欧派家居 (603833.SH)

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财务摘要(单季度)(欧派家居)

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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) 2.001.00-1.002.002.00-1.002.001.00-
 单季度销售毛利率(%) 40.0034.0030.0035.0038.0034.0027.0030.0033.0034.0028.00
 单季度销售净利率(%) 20.0016.006.0012.0018.0016.004.0011.0015.0014.006.00
 单季度净资产收益率ROE(%) 6.004.001.004.007.006.001.004.006.005.002.00
 单季度总资产净利率ROA(%) 3.002.001.002.004.003.001.002.004.003.001.00
单季度财务摘要:
 单季度营业总收入(元) 5,295,839,423.004,961,556,604.003,621,317,004.006,217,541,457.006,721,108,998.006,273,107,444.003,570,331,968.006,210,792,898.006,575,349,523.005,549,128,459.004,144,232,595.00
 单季度营业总成本(元) 4,049,738,346.004,291,398,177.003,444,023,960.005,396,830,843.005,380,289,515.005,176,562,850.003,413,175,858.005,409,091,498.005,479,350,672.004,677,382,143.003,866,855,470.00
 单季度营业收入(元) 5,295,839,423.004,961,556,604.003,621,317,004.006,217,541,457.006,721,108,998.006,273,107,444.003,570,331,968.006,210,792,898.006,575,349,523.005,549,128,459.004,144,232,595.00
 单季度营业利润(元) 1,231,685,275.00889,153,279.00260,949,884.00835,965,146.001,369,693,088.001,134,362,935.00172,738,108.00750,893,100.001,124,753,682.00884,923,058.00295,501,068.00
 单季度利润总额(元) 1,220,468,434.00900,897,487.00260,510,282.00839,890,238.001,377,916,209.001,141,715,017.00177,126,881.00751,707,914.001,130,493,240.00885,799,592.00299,684,154.00
 单季度净利润(元) 1,042,375,840.00774,434,197.00218,369,049.00723,306,627.001,176,477,988.00977,353,013.00148,299,869.00694,897,338.00970,954,120.00764,882,107.00251,779,499.00
 单季度归属母公司股东的净利润(元) 1,041,173,496.00771,737,501.00217,941,310.00725,896,433.001,177,244,117.00980,119,539.00152,409,603.00697,957,041.00972,190,528.00765,145,239.00253,132,676.00
 单季度经营活动产生的现金流量(元) 1,450,721,483.001,701,458,363.00-451,597,588.001,119,788,747.001,680,493,892.001,340,792,842.00736,990,155.00446,122,444.001,021,443,444.001,266,097,135.00-323,902,855.00
 单季度投资活动产生的现金流量(元) -548,678,858.00-67,466,874.00-3,030,748,915.00-1,142,255,970.00-4,478,207,893.001,677,243,919.00-721,142,438.00-1,980,376,498.00-3,480,949,600.00-2,038,868,831.00354,020,176.00
 单季度筹资活动产生的现金流量(元) -2,663,857,869.00-459,660,773.002,061,710,418.00-627,645,213.00247,338,615.00272,943,538.00847,948,332.00-318,567,742.001,419,333,422.0017,342,374.001,867,208,120.00
 单季度现金及现金等价物净增加(元) -1,762,752,088.001,164,335,667.00-1,420,322,184.00-625,974,878.00-2,554,462,453.003,304,867,141.00869,571,036.00-1,762,508,520.00-1,069,460,603.00-778,124,410.001,898,706,190.00

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