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                *監測到屏幕較小, 推薦使用橫屏
                *除每股數值,比率,百分比,人數,日期,其他數據單位均為百萬;數據的貨幣單位均為當地股票的交易貨幣單位;每股數據和流通股數都已做過拆股調整;由于會計制度標準不統一,部分缺失的數據可能會顯示為空,但不代表其數值本身為0,請注意分辨核對;如果某行所有歷史數據都為空,該行自動隱藏
                每股指標年度季度
                趨勢2015-122016-122017-122018-122019-122020-122021-122022-122023-122024-12TTM2024-032024-062024-092024-122025-03
                每股收入26.6231.9748.6261.4570.7378.0087.14101.55119.85138.62142.5837.0129.4231.5840.6240.97
                每股稅息折舊及攤銷前利潤18.2219.8431.7341.3848.1254.0360.5971.1784.0696.8998.3326.4119.4321.0728.3429.49
                每股息稅前利潤17.5519.1030.8540.4647.1352.9959.3469.8382.5395.2598.3326.4119.4321.0728.3429.49
                稀釋每股收益12.3413.3121.5628.0232.8037.1741.7649.9359.4968.6470.8619.1614.0315.2320.2221.38
                持續經營每股收益12.4313.5021.6728.3332.9637.4341.8649.9959.5168.6570.8319.1614.0215.2220.2221.38
                巴菲特所有者每股收益(TTM)9.8310.9319.5526.6531.8436.1740.5048.3957.7166.7368.9060.3162.1963.8666.7368.90
                每股自由現金流12.2429.0116.7431.6633.4839.4648.2624.9950.9269.8869.496.6821.255.1436.816.30
                每股經營現金流13.8829.8217.6432.9435.9941.1350.9729.2253.0173.6073.307.3221.836.2138.247.02
                每股現金29.3053.2269.957.4910.5528.7341.2446.3955.3047.4041.5562.1048.3047.9947.4041.55
                每股股息3.986.176.7911.0014.5417.0219.2921.6825.9154.7654.76--30.88--23.88--
                每股賬面價值50.8958.0372.8090.01108.27128.42150.88157.21171.68185.57205.67190.84174.00189.23185.57205.67
                每股有形賬面價值48.0455.2270.0587.22104.51124.59145.94151.41164.69178.44198.59183.88166.93182.20178.44198.59
                每股總債務----------0.430.320.350.260.340.230.270.270.260.340.23
                月末股價218.19334.15697.49590.011,183.001,998.002,050.001,727.001,726.001,524.001,591.181,702.901,467.391,748.001,524.001,561.00
                財務比率年度季度
                趨勢2015-122016-122017-122018-122019-122020-122021-122022-122023-122024-12TTM2024-032024-062024-092024-122025-03
                股本回報率 ROE %26.4224.4432.9534.4333.0931.4129.9032.4136.1838.4337.4842.2830.7733.5443.1643.70
                股本回報率 ROE %/市凈率6.164.243.445.253.032.022.202.953.604.684.844.743.653.635.265.76
                資產收益率 ROA %20.3816.7821.8823.8924.0123.5322.3724.6128.3530.1730.4234.4924.9827.0434.6935.13
                有形股本回報率 %28.1425.7834.4235.6434.2232.4530.8733.5837.6440.0138.9343.9732.0134.9044.8545.35
                有形資產收益率 %21.3817.4022.5124.4624.6024.1122.9025.2829.2431.1331.3735.6125.7827.9235.7836.19
                喬爾·格林布拉特資本回報率 %117.63143.21224.85294.97339.67361.13378.71412.67463.72511.42409.35478.31349.74378.84494.15479.14
                已動用資本回報率 ROCE %36.2633.7645.0647.5645.6142.9440.8043.5648.2851.3149.9556.1240.9144.4558.0657.99
                5年留存收益回報率 RORE %14.827.1420.8228.2431.1830.8321.8020.6421.7526.6025.5220.9223.5523.2326.6025.52
                資本回報率 %43.1738.5059.4142.4230.8831.6432.2535.9242.3444.2243.0252.6536.6537.9548.8948.18
                加權平均資本成本 WACC %6.476.656.667.919.248.558.4811.9211.9811.7111.9311.7011.7710.8911.7111.81
                實際借款利率 %66.12--------8.222.892.853.293.864.202.993.891.777.652.73
                毛利率 %92.4191.5190.2791.5591.6491.6891.7992.0992.1292.0891.9292.7390.8891.2393.0292.11
                營業利潤率 %66.2660.6863.8966.6866.6467.9467.5567.8567.7267.9268.3370.3264.8965.9969.4271.52
                凈利率 %46.3541.6344.3545.6046.3847.6547.9249.1749.6449.5249.7051.7747.6948.2349.7852.19
