下载App
扫码立即下载
下载App
扫码立即下载
公司概况 更多
杭品生活科技股份有限公司(原名:华隆金控有限公司)是一家主要从事成衣采购的投资控股公司。公司及其子公司通过两大分部运营。成衣采购分部主要从事服装采购管理业务。提供融资分部主要从事提供金融服务,当中包括资产管理、融资租赁、典当及放债业务等。
董事长: --
所属市场: 香港主板
上市日期: 2010/10/05
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

加载中...

自选
01682 杭品生活科技
0.1380.0000.00%
显示同比
不显示
隐藏空行
(Q6)2021/09/30(FY)2021/03/31(Q6)2020/09/30(FY)2020/03/31
每股指标
每股经营现金净流量(元)
-113.85% -0.0027 -111.38% -0.0078 2.18% 0.0197 172.53% 0.0688
每股现金流量净额(元)
194.82% 0.0235 -127.64% -0.0084 -73.23% 0.008 128.56% 0.0304
每股营业收入(元)
-21.97% 0.0758 -17.94% 0.1528 6.63% 0.0971 -34.24% 0.1861
每股净资产(元)
-3.83% 0.1362 -4.54% 0.1378 -16.46% 0.1416 -18.78% 0.1443
基本每股收益(元)
33.33% -0.002 83.78% -0.006 66.67% -0.003 -3800% -0.037
稀释每股收益(元)
33.33% -0.002 83.78% -0.006 66.67% -0.003 -3800% -0.037
盈利能力
销售毛利率
61.96% 5.475% 13.35% 4.417% -41.13% 3.381% -68.43% 3.897%
经营利润率
23.33% -2.449% 97.14% -0.559% 66.63% -3.194% -3219.51% -19.540%
销售净利率
16.05% -2.714% 83.22% -3.298% 66.37% -3.233% -7767.82% -19.658%
税前利润率
16.05% -2.714% 95.92% -0.800% 66.37% -3.233% -3289.25% -19.582%
净资产收益率(ROE)
31.63% -1.501% 82.83% -3.903% 56.46% -2.196% -5695.02% -22.729%
总资产净利率(ROA)
30.14% -1.185% 82.85% -3.322% 60.66% -1.697% -8231.16% -19.366%
收益质量
经营活动产生的现金流量净额/营业收入
-117.75% -3.598% -113.86% -5.122% -4.17% 20.266% 210.3% 36.941%
资本结构
资产负债率
-8.24% 26.664% -4.99% 14.524% 100.19% 29.059% 6.19% 15.287%
权益乘数
-3.27% 1.3636 -0.89% 1.1699 20.5% 1.4096 1.05% 1.1805
产权比率
-11.24% 36.359% -5.84% 16.993% 141.23% 40.963% 7.3% 18.046%
流动资产/总资产
10.98% 68.845% -26.22% 54.548% -37.29% 62.035% -21.05% 73.935%
非流动资产/总资产
-17.94% 31.155% 74.38% 45.452% 3438.13% 37.965% 310.34% 26.065%
流动负债/负债合计
0.34% 100.000% 1.42% 100.000% 2.84% 99.658% -0.11% 98.601%
非流动负债/负债合计
-- -- -- -- -88.95% 0.342% 8.4% 1.399%
偿债能力
流动比率
20.53% 2.5819 -23.44% 3.7556 -69.54% 2.1421 -25.57% 4.9051
营业利润/流动负债
30.16% -0.0375 97.43% -0.0365 82.83% -0.0536 -2456.53% -1.4166
经营活动产生的现金流量净额/流动负债
-116.17% -0.055 -112.48% -0.3342 -50.7% 0.3403 183.32% 2.6781
归属母公司股东的权益/负债合计
12.66% 2.7504 6.2% 5.8849 -58.55% 2.4412 -6.8% 5.5415
经营活动产生的现金流量净额/负债合计
-116.23% -0.055 -112.66% -0.3342 -49.3% 0.3391 183.23% 2.6406
营业利润/负债合计
29.92% -0.0375 97.39% -0.0365 82.35% -0.0534 -2453.94% -1.3968
营运能力
流动资产周转率(次)
-9.67% 0.7021 36.19% 1.5828 66.72% 0.7773 21.93% 1.1622
固定资产周转率(次)
933.69% 62.1817 48.36% 20.2491 -61.92% 6.0155 -68.6% 13.6482
总资产周转率(次)
-16.78% 0.4368 2.24% 1.0072 16.97% 0.5248 6.04% 0.9851
成长能力
营业收入(近3年增长率)
-211.97% -46.334% -169.05% -35.044% -220.76% -14.852% 296.28% 50.752%
毛利(近3年增长率)
22.47% -53.857% -1311.98% -74.758% -132.89% -69.465% -106.82% -5.295%
营业利润(近3年增长率)
18.05% -135.665% 0.12% -108.367% -246.87% -165.549% -202.65% -108.494%
税前利润(近3年增长率)
16.11% -139.647% -2.81% -111.998% -251.88% -166.462% -204.15% -108.940%
净利润(近3年增长率)
16.11% -139.647% -36.24% -149.531% -251.88% -166.462% -207.68% -109.753%
归属母公司股东的净利润(近3年增长率)
16.11% -139.647% -36.24% -149.531% -251.88% -166.462% -207.68% -109.753%
资产总计(近3年增长率)
-105.48% -5.607% -129.22% -51.945% -31.58% 102.284% 67.35% 177.743%
归属母公司股东的权益(近3年增长率)
-101.35% -12.592% -100.54% -8.094% 28.34% 934.818% 163.59% 1509.779%
股东权益(近3年增长率)
-101.35% -12.592% -100.54% -8.094% 28.34% 934.818% 163.59% 1509.779%
负债合计(近3年增长率)
166.08% 20.983% -73.81% -87.380% 38.01% -31.753% 15.86% -50.274%
基本每股收益(近3年增长率)
11.11% -133.333% -109.52% -142.857% -1100% -150.000% -166.79% -68.182%
每股净资产(近3年增长率)
-103.76% -27.050% -101.98% -23.296% 29.39% 720.022% 171.43% 1175.639%
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%

回到顶部