新华保险 (601336.SH)

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财务摘要(单季度)(新华保险)

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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) 3.002.002.00--1.002.001.00-1.00-
 单季度销售净利率(%) 19.0021.0019.00-9.00-3.0015.0024.0011.00-8.002.00
 单季度净资产收益率ROE(%) 11.007.005.00-1.00-3.006.005.00-4.001.00
 单季度总资产净利率ROA(%) 1.00-----1.00----
单季度财务摘要:
 单季度营业总收入(元) 51,365,000,000.0029,112,000,000.0026,479,000,000.009,692,000,000.0012,912,000,000.0019,938,000,000.0029,005,000,000.0043,141,000,000.0046,383,000,000.0049,832,000,000.0074,963,000,000.00
 单季度营业总成本(元) 40,002,000,000.0022,312,000,000.0021,326,000,000.0012,859,000,000.0014,936,000,000.0017,251,000,000.0020,957,000,000.0040,071,000,000.0047,496,000,000.0045,934,000,000.0074,303,000,000.00
 单季度营业收入(元) 51,365,000,000.0029,112,000,000.0026,479,000,000.009,692,000,000.0012,912,000,000.0019,938,000,000.0029,005,000,000.0043,141,000,000.0046,383,000,000.0049,832,000,000.0074,963,000,000.00
 单季度营业利润(元) 11,363,000,000.006,800,000,000.005,153,000,000.00-3,167,000,000.00-2,024,000,000.002,687,000,000.008,048,000,000.003,070,000,000.00-1,113,000,000.003,898,000,000.00660,000,000.00
 单季度利润总额(元) 11,353,000,000.006,786,000,000.005,142,000,000.00-3,170,000,000.00-2,031,000,000.002,671,000,000.008,045,000,000.003,104,000,000.00-1,140,000,000.003,890,000,000.00653,000,000.00
 单季度净利润(元) 9,598,000,000.006,142,000,000.004,943,000,000.00-828,000,000.00-436,000,000.003,062,000,000.006,918,000,000.004,634,000,000.003,000,000.003,844,000,000.001,345,000,000.00
 单季度归属母公司股东的净利润(元) 9,597,000,000.006,141,000,000.004,942,000,000.00-830,000,000.00-436,000,000.003,061,000,000.006,917,000,000.004,632,000,000.003,000,000.003,843,000,000.001,344,000,000.00
 单季度经营活动产生的现金流量(元) 27,681,000,000.0023,449,000,000.0037,658,000,000.0011,937,000,000.0014,103,000,000.0027,275,000,000.0038,233,000,000.0015,076,000,000.0017,038,000,000.0021,122,000,000.0036,149,000,000.00
 单季度投资活动产生的现金流量(元) -135,338,000,000.00-40,281,000,000.008,262,000,000.00-32,825,000,000.00-47,128,000,000.00-22,552,000,000.00-54,144,000,000.00-29,977,000,000.00-11,570,000,000.00-30,513,000,000.00-18,410,000,000.00
 单季度筹资活动产生的现金流量(元) 105,138,000,000.0017,478,000,000.00-42,439,000,000.0025,733,000,000.0031,413,000,000.00-7,130,000,000.0019,270,000,000.0021,155,000,000.00-12,100,000,000.009,489,000,000.00-15,705,000,000.00
 单季度现金及现金等价物净增加(元) -2,544,000,000.00636,000,000.003,567,000,000.004,805,000,000.00-1,603,000,000.00-2,380,000,000.003,380,000,000.006,115,000,000.00-6,342,000,000.00346,000,000.002,008,000,000.00

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