                稅息折舊及攤銷前利潤率 %68.4262.0665.2767.3568.0369.2769.5370.0870.1469.8968.9671.3766.0366.7369.7771.99
                自由現金流利潤率 %45.9790.7334.4451.5347.3450.5955.3824.6142.4950.4148.7418.0572.2316.2790.6215.37
                債務股本比率0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
                股東權益比率0.740.650.680.710.740.750.740.780.790.780.830.840.780.830.780.83
                資產有息負債率--------------------------------
                資產負債率0.230.330.290.270.220.220.230.190.180.190.140.130.180.140.190.14
                毛利潤/總資產 %40.6236.8944.5447.9647.4545.2642.8446.0952.6256.1056.2761.7747.5951.1664.8262.01
                Degree of Financial Leverage1.260.920.990.991.001.071.031.111.051.000.991.061.051.031.000.99
                資產周轉率0.440.400.490.520.520.490.470.500.570.610.610.170.130.140.170.17
                股息支付率0.320.460.310.390.440.460.460.430.440.800.77--2.20--1.18--
                應收賬款周轉天數0.023.724.892.674.165.585.110.060.100.080.050.130.090.010.030.03
                應付賬款周轉天數114.21102.8462.4560.7266.1263.9268.1079.8984.6087.4686.9196.0299.0477.9979.0181.55
                存貨周轉天數2,372.302,067.681,311.191,274.811,198.451,212.061,264.901,305.791,311.161,333.781,271.281,258.761,281.161,259.521,314.001,226.07
                現金循環周期2,258.121,968.551,253.631,216.761,136.491,153.711,201.911,225.961,226.651,246.401,184.421,162.871,182.221,181.551,235.021,144.55
                存貨周轉率0.150.180.280.290.300.300.290.280.280.270.290.070.070.070.070.07
                營業成本/收入 %0.080.080.100.080.080.080.080.080.080.080.080.070.090.090.070.08
                存貨/收入0.490.480.350.300.280.280.280.280.280.290.281.001.281.211.001.06
                資本開支/收入0.060.030.020.020.040.020.030.040.020.030.030.020.020.030.040.02
                資本開支/營業利潤0.090.040.030.030.050.030.050.060.030.040.040.020.030.050.050.02
                資本開支/經營現金流0.120.030.050.040.070.040.050.140.040.050.050.090.030.170.040.10
                合并利潤表年度季度
                趨勢2015-122016-122017-122018-122019-122020-122021-122022-122023-122024-12TTM2024-032024-062024-092024-122025-03
                營業收入33,447.0040,155.0061,063.0077,199.0088,854.0097,993.00109,464.00127,554.00150,560.00174,144.00179,103.0046,485.0036,966.0039,671.0051,022.0051,443.00
                營業成本2,538.003,410.005,940.006,523.007,430.008,154.008,983.0010,093.0011,867.0013,789.0014,470.003,381.003,370.003,477.003,561.004,061.00
                毛利潤30,909.0036,745.0055,122.0070,676.0081,424.0089,839.00100,481.00117,460.00138,693.00160,355.00164,633.0043,103.0033,597.0036,194.0047,460.0047,382.00
                毛利率 %92.4191.5190.2791.5591.6491.6891.7992.0992.1292.0891.9292.7390.8891.2393.0292.11
                銷售及行政開支2,934.003,522.005,025.004,787.005,958.005,550.006,680.007,281.009,186.0010,384.0010,597.003,203.001,684.005,116.00381.003,415.00
                研發費用8.0012.0030.0022.0049.0050.0062.00135.00157.00218.00217.0028.0064.0048.0078.0026.00
                其他營業成本5,805.008,844.0011,056.0014,390.0016,203.0017,661.0019,792.0023,500.0027,391.0031,476.0031,438.007,184.007,860.004,849.0011,582.007,147.00
                總營業成本8,747.0012,377.0016,111.0019,199.0022,210.0023,261.0026,534.0030,916.0036,735.0042,078.0042,251.0010,415.009,608.0010,013.0012,042.0010,589.00
                營業利潤22,162.0024,368.0039,011.0051,477.0059,214.0066,578.0073,947.0086,544.00101,958.00118,276.00122,382.0032,688.0023,989.0026,181.0035,419.0036,793.00
                營業利潤率 %66.2660.6863.8966.6866.6467.9467.5567.8567.7267.9268.3370.3264.8965.9969.4271.52
