660008基金净值最资金流向,660008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660008基金净值资讯的信息请重视咱们的站。
报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31每股收益3.24.6%3.86.04.21.4每股净财物5.68.2%1.41.64.772.97每股本钱公积金9.1737.57%7.775.973.159.35每股未分配赢利8.5575.95%6.164.362.569.76每股运营现金流7.9636.56%5.763.961.168.36净财物收益率6.5676.94%4.142.359.557.16出售毛利率5.715.35%3.551.758.956.35净赢利率5.5575.95%3.151.368.466.6财物负债率4.80.2%2.49.67.85.0活动比率3.21.4%1.61.81.02.4速动比率3.61.8%3.01.22.43.6
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177931.8%19465211372280924481主经营务赢利261532.0%27825295953156132736管理费用13273.2%2581425359257597财务费用92691.4%10941126131428515957经营赢利176292.6%19301209732264524317加:投资收益259893.8%27660293323100432676经营外收入15801.0%3252492465968268减:经营外开销99402.2%11612132841495616628赢利总额183003.4%19972216442331624988减:所得税266603.6%283323000431676580净赢利22521.8%3924559672688940
报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31活动财物106123.0%12284140601604617300长期投资189723.2%20644223162398825660固定财物273321.6%2900430676323481251无形财物29232.8%4595626779399611财物总计112833.0%12955146271629917971活动负债196432.2%21315229872465926331长期负债280033.24%29675313472511923负债算计35951.7%52676939861110283股东权益120592.33%14045152991697118643负债及股东权益总计203153.22%21987236592533127003
660008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286751.6%30347320199232595减:货币资金的期初余额42672.7%59397610928210954现金等价物的期末余额126263.93%14298159701764219314减:现金等价物的期初余额209861.13%22658243302600227674现金及现金等价物净添加额294442.33%314103258611762430
660008基金净值主经营务收入(亿元)660008基金净值主经营务收入(亿元)