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行业财务指标标准excel标准偏差函数exl标准差函数国标检验抽样标准表免费下载

行业财务指标标准excel标准偏差函数exl标准差函数国标检验抽样标准表免费下载

(金融知识)行业金融指标标准Excel标准差Excel标准差函数Exl标准差函数国标检验抽样标准表免费下载气瓶现场处置方案。pdf 气瓶现场处置方案。Doc 实践基地管理计划。Doc 集体参观事件处置预案 建筑工地扬尘治理专项预案 下载. 值得您下载 拥有 化肥行业 氯碱行业 财务指标标准值 1?化肥行业: 注:指标值来源于上市公司信息 X. 指数平均负债率 资产负债率 42.24%-55 %(可以取平均值) 资本化率(权益比率) 10.39% 固定资产净值率 90.

应付帐款帐款周转率16.786189.2741.756应付45.597207.8351.928存货10.502156.7680.119总资产周转率 0.8805.6290.048 固定资产周转率 3.05549.7460.383 长期资产适宜率 1.48911.573-2.596 债务结构率 8,678.779406,707.0310.000 经营业务利润率 1.00632.180-109.39.0 成本费用利润率 380-58.160。主营业务比率 390.8093、401.390-257.140 非经常性损益比率 58.595142.000-121.440 关联交易比率 0.0000.0000.000 主营业务收入增长率 31.224219.760-78.480 应收账款增长率 17.392490.40r 78 净利润增速 -226.9191,777.430-20,286.869 固定资产投资扩张率 12.40899.200-41.660L 固定资产新增率 65.46094.04034。490 资本项目规模维持率 182.5001,657.480-553.780 总资产扩张率 10-116.19 45.880 每股收益增长率 0.0000.0000.000 每股经营现金流量 0.3612.144-1.051 现金分红支付率 366.70317, 207.009200.00 Main business cash ratio 10.603264.200-73.330 Cash self-sufficiency rate 9.83568.960-26.9901 Operating cash capital expenditure ratio -664.66924,278.061-21,437.211 Operating cash depreciation expense ratio 112.6161,751.1800.830 Structural analysis 6,408.850482,688.469-2,690.418.45 Operating活动 145 产生的现金流量净额增长率 388.75525,582.061-5,416.2201 股权扩张比例 112.964320.000100.000 总资产收益率 3.50037.380-58.160 长期资金适宜率 165.534663.48039.750 流动资金资产比例17-2.4400 17-2.4400 780 总资产扩张率 10-116.19 45.880 每股收益增长率 0.0000.0000.000 每股经营现金流量 0.3612.144-1.051 现金分红率 366.70317, 207.9200.0001。Main business cash ratio 10.603264.200-73.330 Cash self-sufficiency rate 9.83568.960-26.9901 Operating cash capital expenditure ratio -664.66924,278.061-21,437.211 Operating cash depreciation expense ratio 112.6161,751.1800.830 Structural analysis 6,408.850482,688.469-2,690.418.45 Operating活动 145 产生的现金流量净额增长率 388.75525,582.061-5,416.2201 股权扩张比例 112.964320.000100.000 总资产收益率 3.50037.380-58.160 长期资金适宜率 165.534663.48039.750 流动资金资产比例17-2.4400 17-2.4400 780 总资产扩张率 10-116.19 45.880 每股收益增长率 0.0000.0000.000 每股经营现金流量 0.3612.144-1.051 现金分红率 366.70317, 207.9200.0001。Main business cash ratio 10.603264.200-73.330 Cash self-sufficiency rate 9.83568.960-26.9901 Operating cash capital expenditure ratio -664.66924,278.061-21,437.211 Operating cash depreciation expense ratio 112.6161,751.1800.830 Structural analysis 6,408.850482,688.469-2,690.418.45 Operating活动 145 产生的现金流量净额增长率 388.75525,582.061-5,416.2201 股权扩张比例 112.964320.000100.000 总资产收益率 3.50037.380-58.160 长期资金适宜率 165.534663.48039.750 流动资金资产比例17-2.4400 17-2.4400 144-1.051 现金分红支付率 366.70317流动负债率行业标准值,207.9200.0001。Main business cash ratio 10.603264.200-73.330 Cash self-sufficiency rate 9.83568.960-26.9901 Operating cash capital expenditure ratio -664.66924,278.061-21,437.211 Operating cash depreciation expense ratio 112.6161,751.1800.830 Structural analysis 6,408.850482,688.469-2,690.418.45 Operating活动 145 产生的现金流量净额增长率 388.75525,582.061-5,416.2201 股权扩张比例 112.964320.000100.000 总资产收益率 3.50037.380-58.160 长期资金适宜率 165.534663.48039.750 流动资金资产比例17-2.4400 17-2.4400 144-1.051 现金分红支付率 366.70317流动负债率行业标准值,207.9200.0001。Main business cash ratio 10.603264.200-73.330 Cash self-sufficiency rate 9.83568.960-26.9901 Operating cash capital expenditure ratio -664.66924,278.061-21,437.211 Operating cash depreciation expense ratio 112.6161,751.1800.830 Structural analysis 6,408.850482,688.469-2,690.418.45 Operating活动 145 产生的现金流量净额增长率 388.75525,582.061-5,416.2201 股权扩张比例 112.964320.000100.000 总资产收益率 3.50037.380-58.160 长期资金适宜率 165.534663.48039.750 流动资金资产比例17-2.4400 17-2.4400

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