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华谊腾讯娱乐有限公司是一家主要从事经营健康养生中心的公司。该公司通过两个分部运营业务。健康及养生服务分部主要从事经营健康养生中心。其健康养生中心提供高尔夫球场、水疗设施、餐饮及高尔夫学院等服务。娱乐及媒体业务分部从事投资及制作电影、动画、电视剧等内容,以及分授电影及电视节目版权。
董事长: --
所属市场: 香港主板
富途热股榜
港股美股沪深
交易热度搜索热度资讯热度
名称代码最新价涨跌幅

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00419 华谊腾讯娱乐
0.175-0.003-1.69%
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(Q6)2021/06/30(FY)2020/12/31(Q6)2020/06/30(FY)2019/12/31
每股指标
每股经营现金净流量(元)
259.66% 0.0059 66.39% -0.0052 25.96% -0.0037 -384.84% -0.0155
每股现金流量净额(元)
184.06% 0.0031 46.66% -0.0064 -229.14% -0.0037 -166.14% -0.0119
每股营业收入(元)
332.92% 0.0136 11.8% 0.0082 -11.9% 0.0031 -9.01% 0.0074
每股净资产(元)
-6.49% 0.0562 -6.8% 0.0575 -5.37% 0.0601 -4.1% 0.0617
基本每股收益(元)
44.44% -0.05 -100% -0.004 -8900% -0.09 -133.33% -0.002
稀释每股收益(元)
44.44% -0.05 -100% -0.004 -8900% -0.09 -133.33% -0.002
盈利能力
销售毛利率
-46.04% 22.238% 16.62% 45.803% 9.76% 41.213% 12.2% 39.276%
经营利润率
90.92% -3.131% 8.92% -29.635% -109.23% -34.472% 46.44% -32.537%
销售净利率
82.06% -4.913% -75.87% -50.942% -52.17% -27.389% -142.55% -28.965%
税前利润率
81.74% -4.993% -79.51% -50.577% -63.64% -27.342% 53.63% -28.175%
净资产收益率(ROE)
33.61% -0.937% -107.9% -7.029% -40.72% -1.411% -140% -3.381%
总资产净利率(ROA)
21.91% -0.818% -96.65% -5.397% -25.16% -1.047% -133.29% -2.744%
收益质量
经营活动产生的现金流量净额/营业收入
136.87% 43.177% 69.94% -63.399% 15.95% -117.096% -413.08% -210.886%
资本结构
资产负债率
-36.81% 11.937% -62.41% 11.828% -32.12% 18.892% 2196.19% 31.469%
权益乘数
-6.12% 1.1575 -22.27% 1.1342 -11.02% 1.2329 43.92% 1.4592
产权比率
-41.8% 13.555% -70.78% 13.415% -39.6% 23.292% 3204.64% 45.919%
流动资产/总资产
-7.93% 27.198% -65.25% 18.741% -51.42% 29.542% 6.3% 53.930%
非流动资产/总资产
3.33% 72.802% 76.38% 81.259% 79.79% 70.458% -6.49% 46.070%
流动负债/负债合计
-1.95% 97.174% -2.66% 96.585% -0.63% 99.103% 1.6% 99.228%
非流动负债/负债合计
214.84% 2.826% 342.18% 3.415% 237.18% 0.897% -66.94% 0.772%
偿债能力
流动比率
48.6% 2.3447 -5.02% 1.6404 -27.98% 1.5779 -95.44% 1.7271
营业利润/流动负债
27.71% -0.0564 -284.21% -0.3271 -224.55% -0.078 98.49% -0.0851
经营活动产生的现金流量净额/流动负债
393.5% 0.7773 -26.82% -0.6997 -30.37% -0.2648 -108.85% -0.5517
归属母公司股东的权益/负债合计
68.58% 7.2377 242.29% 7.4542 65.56% 4.2933 -96.97% 2.1778
经营活动产生的现金流量净额/负债合计
387.79% 0.7553 -23.44% -0.6758 -29.55% -0.2625 -108.99% -0.5475
营业利润/负债合计
29.12% -0.0548 -273.98% -0.3159 -222.49% -0.0773 98.46% -0.0845
营运能力
流动资产周转率(次)
919.57% 0.908 50.2% 0.2706 8.3% 0.0891 -27.01% 0.1802
固定资产周转率(次)
412.3% 77.983 103.5% 40.3763 86.4% 15.2223 21.18% 19.8414
总资产周转率(次)
445.46% 0.2085 11.81% 0.1059 -17.75% 0.0382 -22.38% 0.0947
成长能力
营业收入(近3年增长率)
681.53% 215.710% -26.13% -33.764% -46.21% -37.094% -140.54% -26.769%
毛利(近3年增长率)
167.94% 107.701% 375.25% 375.561% -344.11% -158.530% 357.03% 79.023%
营业利润(近3年增长率)
-5.58% 75.382% -0.16% 76.615% -7.43% 79.836% 59.49% 76.741%
税前利润(近3年增长率)
-27.68% 60.756% -24.72% 60.096% -2.43% 84.010% 65.62% 79.825%
净利润(近3年增长率)
-26.7% 61.597% -43.64% 44.678% -1.42% 84.037% -31.04% 79.269%
归属母公司股东的净利润(近3年增长率)
-16.74% 70.079% -42.77% 45.428% -1.24% 84.173% -30.94% 79.377%
资产总计(近3年增长率)
155.18% 1.203% -126.76% -2.984% -202.41% -2.180% -63.43% 11.150%
归属母公司股东的权益(近3年增长率)
8.94% -11.015% 33.67% -11.359% 40.07% -12.097% -134.25% -17.124%
股东权益(近3年增长率)
22.58% -9.297% 33.27% -11.344% 39.98% -12.010% -133.59% -17.000%
负债合计(近3年增长率)
574.8% 593.608% -30.35% 226.518% -66.39% 87.968% 470.83% 325.227%
基本每股收益(近3年增长率)
-41.18% -2400.000% -38.89% 50.000% -2225% -1700.000% -24.24% 81.818%
每股净资产(近3年增长率)
8.94% -11.015% 33.67% -11.359% 40.07% -12.097% 34.1% -17.124%
其他
货币单位
港元港元港元港元

Q6、Q9、FY为累计季报:Q6 为中期报告;Q9 为第三季报;FY为年报。

环比数据来源于季报,环比 = (本期 - 上期)/上期 * 100%

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