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Cementos Pacasmayo SAA
CPAC
添加自选
11.800
USD
-0.020
-0.17%
收盘 07-31 16:00(美东)
报价延迟15分钟
11.810
USD
+11.810
盘后交易 08/03, 20:00 (美东)
1.09B
总市值
19.00
市盈率 TTM
Cementos Pacasmayo SAA
11.800
-0.020
-0.17%
概览
财务
分析
公司
财务摘要
利润表
资产负债表
现金流量表
概览
财务
分析
公司
财务摘要
利润表
资产负债表
现金流量表
CPAC 财务数据
通过专为投资者打造的一站式数据看板,全面查看 Cementos Pacasmayo SAA 的财务状况。平台将复杂的财务报表整理为可自定义的视图,助您更轻松地进行财务分析。您可以查看最新年度财务报告,也可以通过利润表、资产负债表和现金流量表,按季度分析公司表现。借助实时财务指标,持续追踪公司的经营状况和市场表现更加便捷。
Cementos Pacasmayo SAA财报日历
最新发布
7月 21, 2026
每股收益 / 预测值
--
/0.12
营业收入 / 预测值
--
/
--
查看即将公布的财报 >>
报告期
FY2025 财报
营业收入(YoY)
593.55M
12.26%
每股收益(YoY)
0.51
-18.66%
分析师评级
HOLD
2026/08/02
单季报
单季报+年报
单季报
年报
YOY
隐藏空白行
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
财务指标
每股收益
69.83%
0.28
-139.42%
-0.06
21.07%
0.24
32.55%
0.15
7.78%
0.17
40.13%
0.16
32.72%
0.20
-16.20%
0.12
15.41%
0.15
-5.04%
0.11
10.56%
0.15
--
0.14
--
0.13
--
0.12
--
0.13
--
--
--
--
--
--
--
--
--
--
营业收入
21.54%
163.94M
17.80%
165.37M
17.42%
162.55M
8.11%
132.54M
5.95%
134.88M
3.36%
140.38M
-1.94%
138.43M
2.21%
122.60M
0.79%
127.30M
-1.26%
135.82M
-1.10%
141.16M
-10.81%
119.95M
-8.54%
126.31M
5.33%
137.56M
13.48%
142.73M
15.56%
134.48M
8.67%
138.11M
-1.10%
130.60M
9.37%
125.78M
249.06%
116.38M
净利润
69.86%
24.18M
-139.40%
-5.26M
21.09%
20.25M
32.59%
13.09M
7.77%
14.23M
40.16%
13.35M
32.71%
16.72M
-16.21%
9.87M
15.39%
13.21M
-5.03%
9.52M
10.55%
12.60M
-8.15%
11.79M
-4.78%
11.45M
-21.87%
10.03M
9.11%
11.40M
75.72%
12.83M
38.23%
12.02M
-2.78%
12.84M
-18.13%
10.45M
154.98%
7.30M
利润率
39.76%
14.75%
-133.45%
-3.18%
3.12%
12.46%
22.64%
9.88%
1.72%
10.55%
35.60%
9.51%
35.33%
12.08%
-18.02%
8.05%
14.49%
10.37%
-3.82%
7.01%
11.78%
8.93%
--
9.83%
--
9.06%
--
7.29%
--
7.98%
--
--
--
--
--
--
--
--
--
--
毛利率
12.84%
41.45%
4.89%
39.30%
0.66%
38.06%
5.01%
37.12%
0.69%
36.73%
-4.97%
37.47%
11.86%
37.81%
2.40%
35.35%
9.04%
36.48%
29.06%
39.43%
12.81%
33.80%
--
34.52%
--
33.46%
--
30.55%
--
29.96%
--
--
--
--
--
--
--
--
--
--
资产负债率
-0.38%
46.06%
-3.02%
46.03%
-5.01%
43.42%
-4.92%
45.48%
-6.02%
46.24%
-3.30%
47.46%
-1.56%
45.71%
-1.15%
47.83%
-0.03%
49.20%
1.81%
49.08%
1.36%
46.44%
--
48.39%
--
49.21%
--
48.20%
--
45.82%
--
--
--
--
--
--
--
--
--
--
利润表
营业收入
21.54%
163.94M
17.80%
165.37M
17.42%
162.55M
8.11%
132.54M
5.95%
134.88M
3.36%
140.38M
-1.94%
138.43M
2.21%
122.60M
0.79%
127.30M
-1.26%
135.82M
-1.10%
141.16M
-10.81%
