基金070012最资金流向,基金070012千股千评,最新消息股本结构公司高管等资讯!想了解更多关于基金070012资讯的信息请重视咱们的站。

上市开放式基金,上市开放式基金

基金070012财务指标剖析

数米网每日基金净值,数米网每日基金净值

基金070012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8.80.2%8.42.69.88.99每股净财物6.1939.59%4.791.998.196.39每股本钱公积金4.5777.97%2.179.387.785.98每股未分配赢利3.1838.58%1.788.986.184.38每股运营现金流2.5878.98%9.187.365.574.77净财物收益率2.9717.37%9.777.975.173.37出售毛利率1.5777.97%7.172.377.587.68净赢利率1.80.2%8.46.64.82.0财物负债率9.24.8%7.05.23.42.6活动比率1.83.0%1.22.43.61.8速动比率2.03.2%1.42.62.22.85

乐视控股?乐视控股

基金070012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20632.2%4049530369758647主经营务赢利103192.4%11991136631533517007管理费用186792.8%20351220232369525367财务费用270392.0%287113038332055959经营赢利26303.2%4302597476469318加:投资收益109901.4%12662143341600617678经营外收入193503.6%21022226942436626038减:经营外开销277101.8%2938231054327261630赢利总额34002.0%5366654179009154减:所得税108263.2%12498141701584217514净赢利191861.4%20858225302420225874

美股开市时刻?美股开市时刻

基金070012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275462.6%2921830890325621466长期投资31383.8%4810648281539825固定财物114971.0%13169148411651318185无形财物198572.2%21529232012487326545财物总计282173.4%29889315614652137活动负债38091.55%54817258924310497长期负债121692.75%13841155131718518857负债算计205293.95%22201238732554527217股东权益288891.15%305613223311372809负债及股东权益总计44812.35%61537825949711169

基金070012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128413.55%14512161841785619528减:货币资金的期初余额212001.95%22977249622621627888现金等价物的期末余额295602.15%3123213618083480减:现金等价物的期初余额51523.35%682484961016811840现金及现金等价物净添加额135122.55%15184168561852820200

基金070012主经营务收入(亿元)基金070012主经营务收入(亿元)