万华化学 (600309.SH)

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财务摘要(单季度)(万华化学)

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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) 1.001.001.001.001.001.001.001.001.002.002.00
 单季度销售毛利率(%) 13.0015.0018.0017.0017.0015.0018.0016.0013.0017.0021.00
 单季度销售净利率(%) 7.009.0010.0010.0010.0011.0010.008.008.0011.0013.00
 单季度净资产收益率ROE(%) 3.004.005.005.005.006.005.003.004.007.008.00
 单季度总资产净利率ROA(%) 1.002.002.002.002.002.002.001.002.003.003.00
单季度财务摘要:
 单季度营业总收入(元) 50,536,786,854.0050,906,358,864.0046,161,004,693.0042,806,794,676.0044,927,765,165.0045,687,049,871.0041,939,325,956.0035,145,045,026.0041,301,674,049.0047,334,340,973.0041,784,424,325.00
 单季度营业总成本(元) 46,996,165,983.0046,076,588,630.0040,919,796,699.0038,549,759,267.0039,901,452,510.0040,914,491,071.0037,073,968,523.0032,241,403,666.0037,943,096,168.0041,259,193,489.0035,375,721,002.00
 单季度营业收入(元) 50,536,786,854.0050,906,358,864.0046,161,004,693.0042,806,794,676.0044,927,765,165.0045,687,049,871.0041,939,325,956.0035,145,045,026.0041,301,674,049.0047,334,340,973.0041,784,424,325.00
 单季度营业利润(元) 3,985,805,404.005,200,565,365.005,370,171,800.004,796,517,174.005,316,138,535.005,276,064,384.005,000,467,009.003,304,181,646.003,871,689,398.006,206,834,580.006,455,861,361.00
 单季度利润总额(元) 3,896,080,960.005,151,654,897.005,310,812,077.004,584,416,152.005,266,391,916.005,226,855,857.004,932,207,982.003,108,522,081.003,806,139,447.006,181,480,998.006,444,507,362.00
 单季度净利润(元) 3,328,805,203.004,408,480,273.004,563,358,857.004,443,512,382.004,604,683,421.004,862,933,596.004,388,675,818.002,807,115,011.003,445,237,131.005,267,131,631.005,522,423,077.00
 单季度归属母公司股东的净利润(元) 2,918,951,590.004,016,993,384.004,157,379,176.004,112,572,206.004,134,946,890.004,515,074,925.004,053,161,512.002,625,376,100.003,225,228,467.005,009,026,417.005,373,995,040.00
 单季度经营活动产生的现金流量(元) 9,014,207,502.007,207,608,428.003,083,663,689.009,659,880,990.005,915,057,444.007,054,929,475.004,166,884,643.0016,392,897,187.005,660,574,717.0010,232,599,766.004,050,753,250.00
 单季度投资活动产生的现金流量(元) -10,774,885,257.00-8,967,713,516.00-10,874,041,570.00-13,855,341,248.00-9,714,014,646.00-8,881,765,586.00-12,378,974,381.00-12,028,345,853.00-7,783,082,286.00-8,415,906,080.00-6,097,272,418.00
 单季度筹资活动产生的现金流量(元) 8,137,123,919.003,075,925,216.0017,534,369,952.00-12,311,487,087.0010,613,454,444.00-2,696,896,990.0027,203,989,599.00-21,116,345,411.006,411,605,329.00-10,830,280,731.008,347,480,310.00
 单季度现金及现金等价物净增加(元) 6,272,114,149.001,380,069,994.009,742,183,024.00-16,522,744,686.006,729,296,889.00-4,517,664,961.0018,995,207,705.00-16,606,211,237.004,182,498,073.00-9,001,115,299.006,223,163,833.00

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