000729千股千评最资金流向,000729千股千评千股千评,最新消息股本结构公司高管等资讯!想了解更多关于000729千股千评资讯的信息请重视咱们的站。

湖北兴发化工集团股份有限公司,湖北兴发化工集团股份有限公司

000729千股千评财务指标剖析

打新股鑫东财配资,打新股鑫东财配资

000729千股千评财务指标

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31每股收益1.24.6%4.82.09.27.4每股净财物5.573.93%3.131.338.536.73每股本钱公积金3.1333.53%1.738.936.134.34每股未分配赢利2.5474.92%9.127.325.523.72每股运营现金流2.9212.32%9.527.725.923.33净财物收益率1.5373.93%8.136.334.532.71出售毛利率9.9111.31%7.515.713.911.11净赢利率8.3242.6%6.84.22.41.6财物负债率8.80.2%6.44.62.89.0活动比率3.21.4%2.63.81.02.2速动比率3.41.6%2.83.01.42.6

121006基金,121006基金

000729千股千评运营成绩(万元)

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31主经营务收入105693.8%12241139131558517257主经营务赢利189292.0%20601222732394525617管理费用272893.2%2896130633323051209财务费用28811.4%4553622578979569经营赢利112411.6%12912145841625617928加:投资收益196002.8%21272229442461626288经营外收入279603.0%29632313042081880减:经营外开销35521.2%52246896856810240赢利总额119122.4%13584152561692818600减:所得税202723.6%21944236162528826960净赢利286321.8%30304319768802552

蓝鼎控股?蓝鼎控股

000729千股千评财物负债(万元)

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31活动财物42243.0%58967568924010912长期投资125843.2%14256159281760019271固定财物209431.4%22615242872595927631无形财物293032.6%309753264715513223财物总计48953.8%65678239991111583活动负债132551.0%14927165991827119943长期负债216152.4%23287249592663128303负债算计299753.51%3164755122233895股东权益56711.79%765789111058312255负债及股东权益总计139273.99%15599172711894320615

000729千股千评现金及现金等价物净添加状况(万元)

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31货币资金的期末余额222871.19%23958256302730228974减:货币资金的期初余额306462.39%32318122228944566现金等价物的期末余额62383.59%791095821125412926减:现金等价物的期初余额145981.79%16270179421961421286现金及现金等价物净添加额229582.99%24630263022797429646

000729千股千评主经营务收入(亿元)000729千股千评主经营务收入(亿元)