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东方证券上市(杭萧钢结构)

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悉数基金净值最资金流向,悉数基金净值千股千评,最新消息股本结构公司高管等资讯!想了解更多关于悉数基金净值资讯的信息请重视咱们的站。

地产出资?地产出资

悉数基金净值财务指标剖析

601155新城控股?601155新城控股

悉数基金净值财务指标

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31每股收益5.02.4%6.64.88.05.2每股净财物8.46.8%6.44.042.49.6每股本钱公积金7.80.2%5.63.81.938.13每股未分配赢利6.3353.73%4.932.139.337.53每股运营现金流5.7393.13%2.339.548.746.92净财物收益率4.1252.72%2.929.127.325.52出售毛利率3.7292.12%1.328.536.734.93净赢利率2.1333.53%9.717.915.113.31财物负债率1.7191.11%8.317.525.723.8活动比率2.02.2%3.42.62.83.0速动比率1.22.4%3.61.82.03.2

兴民钢圈股票?兴民钢圈股票

悉数基金净值运营成绩(万元)

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31主经营务收入51091.4%70758251960910863主经营务赢利125352.8%14207158791755119223管理费用208953.0%22567242392591127583财务费用292551.2%309273259915033175经营赢利48473.4%65198191986311535加:出资收益132071.6%14879165511822319895经营外收入216712.8%23657249112658328254减:经营外开销299263.0%3159850221743846赢利总额55181.2%719088621053412206减:所得税138782.4%15550172221889420566净赢利222383.6%23910255822725428926

黑化股份股吧?黑化股份股吧

悉数基金净值财物负债(万元)

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31活动财物305981.8%32270117428464518长期出资61902.0%786295341120612878固定财物146483.2%16614177891914820402无形财物220741.4%23746254182709028762财物总计304342.6%32106100926814353活动负债60252.62%769793691104112713长期负债143853.2%16057177291940121073负债算计227451.7%24417260892776129433股东权益311053.60%9168133535025负债及股东权益总计66973.0%8369101451213113385

悉数基金净值现金及现金等价物净添加状况(万元)

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31货币资金的期末余额150571.4%16729184012007321745减:货币资金的期初余额234172.6%25089267612843330105现金等价物的期末余额317773.8%681235340255696减:现金等价物的期初余额73682.0%9040107121238414056现金及现金等价物净添加额157283.2%17400190722084922834

悉数基金净值主经营务收入(亿元)悉数基金净值主经营务收入(亿元)

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