                利息收入110.0071.0061.0014.0021.00279.00945.001,475.001,942.001,477.001,263.00500.00395.00275.00306.00287.00
                利息支出-41.00-38.00-1.00-11.00-28.00-44.00-14.00-12.00-13.00-14.00-14.00-2.00-3.00-1.00-7.00-2.00
                凈利息收入67.0033.0056.004.00-7.00235.00935.001,392.001,790.001,470.001,266.00487.00408.00278.00297.00283.00
                其他收入(支出)-227.00-443.00-327.00-653.00-424.00-616.00-354.00-234.00-85.00-108.00-151.00-1.007.0012.00-126.00-44.00
                利潤總額22,002.0023,958.0038,740.0050,828.0058,783.0066,197.0074,528.0087,701.00103,663.00119,639.00123,496.0033,174.0024,405.0026,471.0035,590.0037,031.00
                所得稅費用-5,547.00-6,027.00-9,734.00-12,998.00-14,813.00-16,674.00-18,808.00-22,325.00-26,141.00-30,304.00-31,269.00-8,291.00-6,110.00-6,616.00-9,286.00-9,257.00
                稅率 %25.2125.1625.1325.5725.2025.1925.2425.4625.2225.3325.3224.9925.0424.9926.0925.00
                其他凈利潤(虧損)--------------------------------
                凈利潤16,455.0017,931.0029,006.0037,830.0043,970.0049,523.0055,721.0065,376.0077,521.0089,335.0092,227.0024,882.0018,295.0019,855.0026,303.0027,775.00
                持續經營凈利潤16,455.0017,931.0029,006.0037,830.0043,970.0049,523.0055,721.0065,376.0077,521.0089,335.0092,227.0024,882.0018,295.0019,855.0026,303.0027,775.00
                終止經營凈利潤--------------------------------
                其他收入(少數股東權益)-952.00-1,212.00-1,927.00-2,626.00-2,764.00-2,826.00-3,260.00-2,659.00-2,787.00-3,107.00-3,217.00-817.00-664.00-723.00-903.00-927.00
                歸屬于母公司股東的凈利潤15,503.0016,718.0027,079.0035,204.0041,206.0046,697.0052,460.0062,717.0074,734.0086,228.0089,010.0024,065.0017,630.0019,132.0025,401.0026,847.00
                凈利率 %46.3541.6344.3545.6046.3847.6547.9249.1749.6449.5249.7051.7747.6948.2349.7852.19
                優先股股利--------------------------------
                基本每股收益12.3413.3121.5628.0232.8037.1741.7649.9359.4968.6470.8619.1614.0315.2320.2221.38
                稀釋每股收益12.3413.3121.5628.0232.8037.1741.7649.9359.4968.6470.8619.1614.0315.2320.2221.38
                發行在外的稀釋性潛在普通股平均股數1,256.31,256.11,256.01,256.41,256.31,256.31,256.21,256.11,256.21,256.21,255.71,256.01,256.51,256.21,256.21,255.7
                息稅前利潤22,043.0023,995.0038,741.0050,828.0059,214.0066,578.0074,542.0087,714.00103,675.00119,653.00123,511.0033,176.0024,408.0026,472.0035,597.0037,034.00
                折舊、損耗和攤銷841.00923.001,116.001,165.001,233.001,306.001,571.001,677.001,921.002,065.00------------
                稅息折舊及攤銷前利潤22,884.0024,919.0039,857.0051,993.0060,447.0067,884.0076,112.0089,390.00105,596.00121,718.00123,511.0033,176.0024,408.0026,472.0035,597.0037,034.00
                稅息折舊及攤銷前利潤率 %68.4262.0665.2767.3568.0369.2769.5370.0870.1469.8968.9671.3766.0366.7369.7771.99
                合并資產負債表年度季度
                趨勢2015-122016-122017-122018-122019-122020-122021-122022-122023-122024-12TTM2024-032024-062024-092024-122025-03
                貨幣資金和現金等價物36,801.0066,855.0087,869.009,410.0013,252.0036,091.0051,810.0058,274.0069,070.0059,296.0052,199.0074,197.0056,840.0060,085.0059,296.0052,199.00
                短期證券----------------401.00249.00--3,812.003,829.00201.00249.00--
                貨幣資金、現金等價物、及短期證券36,801.0066,855.0087,869.009,410.0013,252.0036,091.0051,810.0058,274.0069,471.0059,544.0052,199.0078,009.0060,669.0060,286.0059,544.0052,199.00
                應收賬款--818.00--564.001,463.001,533.00--21.0060.0019.0015.0073.001.0010.0019.0015.00
                應收票據--------------------------------
