神火股份 (000933.SZ)

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财务摘要(单季度)(神火股份)

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完整财报对比
2024年第三季度2024年第二季度2024年第一季度2023年第四季度2023年第三季度2023年第二季度2023年第一季度2022年第四季度2022年第三季度2022年第二季度2022年第一季度
单季度财务指标:
 单季度每股收益(元) 1.001.00-1.001.001.001.001.001.001.001.00
 单季度销售毛利率(%) 25.0026.0023.0024.0028.0025.0029.0027.0026.0040.0031.00
 单季度销售净利率(%) 15.0014.0014.0022.0018.0014.0018.0016.0015.0028.0021.00
 单季度净资产收益率ROE(%) 6.006.005.0010.008.007.009.0011.0010.0021.0019.00
 单季度总资产净利率ROA(%) 3.002.002.003.003.002.003.003.003.006.004.00
单季度财务摘要:
 单季度营业总收入(元) 10,093,102,617.009,997,560,376.008,223,375,960.008,995,597,327.009,520,298,245.009,594,660,160.009,514,523,824.0010,570,136,610.0010,487,697,270.0010,895,949,694.0010,750,069,713.00
 单季度营业总成本(元) 8,272,956,993.008,202,804,226.006,925,700,567.007,198,638,583.007,420,587,217.007,838,651,193.007,433,841,516.008,548,689,655.008,285,883,908.007,175,139,374.008,086,201,047.00
 单季度营业收入(元) 10,093,102,617.009,997,560,376.008,223,375,960.008,995,597,327.009,520,298,245.009,594,660,160.009,514,523,824.0010,570,136,610.0010,487,697,270.0010,895,949,694.0010,750,069,713.00
 单季度营业利润(元) 1,925,182,720.001,996,827,464.001,452,150,906.002,012,990,449.002,245,811,324.001,844,914,299.002,166,011,819.002,268,494,550.002,079,187,873.003,811,686,666.002,742,348,215.00
 单季度利润总额(元) 1,915,053,581.001,886,473,223.001,449,865,532.001,925,031,099.002,243,290,549.001,825,425,701.002,162,126,813.002,043,793,160.002,079,908,894.003,783,564,018.002,752,469,823.00
 单季度净利润(元) 1,517,422,277.001,396,415,136.001,169,208,372.001,943,092,710.001,754,596,518.001,334,909,819.001,695,634,667.001,701,541,154.001,603,012,395.003,022,867,945.002,248,968,897.00
 单季度归属母公司股东的净利润(元) 1,254,291,582.001,193,553,862.001,090,539,522.001,802,751,507.001,363,359,272.001,193,023,861.001,546,251,983.001,716,235,014.001,318,723,734.002,587,795,535.001,948,448,515.00
 单季度经营活动产生的现金流量(元) 2,285,209,374.002,302,480,579.001,766,885,172.004,148,190,943.002,432,800,430.001,940,146,073.002,669,069,020.004,798,360,398.003,231,087,052.003,189,738,497.002,841,578,213.00
 单季度投资活动产生的现金流量(元) -184,409,619.00-637,414,775.00-56,759,758.00-1,503,586,360.00-496,710,244.00-13,903,521.0098,079,121.00-719,253,074.00-17,552,439.00167,625,853.00107,004,714.00
 单季度筹资活动产生的现金流量(元) -5,439,145,699.00-2,086,565,899.00176,954,107.00-1,061,518,036.00-4,612,179,147.00-1,578,575,480.00-1,051,197,439.00-2,119,619,099.00-2,739,556,792.00-3,933,591,351.00-2,610,373,545.00
 单季度现金及现金等价物净增加(元) -3,337,128,697.00-418,541,652.001,888,677,976.001,584,911,803.00-2,674,262,683.00350,253,992.001,712,984,980.001,957,187,594.00478,127,953.00-565,555,419.00339,032,992.00

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