60.89%60.02%62.51%61.60%62.06%
    扣非净利润2.27亿1.50亿9006.16万6.78亿3.41亿2.58亿9150.32万6.57亿3.41亿2.53亿8976.60万5.99亿3.03亿2.29亿7452.33万5.62亿3.13亿2.12亿
    净利润2.28亿1.51亿9514.95万7.14亿3.61亿2.70亿9593.54万7.10亿3.58亿2.62亿9065.24万6.37亿3.16亿2.32亿8088.16万6.05亿3.34亿2.28亿
    营业收入26.92亿16.61亿7.90亿53.53亿31.92亿22.39亿8.73亿58.39亿32.83亿22.99亿9.17亿58.22亿30.59亿21.54亿8.04亿53.54亿30.51亿20.16亿
    营业支出- -- -- -- -- -- -- -- -- -- -- -- -- -- -- -- -- -- -
    归母净利润2.32亿1.54亿9289.15万6.98亿3.50亿2.62亿9505.47万6.84亿3.47亿2.59亿9343.53万6.18亿3.10亿2.34亿7938.92万5.83亿3.29亿2.26亿
    所有者权益(或股东权益)合计50.55亿49.97亿51.34亿50.63亿47.05亿45.87亿45.93亿44.83亿41.46亿40.81亿40.88亿39.87亿36.67亿35.83亿35.23亿34.51亿32.03亿30.55亿
    商誉1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿1.04亿
    经营活动产生的现金流量净额-6.12亿-6.35亿-2.32亿4.99亿-4.49亿-2.59亿-2.03亿4.90亿-4.65亿-5.33亿-2.96亿3.92亿-4.13亿-5.09亿-3.24亿4.04亿-3.48亿-4.21亿
    基本每股收益(元/股)0.35000.23000.14001.01000.53000.39000.14001.00000.52000.39000.14000.92000.46000.35000.12000.87000.49000.3400