                應收貸款--------------------------------
                其他流動應收款項8,713.00608.001,494.00103,060.00117,454.00118,234.00135,100.00116,310.00109,100.00136,422.00157,687.00112,340.00123,587.00129,683.00136,422.00157,687.00
                應收賬款總額8,713.001,426.001,494.00103,624.00118,917.00119,767.00135,100.00116,331.00109,160.00136,441.00157,702.00112,413.00123,589.00129,694.00136,441.00157,702.00
                原材料2,340.002,857.002,540.002,209.001,898.003,486.004,020.003,917.003,365.003,096.00----3,904.00--3,096.00--
                在產品14,704.0015,914.0018,114.0019,760.0021,993.0024,336.0028,055.0033,093.0040,857.0048,267.00----41,273.00--48,267.00--
                存貨調整--------------------------------
                庫存商品969.001,851.001,403.001,538.001,394.001,047.001,319.001,814.002,213.002,981.00----2,590.00--2,981.00--
                其他存貨--------------------54,798.0046,852.00--48,225.00--54,798.00
                存貨18,013.0020,622.0022,057.0023,507.0025,285.0028,869.0033,394.0038,824.0046,435.0054,343.0054,798.0046,852.0047,766.0048,225.0054,343.0054,798.00
                其他流動資產1,478.001,278.00828.001,322.001,570.00925.00461.003,182.00106.001,398.001,807.00102.00233.00216.001,398.001,807.00
                流動資產合計65,005.0090,181.00112,249.00137,863.00159,024.00185,652.00220,766.00216,611.00225,173.00251,727.00266,507.00237,377.00232,257.00238,420.00251,727.00266,507.00
                非流動投資--------------------------------
                土地--------------------------------
                房屋及建筑物修繕--------------------------------
                機器、家具和設備1,662.001,799.001,898.001,994.002,145.002,276.002,342.002,828.003,014.003,232.00----3,206.00--3,232.00--
                在建工程4,895.002,746.002,016.001,954.002,519.002,447.002,322.002,208.002,137.002,150.002,799.002,813.002,560.002,879.002,150.002,799.00
                其他固定資產、無形資產和其他長期資產13,432.0017,171.0018,895.0019,881.0020,766.0023,446.0025,680.0028,892.0030,352.0033,855.0021,810.0019,857.0030,923.0020,544.0033,855.0021,810.00
                固定資產、無形資產和其他長期資產總值19,989.0021,716.0022,810.0023,830.0025,430.0028,170.0030,343.0033,928.0035,503.0039,237.0024,609.0022,671.0036,689.0023,423.0039,237.0024,609.00
                累計折舊-3,677.00-4,517.00-5,550.00-6,627.00-7,767.00-8,961.00-10,186.00-11,575.00-13,142.00-14,805.00-----13,986.00---14,805.00--
                固定資產、無形資產和其他長期資產凈額16,312.0017,199.0017,261.0017,203.0017,663.0019,209.0020,157.0022,354.0022,361.0024,432.0024,609.0022,671.0022,704.0023,423.0024,432.0024,609.00
                無形資產3,582.003,532.003,459.003,499.004,728.004,817.006,208.007,274.008,790.008,949.008,885.008,740.008,882.008,830.008,949.008,885.00
                商譽--------------------------------
                其他非流動資產1,402.002,023.001,642.001,587.001,627.004,254.008,037.008,262.0016,376.0013,838.0012,368.0016,737.0015,365.0016,099.0013,838.0012,368.00
                非流動資產合計21,297.0022,754.0022,361.0022,289.0024,018.0028,280.0034,403.0037,889.0047,527.0047,218.0045,862.0048,148.0046,950.0048,351.0047,218.0045,862.00
                資產總計86,301.00112,935.00134,610.00160,152.00183,042.00213,932.00255,168.00254,501.00272,700.00298,945.00312,369.00285,525.00279,207.00286,771.00298,945.00312,369.00
                應付賬款881.001,041.00992.001,178.001,514.001,342.002,010.002,408.003,093.003,515.003,745.004,023.003,291.002,652.003,515.003,745.00
                應交稅費2,516.004,272.007,726.0010,771.008,756.008,920.0011,980.006,897.006,950.007,718.007,670.007,016.005,810.006,343.007,718.007,670.00