119.95M
-8.54%
126.31M
5.33%
137.56M
13.48%
142.73M
15.56%
134.48M
8.67%
138.11M
-1.10%
130.60M
9.37%
125.78M
249.06%
116.38M
营业利润
59.47%
41.21M
-55.86%
11.67M
10.25%
34.33M
15.17%
24.84M
1.87%
25.84M
-15.03%
26.44M
24.48%
31.14M
1.05%
21.57M
11.14%
25.37M
40.32%
31.12M
8.06%
25.02M
-7.08%
21.34M
-7.21%
22.82M
-17.03%
22.18M
11.88%
23.15M
55.05%
22.97M
26.22%
24.60M
4.19%
26.73M
-14.60%
20.69M
226.26%
14.81M
净利润
69.86%
24.18M
-139.40%
-5.26M
21.09%
20.25M
32.59%
13.09M
7.77%
14.23M
40.16%
13.35M
32.71%
16.72M
-16.21%
9.87M
15.39%
13.21M
-5.03%
9.52M
10.55%
12.60M
-8.15%
11.79M
-4.78%
11.45M
-21.87%
10.03M
9.11%
11.40M
75.72%
12.83M
38.23%
12.02M
-2.78%
12.84M
-18.13%
10.45M
154.98%
7.30M
资产负债表
流动资产
4.71%
287.00M
6.83%
282.44M
9.87%
333.85M
11.71%
300.87M
1.55%
274.08M
-1.30%
264.39M
2.09%
303.86M
-14.06%
269.34M
-9.00%
269.89M
-14.28%
267.89M
-7.90%
297.63M
-1.28%
313.41M
-1.65%
296.59M
23.38%
312.50M
37.02%
323.15M
21.54%
317.46M
19.12%
301.58M
4.43%
253.28M
-11.96%
235.83M
-2.67%
261.19M
流动负债总额
18.50%
244.70M
27.25%
259.50M
22.70%
238.43M
28.17%
224.72M
16.14%
206.50M
9.57%
203.94M
6.30%
194.31M
-1.63%
175.33M
13.84%
177.81M
-25.74%
186.12M
-30.88%
182.79M
-36.17%
178.23M
-43.45%
156.19M
38.31%
250.63M
125.57%
264.45M
35.93%
279.22M
139.07%
276.21M
147.41%
181.21M
30.38%
117.23M
30.52%
205.42M
总资产
3.27%
895.71M
9.43%
922.91M
6.43%
948.89M
8.40%
911.72M
0.36%
867.37M
-3.03%
843.40M
-0.96%
891.60M
-9.32%
841.09M
-1.00%
864.30M
-0.19%
869.80M
6.12%
900.28M
8.15%
927.51M
1.10%
873.01M
8.47%
871.46M
11.01%
848.38M
4.79%
857.64M
4.91%
863.47M
-3.60%
803.42M
-11.97%
764.23M
-7.46%
818.46M
总负债
1.67%
531.37M
9.30%
568.61M
3.98%
549.80M
6.55%
540.80M
-1.48%
522.66M
-5.16%
520.24M
-3.62%
528.77M
-11.27%
507.53M
-2.36%
530.48M
-1.56%
548.52M
7.04%
548.61M
10.10%
571.97M
3.42%
543.30M
10.70%
557.20M
5.36%
512.54M
-2.66%
519.51M
17.25%
525.34M
10.49%
503.35M
3.34%
486.45M
8.38%
533.72M
总权益
5.69%
364.35M
9.64%
354.30M
9.99%
399.09M
11.20%
370.93M
3.27%
344.72M
0.59%
323.16M
3.18%
362.83M
-6.18%
333.56M
1.24%
333.81M
2.23%
321.28M
4.71%
351.67M
5.15%
355.54M
-2.49%
329.71M
4.73%
314.26M
20.90%
335.84M
18.75%
338.14M
-9.83%
338.13M
-20.59%
300.06M
-30.11%
277.78M
-27.37%
284.75M
现金流量表
经营净额
-25.64%
11.99M
-17.30%
23.87M
31.17%
48.13M
-43.69%
13.74M
492.82%
16.13M
-6.62%
28.87M
-45.81%
36.69M
-16.11%
24.40M
73.60%
-4.11M
138.62%
30.91M
10283.46%
67.72M
193.87%
