港华建设 (838248.OC)

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财务摘要(报告期)(港华建设)

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完整财报对比
2024年中报2023年年报2023年中报2022年年报2022年中报
每股指标:
 每股收益 - 基本(元) 0.050.110.020.060.01
 每股收益 - 稀释(元) 0.050.110.020.060.01
 每股收益 - 期末股本摊薄(元) 0.050.110.020.060.01
 每股净资产BPS(元) 2.462.402.312.292.24
 每股经营活动产生的现金流量净额(元) 0.34-0.51-0.360.17-0.33
 每股营业收入(元) 1.072.621.083.701.59
关键比率:
 净资产收益率 - 摊薄(%) 2.224.510.942.740.48
 净资产收益率 - 加权(%) 2.254.620.952.780.49
 净资产收益率 - 平均(%) 2.254.620.952.780.49
 净资产收益率 - 扣除(%) 2.044.721.451.770.17
 总资产净利率 - 平均(%) 1.172.350.491.340.23
 总资产报酬率ROA(%) 1.603.110.682.070.64
 投入资本回报率ROIC(%) 2.344.751.223.350.98
 销售毛利率(%) 16.3217.2918.3110.0112.97
 销售净利率(%) 5.114.112.021.700.68
 资产负债率(%) 46.9848.4347.0149.1152.67
 资产周转率(倍) 0.230.570.240.790.33
 销售商品提供劳务收到的现金/营业收入(%) 123.1287.50100.35111.6786.85
 营业利润同比增长率(%) 56.64124.29165.02-52.82-82.37
 营业收入同比增长率(%) -1.64-29.14-31.73-40.38-40.76
 利润总额同比增长率(%) 219.5565.0029.20-49.99-82.37
 归属母公司股东的净利润同比增长率(%) 150.4072.72101.13-51.53-82.89
 扣非后归属母公司股东的净利润同比增长率(%) 49.77179.09793.55-58.31-93.07
 总资产同比增长率(%) 6.083.41-7.73-8.066.54
 总负债同比增长率(%) 6.001.97-17.64-17.159.38
 净资产同比增长率(%) 6.204.833.292.823.56
利润表摘要:
 营业总收入(元) 56,371,266.36138,720,085.0357,310,793.58195,775,697.2683,941,363.69
 营业总成本(元) 54,085,266.27131,824,663.7953,582,360.57194,474,087.7280,769,277.84
 营业收入(元) 56,371,266.36138,720,085.0357,310,793.58195,775,697.2683,941,363.69
 营业利润(元) 2,900,273.655,982,296.181,851,501.112,667,243.33698,614.44
 利润总额(元) 2,884,232.345,717,994.78902,597.343,465,355.03698,614.70
 净利润(元) 2,880,246.685,698,638.331,154,969.193,324,823.64574,237.31
 归属母公司股东的净利润(元) 2,892,013.985,742,499.611,154,969.193,324,823.64574,237.31
 非经常性损益(元) 239,367.28-266,822.21-616,158.851,171,316.86376,024.07
 归属母公司股东的净利润扣除非经常性损益(元) 2,652,646.706,009,321.821,771,128.042,153,506.78198,213.24
资产负债表摘要:
 流动资产(元) 209,725,841.40210,791,575.93188,764,740.76199,850,558.84212,328,844.34
 固定资产(元) 6,874,407.137,833,653.958,201,456.737,047,615.547,228,101.43
 资产总计(元) 245,283,918.07246,587,489.78231,221,362.44238,461,539.84250,603,982.88
 流动负债(元) 101,427,043.07119,102,953.51108,707,280.25116,779,635.13131,143,317.23
 非流动负债(元) 13,799,194.78307,102.73-322,791.71852,138.98
 负债合计(元) 115,226,237.85119,410,056.24108,707,280.25117,102,426.84131,995,456.21
 股东权益(元) 130,057,680.22127,177,433.54122,514,082.19121,359,113.00118,608,526.67
 归属母公司股东的权益(元) 130,113,308.80127,221,294.82122,514,082.19121,359,113.00118,608,526.67
 资本公积(元) 28,888.0028,888.0028,888.0028,888.0028,888.00
 盈余公积(元) 7,834,964.077,834,964.077,262,329.617,262,329.616,918,362.20
 未分配利润(元) 69,319,456.7366,427,442.7562,292,864.5861,137,895.3958,731,276.47
现金流量表摘要:
 销售商品提供劳务收到的现金(元) 69,403,287.69121,380,678.0257,513,671.94218,622,741.4772,904,349.73
 经营活动产生的现金净流量(元) 18,067,448.93-27,067,523.12-19,001,600.568,769,074.76-17,396,524.99
 购建固定无形长期资产支付的现金(元) -101,699.9751,919.0922,790.0119,772.00
 投资支付的现金(元) 80,000.00----
 投资活动产生的现金净流量(元) -80,000.00-101,699.97-51,919.09-12,464.54-19,772.00
 吸收投资收到的现金(元) -120,000.00---
 取得借款收到的现金(元) 16,000,000.0047,900,000.0019,900,000.0024,500,000.0010,500,000.00
 筹资活动产生的现金净流量(元) -17,573,402.5319,651,671.599,126,347.77-17,784,440.81-1,120,692.51
 现金及现金等价物净增加(元) 414,046.40-7,517,551.50-9,927,171.88-9,027,830.59-18,536,989.50
 期末现金及现金等价物余额(元) 5,848,771.495,434,725.093,949,074.9312,952,276.593,443,117.68
 折旧与摊销(元) 396,256.841,044,803.04537,715.841,093,024.50550,652.59
公告日期 2024-08-082024-04-262023-08-102023-04-262022-08-10
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