                其他應付賬款2,426.003,388.004,965.005,397.006,035.006,238.007,802.009,326.0010,615.0011,253.007,430.006,481.006,874.006,080.0011,253.007,430.00
                應交稅費和其他應付款--------------------------------
                應付票據及應付賬款、應交稅費和其他應付款5,823.008,701.0013,683.0017,346.0016,304.0016,500.0021,792.0018,631.0020,658.0022,486.0018,844.0017,520.0015,976.0015,075.0022,486.0018,844.00
                短期借款--------------------------------
                短期資本化租賃債務--------------------------------
                短期借款和資本化租賃債務----------121.00104.00109.0057.00112.0044.0056.0060.0048.00112.0044.00
                流動遞延收益負債--------------------------------
                流動遞延所得稅負債--------------------------------
                流動遞延所得稅和收益負債--------------------------------
                其他流動負債14,229.0028,320.0024,892.0025,092.0024,789.0029,173.0036,018.0030,325.0027,983.0033,918.0024,983.0019,050.0034,771.0023,601.0033,918.0024,983.00
                流動負債合計20,052.0037,020.0038,575.0042,438.0041,093.0045,795.0057,914.0049,066.0048,698.0056,516.0043,870.0036,627.0050,807.0038,724.0056,516.0043,870.00
                長期借款--------------------------------
                長期資本租賃負債----------415.00296.00334.00267.00314.00242.00280.00277.00284.00314.00242.00
                長期借款和資本化租賃債務----------415.00296.00334.00267.00314.00242.00280.00277.00284.00314.00242.00
                債務股本比率0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.00
                養老金和退休福利--------------------------------
                非流動遞延負債--------------------------------
                其他非流動負債16.0016.0016.0076.0073.001.00--163.0079.00103.0067.0081.0078.0075.00103.0067.00
                非流動負債合計16.0016.0016.0076.0073.00416.00296.00497.00346.00417.00308.00361.00356.00359.00417.00308.00
                負債合計20,067.0037,036.0038,590.0042,514.0041,166.0046,211.0058,211.0049,563.0049,043.0056,933.0044,178.0036,988.0051,162.0039,083.0056,933.0044,178.00
                普通股1,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.001,256.00
                優先股--------------------------------
                留存收益54,879.0062,718.0080,011.0096,188.00115,892.00137,594.00160,717.00161,278.00172,983.00182,787.00209,635.00197,048.00173,772.00192,904.00182,787.00209,635.00
                累計其他綜合收益(虧損)--------------------------------
                資本公積1,374.001,374.001,374.001,374.001,374.001,374.001,374.001,374.001,374.001,374.00----1,374.00--1,374.00--
                庫存股---------------------1,599.00---------1,599.00
                其他所有者權益6,417.007,546.008,810.0014,249.0017,488.0021,098.0026,192.0033,572.0040,055.0047,688.0049,066.0041,427.0042,174.0043,550.0047,688.0049,066.00
                歸屬于母公司所有者權益合計63,926.0072,894.0091,452.00113,068.00136,010.00161,323.00189,539.00197,480.00215,669.00233,106.00258,358.00239,732.00218,576.00237,709.00233,106.00258,358.00
                少數股東權益2,308.003,004.004,568.004,570.005,866.006,398.007,418.007,458.007,988.008,905.009,832.008,805.009,469.009,979.008,905.009,832.00
                所有者權益合計66,234.0075,899.0096,020.00117,638.00141,876.00167,721.00196,958.00204,938.00223,656.00242,011.00268,190.00248,537.00228,045.00247,688.00242,011.00268,190.00
                股東權益比率0.740.650.680.710.740.750.740.780.790.780.830.840.780.830.780.83
                合并現金流量表年度季度
                趨勢2015-122016-122017-122018-122019-122020-122021-122022-122023-122024-12TTM2024-032024-062024-092024-122025-03
