项目销售收入1655.00净利润86.00留存利润51.00股东权益414.00负债236.00本期预期增长率---销售净利率5.20%资产周转率2.546权益乘数1.570收益留存率59.30%可持续增长率14.05%资金来源原有资金内部留存收益外部借款本期所需总资金资金来源本期可持续增长率为14.05%。当预期增长率为20%时,要求将收益留存率从59.3%改变为80.23%;另外,相对于可持续增长,超常增长要求额外增加外部借款14.040%20%40%60%80%100%120%0%10%20%30%40%收益留存率预期增长率下期1986.00103.2010.00%0.43763213582.8012.00%0.515780731496.8014.00%0.591187271283.2016.00%0.66399358518.00%0.734331888下期20.00%0.80232558120.00%22.00%0.868089973205.20%24.00%0.9317329332.54626.00%0.9933554821.57028.00%1.05305232680.23%30.00%1.11091234320.00%可持续增长预期增长超常增长部分741.32780.0038.68650.00650.000.0058.1782.8024.6333.1647.2014.04本期下期本期可持续增长率为14.05%。当预期增长率为20%时,要求将收益留存率从59.3%改变为80.23%;另外,相对于可持续增长,超常增长要求额外增加外部借款14.04