金奥博 (002917.SZ)

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财务摘要(单季度)(金奥博)

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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:
 单季度销售毛利率(%) 33.0036.0033.0034.0032.0031.0030.0030.0028.0026.0022.00
 单季度销售净利率(%) 10.0016.006.003.0011.0011.001.00-21.007.008.00-5.00
 单季度净资产收益率ROE(%) 2.004.001.001.002.003.00--1.001.002.00-
 单季度总资产净利率ROA(%) 1.002.001.00-1.002.00--2.001.001.00-
单季度财务摘要:
 单季度营业总收入(元) 432,139,997.00428,771,391.00317,838,039.00465,059,638.00389,195,949.00408,037,623.00244,975,987.00297,341,278.00336,134,492.00349,381,887.00210,137,201.00
 单季度营业总成本(元) 386,972,967.00364,332,731.00301,523,135.00425,497,085.00346,787,000.00360,004,082.00242,440,159.00323,088,132.00316,557,622.00324,972,191.00223,486,614.00
 单季度营业收入(元) 432,139,997.00428,771,391.00317,838,039.00465,059,638.00389,195,949.00408,037,623.00244,975,987.00297,341,278.00336,134,492.00349,381,887.00210,137,201.00
 单季度营业利润(元) 48,317,438.0074,250,468.0019,216,872.0016,569,473.0045,640,669.0051,844,885.002,536,480.00-65,775,638.0025,706,475.0029,335,915.00-9,228,050.00
 单季度利润总额(元) 47,807,627.0074,766,480.0019,215,167.0016,671,122.0045,646,620.0051,850,736.002,534,941.00-65,374,536.0025,758,769.0029,220,871.00-9,228,050.00
 单季度净利润(元) 44,136,756.0069,852,440.0018,366,532.0015,561,143.0043,228,910.0046,670,926.001,362,532.00-62,433,791.0024,583,747.0027,053,476.00-9,455,212.00
 单季度归属母公司股东的净利润(元) 35,948,457.0057,262,819.0014,462,075.0020,849,920.0034,272,208.0041,295,439.005,245,788.00-21,614,881.0021,609,602.0025,428,568.00-165,159.00
 单季度经营活动产生的现金流量(元) 40,596,471.0014,700,928.00-14,642,124.0088,536,954.0010,466,232.0039,225,715.004,796,950.00-7,604,542.00-44,062,202.0057,559,271.00-34,171,018.00
 单季度投资活动产生的现金流量(元) 64,227,744.00109,743,520.00-143,763,731.0080,303,923.00-36,247,750.004,063,245.00-209,448,659.00140,186,349.00-153,821,955.0045,212,401.00-596,879,297.00
 单季度筹资活动产生的现金流量(元) -229,888,673.00-15,028,522.00-66,109,385.0054,446,737.00-57,959,769.00-29,656,160.00-10,660,095.0013,869,535.00-47,106,248.00-40,466,564.00727,772,263.00
 单季度现金及现金等价物净增加(元) -125,540,431.00109,524,031.00-224,474,118.00222,924,350.00-83,861,975.0014,853,619.00-215,581,243.00146,072,585.00-242,883,075.0065,277,598.0096,505,025.00

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