300260 新莱应材
2025/06 - 中期2024/122023/122022/122021/12

盈利能力分析
净资产收益率 ROE (%)5.38812.14113.97224.07114.285
总资产报酬率 ROA (%)2.1064.7975.87410.4146.445
投入资产回报率 ROIC (%)2.5135.8017.18912.8937.862

边际利润分析
销售毛利率 (%)24.45925.71725.29829.63724.726
营业利润率 (%)8.4919.4559.67315.3349.477
息税前利润/营业总收入 (%)9.48410.54911.10416.64811.230
净利润/营业总收入 (%)7.6297.9418.69213.1678.280

收益指标分析
经营活动净收益/利润总额(%)98.567100.306100.150101.38896.369
价值变动净收益/利润总额(%)-0.442-0.246-0.0090.0000.080
营业外收支净额/利润总额(%)-0.320-3.058-0.042-1.6801.437

偿债能力分析
流动比率 (X)1.4641.3211.3461.3921.364
速动比率 (X)0.7220.6550.5690.5820.632
资产负债率 (%)60.00761.52658.91356.40956.614
带息债务/全部投入资本 (%)49.61150.70748.99745.31444.628
股东权益/带息债务 (%)94.99891.011101.437118.174120.064
股东权益/负债合计 (%)66.40362.27369.44576.89676.174
利息保障倍数 (X)9.2987.6767.73910.6226.955

营运能力分析
应收账款周转天数 (天)101.52197.66193.17378.73376.852
存货周转天数 (天)258.413266.368265.940238.505209.416