00683 嘉里建設
公司資料 - 財務比率
嘉里建設有限公司 股票編號: 00683
KERRY PROPERTIES LIMITED 集團網址: http://www.kerryprops.com
盈利能力分析
2023/12 2022/12 2021/12 2020/12 2019/12
資產回報率 (%)1.582%1.372%5.234%2.892%3.963%
股東資金回報率 (%)3.002%2.442%9.138%5.108%6.924%
資本運用回報率 (%)1.776%1.514%5.832%3.085%4.364%
 
邊際利潤分析
毛利率 (%)51.348%47.872%57.044%57.737%49.841%
未計利息、稅項、折舊及攤銷前利潤率 (%)44.968%27.610%74.103%59.389%50.877%
稅前邊際利潤率 (%)52.403%35.421%92.819%63.123%55.677%
純利率 (%)24.778%18.881%67.581%37.197%38.265%
 
變現能力分析
流動比率 (X)2.260 X2.939 X2.318 X2.271 X1.540 X
速動比率 (X)0.632 X0.726 X0.929 X0.925 X0.722 X
 
財務槓桿分析
總負債 / 總資產比率 (%)41.872%39.207%33.862%36.325%35.136%
總負債 / 股東資金比率 (%)81.371%72.612%57.984%64.723%61.454%
非流動負債 / 股東資金比率 (%)57.274%54.690%38.774%45.959%41.950%
利息盈利率 (倍)9.322 X18.149 X26.284 X12.730 X13.328 X
 
營運效率分析
存貨周轉率日數 (日)1187.955 Day(s)929.530 Day(s)701.532 Day(s)552.481 Day(s)352.214 Day(s)
 

Copyright © 2024 ET Net Limited.
All rights reserved. Use of this site signifies your agreement to the terms of use.
DISCLAIMER: ET Net Limited and Third Party Information Providers endeavour to ensure the accuracy and reliability of the information provided, but do not guarantee its accuracy and reliability and accept no liability (whether in tort or contract or otherwise) for any loss or damage arising from any inaccuracies or omissions.