                來自持續經營收益的凈利潤16,455.0017,931.0029,006.0037,830.0043,970.0049,523.0055,721.0065,376.0077,521.0089,335.0092,227.0024,882.0018,295.0019,855.0026,303.0027,775.00
                折舊、損耗和攤銷841.00923.001,116.001,165.001,233.001,306.001,571.001,677.001,921.002,065.00------------
                經營性應收項目變動-6,705.007,670.00-459.00526.003,425.00-504.00504.00-15,052.00-3,465.001,761.00------------
                存貨變動-3,031.00-2,609.00-1,435.00-1,449.00-1,778.00-3,584.00-4,525.00-5,430.00-7,611.00-7,908.00------------
                預付資產變動--------------------------------
                應付票據及應付賬款、應交稅費和其他應付款變動--------------------------------
                其他營運資金變動9,874.0013,512.00-6,081.003,301.00-1,670.004,851.0010,765.00-9,867.00-1,726.007,216.00------------
                營運資金變動138.0018,572.00-7,974.002,377.00-23.00763.006,744.00-30,349.00-12,802.001,069.00------------
                遞延所得稅--------------------------------
                股權激勵--------------------------------
                資產減值費用--------------------------------
                終止經營活動產生的現金流量凈額--------------------------------
                其他經營活動產生的現金流量凈額2.0025.005.0013.0030.0077.00-7.00-5.00-47.00-5.00-142.00-15,695.009,140.00-12,055.0021,739.00-18,965.00
                經營活動產生的現金流量凈額17,436.0037,451.0022,153.0041,385.0045,211.0051,669.0064,029.0036,699.0066,593.0092,464.0092,085.009,187.0027,434.007,800.0048,042.008,809.00
                購建固定資產、無形資產和其他長期資產支付的現金-2,061.00-1,019.00-1,125.00-1,607.00-3,149.00-2,090.00-3,409.00-5,307.00-2,620.00-4,679.00-4,784.00-796.00-735.00-1,343.00-1,804.00-901.00
                處置固定資產、無形資產和其他長期資產收回的現金凈額9.00----------2.00--25.001.001.00------1.00--
                取得子公司及其他營業單位支付的現金凈額--------------------------------
                處置子公司及其他營業單位收到的現金凈額--------------------------------
                投資支付的現金-25.00---------20.00-2,150.00-210.00-14,818.00-5,745.00------------
                收回投資及取得投資收益收到的現金64.00--------315.007.006.007,691.008,642.008,892.0027.002,604.003,637.002,374.00278.00
                取得無形資產支付的現金凈額差--------------------------------
                終止投資活動產生的現金流量凈額--------------------------------
                其他投資活動產生的現金流量凈額-35.00-83.004.00-22.00-17.00-11.00-13.00-27.00-2.00-4.00-5,752.002.00-4,001.00---1,750.00-1.00
                投資活動產生的現金流量凈額-2,049.00-1,103.00-1,121.00-1,629.00-3,166.00-1,805.00-5,562.00-5,537.00-9,724.00-1,785.00-1,643.00-767.00-2,132.002,293.00-1,180.00-624.00
                發行股票產生的現金流入--------------------------------
                回購股票產生的現金流出--------------------------------
                發行優先股產生的現金流量凈額--------------------------------
                發行債券產生的現金流入--------------------------------
                償付債券現金流出-56.00------------------------------
                發行債券產生的現金流量凈額-56.00------------------------------
                分配股利、利潤或償付利息支付的現金-5,041.00-7,818.00-8,526.00-13,817.00-18,264.00-21,387.00-24,236.00-54,751.00-56,550.00-68,787.00------------
                融資租賃產生的現金流量凈額--------------------------------
                其他籌資活動產生的現金流量凈額-491.00-516.00-373.00-2,624.00-1,021.00-2,741.00-2,328.00-2,673.00-2,339.00-2,281.00------------
                籌資活動產生的現金流量凈額-5,588.00-8,335.00-8,899.00-16,441.00-19,284.00-24,128.00-26,564.00-57,425.00-58,889.00-71,068.00-72,663.00-12.00-38,804.00-174.00-32,078.00-1,607.00
                期初現金及現金等價物余額24,997.0034,780.0062,795.0074,928.0098,243.00121,004.00146,741.00178,641.00152,379.00150,360.00158,769.00150,360.00158,769.00145,267.00155,187.00169,970.00