29.08M
-318.19%
-15.55M
256.12%
12.95M
-103.68%
-664.98K
-47.45%
9.90M
121.43%
7.13M
-89.26%
3.64M
-68.16%
18.06M
217.98%
18.83M
投资净额
18.83%
-7.94M
-1435.28%
-9.58M
36.03%
-7.58M
-9.63%
-5.50M
-124.34%
-9.78M
110.17%
717.82K
55.37%
-11.84M
78.54%
-5.01M
79.21%
-4.36M
62.46%
-7.06M
-70.74%
-26.54M
-207.99%
-23.36M
-447.07%
-20.96M
-133.84%
-18.80M
-111.27%
-15.54M
-52.67%
-7.59M
-27.09%
-3.83M
-198.68%
-8.04M
-205.05%
-7.36M
-114.20%
-4.97M
融资净额
129.96%
3.36M
-10.66%
-52.41M
-7.51%
-11.66M
89.02%
-1.19M
-1384.75%
-11.23M
-0.64%
-47.36M
0.75%
-10.84M
-5976.58%
-10.80M
-102.81%
-756.27K
-76.16%
-47.06M
-401.29%
-10.93M
36.46%
-177.73K
1335.28%
26.94M
-17243.78%
-26.71M
92.95%
-2.18M
-76.93%
-279.73K
-90.80%
-2.18M
99.66%
-154.02K
0.22%
-30.93M
-100.95%
-158.10K
常见问题
Cementos Pacasmayo SAA的总收入是多少?
根据Cementos Pacasmayo SAA的FY2025财报,总收入达到了593.55M(同比变化528.74M)。
Cementos Pacasmayo SAA的流动资产是多少?
根据Cementos Pacasmayo SAA的FY2025财报,流动资产为282.44M(同比变化6.83)。
Cementos Pacasmayo SAA的总资产是多少?
根据Cementos Pacasmayo SAA的FY2025财报,Cementos Pacasmayo SAA的总资产为922.91M(同比变化9.43)。
Cementos Pacasmayo SAA的总负债是多少?
根据Cementos Pacasmayo SAA的FY2025财报,Cementos Pacasmayo SAA的总负债为568.61M(同比变化9.30)。
Cementos Pacasmayo SAA的总权益是多少?
根据Cementos Pacasmayo SAA的FY2025财报,Cementos Pacasmayo SAA的总权益为354.30M(同比变化9.64)。
Cementos Pacasmayo SAA的净营业收入是多少?
根据Cementos Pacasmayo SAA的FY2025财报,Cementos Pacasmayo SAA的净营业收入为97.32M(同比变化-6.89)。
Cementos Pacasmayo SAA的净投资是多少?
根据Cementos Pacasmayo SAA的FY2025财报,Cementos Pacasmayo SAA的净投资为-32.37M(同比变化-58.07)。
Cementos Pacasmayo SAA的净融资是多少?
根据Cementos Pacasmayo SAA的FY2025财报,Cementos Pacasmayo SAA的净融资为-74.14M(同比变化-6.13)。
Cementos Pacasmayo SAA的每股收益(EPS)是多少?
根据Cementos Pacasmayo SAA的FY2025财报,每股收益(EPS)为0.51(同比变化-18.66)。
Cementos Pacasmayo SAA的净利润是多少?
根据Cementos Pacasmayo SAA的FY2025财报,净利润为43.24M(同比变化-18.66)。
Cementos Pacasmayo SAA的净利润率是多少?
根据Cementos Pacasmayo SAA的FY2025财报,净利润率为7.28(同比变化-27.55)。
Cementos Pacasmayo SAA的毛利率是多少?
根据Cementos Pacasmayo SAA的FY2025财报,毛利率为38.12(同比变化3.49)。
Cementos Pacasmayo SAA的债务与资产比率是多少?
根据Cementos Pacasmayo SAA的FY2025财报,债务与资产比率为46.03(同比变化-3.02)。
Cementos Pacasmayo SAA的股东权益回报率(ROE)是多少?
根据Cementos Pacasmayo SAA的FY2025财报,股东权益回报率(ROE)为12.76(同比变化-22.63)。
Cementos Pacasmayo SAA的资产回报率(ROA)是多少?
根据Cementos Pacasmayo SAA的FY2025财报,资产回报率(ROA)为4.90(同比变化-21.11)。
Cementos Pacasmayo SAA的营业利润是多少?
根据Cementos Pacasmayo SAA的FY2025财报,营业利润为97.32M(同比变化-6.89)。