徐工机械(000425)
 
 
  日线
顶尖财经网欢迎您!
  K线
 
 最新动态
  投资评级

  盈利预测
据徐工机械一季报分析:

  盈利能力维持稳定,主营获利能力保持稳定

  成长能力有所削弱,营业收入增速放缓

  偿债能力有所削弱,短期偿债能力承压非常明显

  运营能力维持稳定,中长期融资能力得到很大提升

  现金流能力维持稳定,公司资金利用效率获极大提升

  财务数据
2026-06-302026-03-312025-12-312025-09-302025-06-302025-03-312024-12-312024-09-30
每股收益(元)0.350.180.570.510.370.170.510.45
每股净资产(元)5.515.335.145.095.145.205.024.98
每股资本公积金(元)1.221.221.301.301.301.391.391.39
每股未分配利润(元)3.223.052.872.852.892.662.502.45
每股经营性现金流(元)0.360.181.200.480.320.070.480.16
净资产收益率(%)6.333.3411.009.927.153.3710.379.19
营业总收入(元)612.47亿297.91亿1008.23亿781.57亿548.08亿272.66亿930.37亿700.29亿
营业总收入同比增长(%)11.759.268.3711.618.0412.790.20-2.29
归属净利润(元)39.62亿20.56亿65.72亿59.77亿43.58亿20.39亿60.32亿53.52亿
归属净利润同比增长(%)-9.090.868.9611.6716.6327.3913.2410.60
扣非净利润(元)38.29亿20.24亿65.50亿60.02亿44.67亿20.07亿57.62亿48.89亿
扣非净利润同比增长(%)-14.280.8013.6822.7635.5736.8828.1411.85
毛利率(%)22.1222.0522.6122.3322.0321.9522.5721.97
净利率(%)6.547.006.637.788.067.576.547.74
资产负债率(%)63.1065.0464.0165.8664.9263.5762.7763.84
存货周转率(次)1.230.592.161.711.260.662.201.71
  主营收入+营业利润
 
  净利润+每股收益
  股东权益+未分配利润
 
  总资产+负债
  投资要点
利润表
报告期2026-06-302026-03-312025-12-312025-09-30
营业总收入61,247,013,848.1329,790,570,752.92100,822,903,512.1278,157,334,159.19
营业总成本56,207,228,177.9527,419,130,064.6392,351,920,650.8770,370,738,392.67
其他经营收益
营业利润4,531,213,599.422,280,842,100.317,319,362,702.56,891,940,740.62
利润总额4,533,991,519.12,284,544,020.247,258,245,392.446,867,133,263.88
净利润4,005,297,072.862,086,629,029.516,685,887,149.976,083,433,669.84
每股收益
其他综合收益-23,770,103.11-39,594,701.28249,021,343.68166,633,482.69
综合收益总额3,981,526,969.752,047,034,328.236,934,908,493.656,250,067,152.53
资产负债表
报告期2026-06-302026-03-312025-12-312025-09-30
流动资产:
流动资产合计124,363,588,285.65129,724,723,797.65118,638,083,565.44126,480,640,211.24
非流动资产:
非流动资产合计54,632,434,304.9953,842,606,674.9653,440,629,189.9753,163,231,947.74
资产总计178,996,022,590.64183,567,330,472.61172,078,712,755.41179,643,872,158.98
流动负债:
流动负债合计104,030,684,441.19108,330,848,686.5799,154,212,469.84104,035,142,376.45
非流动负债:
非流动负债合计8,919,653,147.1311,063,147,478.4310,993,252,698.914,270,341,556.08
负债合计112,950,337,588.32119,393,996,165110,147,465,168.74118,305,483,932.53
所有者权益(或股东权益):
归属于母公司股东权益合计64,557,301,347.6662,662,242,625.6160,460,686,271.3159,868,352,604.13
股东权益合计66,045,685,002.3264,173,334,307.6161,931,247,586.6761,338,388,226.45
负债和股东权益合计178,996,022,590.64183,567,330,472.61172,078,712,755.41179,643,872,158.98
现金流量表
报告期2026-06-302026-03-312025-12-312025-09-30
经营活动产生的现金流量:
经营活动现金流入小计58,541,150,739.1229,020,744,055.46120,142,083,029.7874,536,229,250.13
经营活动现金流出小计54,382,900,898.0926,868,790,819.99105,999,736,550.568,844,579,219.86
经营活动产生的现金流量净额4,158,249,841.032,151,953,235.4714,142,346,479.285,691,650,030.27
投资活动产生的现金流量:
投资活动现金流入小计582,068,043.941,424,541,230.81,102,496,679.88949,300,120.42
投资活动现金流出小计5,175,571,087.042,404,788,699.664,663,554,004.052,930,925,929.29
投资活动产生的现金流量净额-4,593,503,043.1-980,247,468.86-3,561,057,324.17-1,981,625,808.87
筹资活动产生的现金流量:
筹资活动现金流入小计25,097,191,710.4215,708,953,879.4257,541,716,221.5141,783,636,050.26
筹资活动现金流出小计26,488,073,130.0210,296,728,922.7566,173,233,704.5743,202,698,446.51
筹资活动产生的现金流量净额-1,390,881,419.65,412,224,956.67-8,631,517,483.06-1,419,062,396.25
汇率变动对现金及现金等价物的影响44,459,483.54-61,638,801.74-131,113,876.01215,780,329.47
现金及现金等价物净增加额-1,781,675,138.136,522,291,921.541,818,657,796.042,506,742,154.62
期末现金及现金等价物余额15,500,854,566.6723,804,821,626.3417,282,529,704.817,970,614,063.38
补充资料:
现金及现金等价物的净增加额-1,781,675,138.13-1,818,657,796.04-
  十大流通股东
  主力控盘
  公司简介



以上信息为合作方、加盟公司及会员收集,本站不拥有版权,版权归原作者所有,所载文章、数据仅供参考,据此操作,风险自负。

中 华 顶 尖 财 经 -- 中 华 顶 尖 网 络 信 息 服 务 中 心