                匯率變動對現金及現金等價物的影響-16.00-----------2.001.002.00-1.00---1.00--1.00-1.001.00
                現金及現金等價物凈額9,783.0028,014.0012,133.0023,315.0022,761.0025,737.0031,900.00-26,262.00-2,019.0019,610.0017,780.008,408.00-13,502.009,920.0014,783.006,578.00
                期末現金及現金等價物余額34,780.0062,795.0074,928.0098,243.00121,004.00146,741.00178,641.00152,379.00150,360.00169,970.00176,548.00158,769.00145,267.00155,187.00169,970.00176,548.00
                資本開支-2,061.00-1,019.00-1,125.00-1,607.00-3,149.00-2,090.00-3,409.00-5,307.00-2,620.00-4,679.00-4,784.00-796.00-735.00-1,343.00-1,804.00-901.00
                自由現金流15,375.0036,432.0021,028.0039,778.0042,062.0049,579.0060,620.0031,392.0063,973.0087,785.0087,302.008,391.0026,700.006,456.0046,238.007,908.00
                估值比率年度季度
                趨勢2015-122016-122017-122018-122019-122020-122021-122022-122023-122024-12TTM2024-032024-062024-092024-122025-03
                市盈率17.6825.1132.3521.0636.0753.7549.0934.5929.0122.2022.4627.4222.9126.5622.2022.03
                持續經營市盈率17.5524.7532.1920.8335.8953.3848.9734.5529.0022.2022.4627.4322.9226.5622.2022.04
                股價/巴菲特所有者每股收益22.2030.5635.6722.1437.1555.2350.6235.6929.9122.8423.0628.2423.5927.3722.8422.66
                市凈率4.295.769.586.5610.9315.5613.5910.9910.058.217.748.928.439.248.217.59
                股價/每股有形賬面價值4.546.059.966.7611.3216.0414.0511.4110.488.548.019.268.799.598.547.86
                股價/自由現金流17.8311.5241.6618.6435.3350.6342.4869.1033.8921.8122.8731.4426.3038.2221.8122.46
                股價/每股經營現金流15.7211.2139.5417.9132.8748.5840.2259.1132.5620.7121.6930.3325.3135.9920.7121.30
                市銷率8.2010.4514.359.6016.7325.6223.5317.0114.4010.9911.1513.5711.3113.0410.9910.95
                市盈增長比0.722.183.161.111.341.842.082.222.021.421.471.891.541.751.421.39
                企業價值/收入7.168.8612.989.5416.6425.3223.1216.6113.9910.7110.8313.1311.0012.7510.7110.71
                企業價值倍數10.4714.2819.8914.1624.4636.5433.2623.7119.9515.3215.7119.1416.1018.7415.3215.54
                企業價值/息稅前利潤10.8714.8320.4714.4924.9737.2633.9624.1620.3215.5815.7119.1416.1018.7415.5815.54
                喬爾·格林布拉特收益率 %9.206.744.896.904.002.682.944.144.926.426.375.226.215.346.426.44
                唐納德·亞克曼收益率 %23.3714.7612.1721.8922.0421.4821.6117.5316.6618.6818.7916.8117.8017.5118.6818.77
                席勒市盈率29.6838.7565.4044.3470.4999.7686.6562.1453.5740.4540.2950.2142.0948.0740.4539.53
                Cyclically Adjusted PB Ratio10.1412.4420.9614.3622.9132.2827.4619.3916.9013.1212.8716.0313.4515.3813.1212.99
                Cyclically Adjusted PS Ratio13.7717.8730.0620.3432.4446.2740.3929.1425.3319.2818.7523.8519.9922.8519.2818.92
                股息率 %1.821.850.971.861.230.850.941.261.503.593.471.522.101.773.593.51
                估值和質量年度季度
                趨勢2015-122016-122017-122018-122019-122020-122021-122022-122023-122024-12TTM2024-032024-062024-092024-122025-03
                總市值274,090419,759876,186741,1691,486,0822,509,8842,575,2062,169,4542,168,1981,914,4461,998,8372,139,1801,843,3322,195,8341,914,4461,960,925
                企業價值239,597355,908792,885736,3301,478,6962,480,7272,531,2152,119,0812,107,0381,864,2331,956,7552,070,3111,792,4702,145,8591,864,2331,918,844
                月末股價218.19334.15697.49590.011,183.001,998.002,050.001,727.001,726.001,524.001,591.181,702.901,467.391,748.001,524.001,561.00
                每股現金凈流量11.4821.3535.59-29.99-26.89-13.15-11.001.009.90-5.01-1.4425.650.038.94-5.01-1.44
                凈流動資產價值 NCAV33.9339.9155.0072.2689.15105.91123.50127.04133.85147.98169.16152.51136.62150.74147.98169.16
                凈凈營運資本 NNWC18.6530.0444.37-20.30-15.95-0.742.2916.4628.4216.6320.3844.3419.0428.1416.6320.38
                內在價值:預期自由現金流模型140.85207.29240.36320.26398.70497.10603.61597.78679.52807.19814.75712.73741.25741.88807.19814.75
                內在價值:市銷率模型323.34382.77573.80720.24829.07914.291,022.271,329.191,768.152,040.642,098.891,847.671,910.331,977.342,040.642,098.89
                彼得林奇公允價值302.08151.27219.43524.81820.30930.25981.99778.05854.531,069.721,121.98901.92952.841,000.271,069.721,121.98
                格雷厄姆估值115.91129.51184.81235.79278.39323.92370.75412.68469.59525.00562.59506.77490.42519.40524.87562.59
                盈利能力值(EPV)131.18175.37224.53207.76263.76338.71416.25482.78558.43628.56645.21586.53588.07602.22628.56645.21
                兩年破產風險(Z分數)10.949.2016.5213.5524.8735.7529.5829.5830.0023.7230.0738.3125.1737.3923.7230.30
                基本面趨勢(F分數)5568756675766757
                財務造假嫌疑(M分數)0.22-4.16-2.1847.11-2.39-2.44-2.56-2.00-2.15-2.45-2.31-2.21-2.08-1.88-2.45-2.31
                可供營運的資產凈額/總資產0.450.110.070.800.800.720.680.580.610.670.720.630.590.670.640.72
                斯隆比率 %0.13-17.384.49-2.84-0.46-1.48-2.3512.406.55-1.49-0.466.377.088.26-1.49-0.46
                流動比率3.242.442.913.253.874.053.814.414.624.456.076.484.576.164.456.07
                速動比率2.341.882.342.693.253.423.243.623.673.494.835.203.634.913.494.83
                現金比率1.841.812.280.220.320.790.891.191.431.051.192.131.191.561.051.19
                利息保障倍數535.81649.294.43萬4,727.022,105.391,510.155,465.447,198.218,075.898,171.088,475.191.32萬7,313.721.77萬4,886.671.51萬
                最高股價260.75337.83719.11799.191,233.751,998.002,601.002,051.231,912.901,770.001,910.001,745.001,770.001,748.001,723.001,637.86
                最低股價158.23196.64334.56524.00590.00996.001,548.001,350.001,628.901,261.001,245.831,577.001,467.391,261.001,494.601,403.80
                股票回購率 %--------------------------------
                股票回購收益率 %--------------------------------
                每股收入同比增長率 %3.8020.0852.0826.3915.1010.2811.7116.5418.0215.6613.5918.0916.9115.5612.7710.69
                每股收益同比增長率 %0.987.8661.9829.9617.0613.3212.3519.5619.1515.3814.1115.7716.0513.2316.2111.59
                稅息折舊及攤銷前利潤同比增長率 %1.048.9159.9630.4116.2712.3012.1317.4618.1215.2714.2015.6314.9513.5816.9411.65
                5年每股稅息折舊及攤銷前利潤增長率 %24.4611.3510.1818.7326.7829.0223.5115.5814.3715.5915.3014.5314.8815.2015.5915.84
                發行在外的普通股平均股數1,256.331,256.081,256.001,256.381,256.301,256.321,256.231,256.111,256.251,256.241,255.731,256.021,256.531,256.211,256.211,255.73
                期末總股本1,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.201,256.20
                β貝塔系數0.700.700.710.871.221.271.161.341.351.191.391.251.231.181.191.27
                重述日期04/15/1703/28/1803/29/1904/22/2003/31/2103/31/2203/31/2304/03/2404/03/2504/03/2504/30/2504/30/2508/09/2410/26/2404/03/2504/30/25
                報告日期03/24/1604/15/1703/28/1803/29/1904/22/2003/31/2103/31/2203/31/2304/03/2404/03/2504/30/2504/27/2408/09/2410/26/2404/03/2504/30/25
                收益發布日期--------------------04/29/2504/27/2408/09/2410/26/24--04/29/25
                股東人數--------------------------------
                在職員工人數21,11521,23724,02926,56827,00529,03129,97131,41333,30234,75034,75033,30233,30233,30234,75034,750
                外匯匯率1.001.001.001.001.001.001.001.001.001.00--1.001.001.001.001.00
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