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浙江东方股票怎么样(金圆股份是做什么的)

KMAEC 2022-07-04 10:11:11 681 7条评论

中欧滚动基金-社会福利基金

浙江东方股票怎么样(金圆股份是做什么的)2021年11月19日发(作者:屠倬)

金圆股份2021年一季度财务分析报告一、上市公司基本信息机构简介:公司前身系吉林省轻工业进出口公司,1992年7月始进行股份制改组,定向募集8000万股股票,经9年11月首次发行公众股,上市时总股份万股;职工股1560.1万股于1994年10月日上市。主营业务:水泥和环保业务。经营范围:工业固体废弃物及危险废弃物收集、贮存、处置及综合利用项目的建设及运营;水泥及辅料、水泥制品生产、销售;建筑材料制作及技术服务;投资建设城市基础设施,投资环保、水泥、商砼、建材、公路运输相关业务。(依法须经批准的项目,经相关部门批准后方可开展经营活动)二、财务报表分析(一)利润数据2021-0-1营业总收入(元)营业收入(元)营业总成本(元)营业成本(元)营业税金及附加(元)销售费用(元)管理费用(元)财务费用(元)公允价值变动收益(元)投资收益(元)营业利润(元)营业外收入(元)营业外支出(元)利润总额(元)所得税费用(元)净利润(元)归属于母公司股东的净利润(元)少数股东损益(元)基本每股收益(元)1,547,670,522.71,547,670,522.71,618,870,52.861,507,818,851.12,998,905.999,501,757.9659,052,808.4721,419,966.02-606,650.0-14,96,51.01-9,12,56.758,765,545.41,844,070.57-2,91,061.984,269,09.64-6,660,155.62-19,092,420.98-17,567,74.-12--09-02020-06-02020-0-1798,079,66.798,079,66.892,752,984.7776,084,22.646,214,601.017,004,56.52,58,709.961,718,19.9819,201,920.015,060,068.44-50,651,076.779,442,601.281,96,108.85-4,171,584.4762,954.61-4,94,58.95-2,05,195.-20,881,4.62-0.02同比9.92%9.92%81.%94.29%109.17%-44.12%12.79%-2.47%-10.16%-199.18%-22.9%-7.17%-6.06%-24.97%459.55%-16.56%-17.18%-15.87%-17.4%环比-41.94%-41.94%-5.62%-1.8%-49.18%-29.89%-12.12%-5.81%-96.77%-18.18%-178.65%-8.07%-95.48%-15.12%-184.4%-155.52%-128.76%4970.46%-10.00%2,665,765,697.762,754,561,656.612,45,081,596.962,665,765,697.762,754,561,656.612,45,081,596.962,514,456,686.052,590,406,706.492,246,09,61.262,197,427,66.422,70,919,246.762,050,888,662.9825,579,844.221,551,712.667,200,294.9422,741,70.11-18,786,02.2524,2,76.1540,14,929.0179,668,148.098,814,695.572,598,70.02,227,011.5541,20,829.9452,95,707.749,595,972.56-6,701,920.0-18,254,75.6-56,685,444.82-6,447,054.749,98,07.,612,412.,261,718.4451,761,862.880,482,900.2448,985,594.4240,770,7.822,184,119.211,547,767.6660,974,526.,911,19.,699,545.2-5,061,919.0954,780,810.672,798,886.8566,06,445.,10,8.224,900,658.566,82,917.8921,925,720.8217,217,42.48-46,472.1112,204,662.490.,68,15.870.04-0.02670.00001

2021-0-1稀释每股收益(元)其他综合收益(元)综合收益总额(元)归属于母公司所有者的综合收益总额(元)归属于少数股东的综合收益总额(元)2020-12--09-00.2991,00.-06-00.04,644.-0-1-0.0249,486.08-4,585,052.87-22,808,555.08同比-17.4%-85.74%-16.00%-16.45%环比-10.00%-19.11%-155.55%-128.75%-0.02670.,824.25-6,610,1.7-19,057,544.01-127,405.7265,909,040.06226,11,41.5924,904,02.5966,29,7.8921,926,442.02217,219,89.45-17,552,787.6-84,69.812,204,971.5717,684,409.14-20,776,497.79-15.52%4462.79% 利润分析:2021年一季度利润总额为-29.11万元,与2020年一季度的-417.16万元相比,增长-24.97%;环比2020年四季度的6097.45万元相比,增长-15.12%,利润总额主要来源于主营业务。(二)现金流数据2021-0--12--09-02020-06-02020-0-1同比90.18%167.01%-0.52%87.77%8.2%7.2%环比.02%-81.04%-86.48%-9.18%-1.61%-.0%销售商品、提供劳2,10,880,45.882,042,294,77.29,085,242,684.42,151,960,91.481,106,28,820.64务收到的现金(元)5,042,662.1收到的税费返还(元)1,464,85.7671,029,768.5978,566,914.8818,652,279.85收到其他与经营活4,619,296.0256,05,24.7-2,726,05.257,111,875.524,799,79.15动有关的现金(元)经营活动现金流入2,151,964,117.642,69,77,740.58,161,08,56.992,227,725,068.851,146,080,861.89小计(元)购买商品、接受劳1,759,404,102.41,788,185,89.212,501,680,801.811,772,0,512.,729,087.务支付的现金(元)支付给职工以及为72,65,844.0975,11,64.179,6,959.0174,90,201.9167,699,891.85职工支付的现金(元)

2021-0-1支付其他与经营活动有关的现金(元)2020-12--09-078,567,18.-06-0-10,50,79.-0-16,761,054.6482,641,49.7支付的各项税费(元)152,952,48.,894,919.7525,181,228.,812,169.182,808,278.,998,46.4同比19.88%-60.0%71.90%-58.40%1.51%环比-41.82%-79.24%-11.66%57.51%.98%经营活动现金流出2,017,818,662.782,284,210,415.612,894,79,127.871,988,542,14.621,17,81,527.52小计(元)经营活动产生的现金流量净额(元)收回投资收到的现金(元)处置固定资产、无形资产和其他长期资产收回的现金净额(元)投资活动现金流入小计(元)购建固定资产、无形资产和其他长期资产支付的现金(元)投资支付的现金(元)投资活动现金流出小计(元)投资活动产生的现金流量净额(元)取得借款收到的现金(元)收到其他与筹资活动有关的现金(元)筹资活动现金流入小计(元)偿还债务支付的现金(元)分配股利、利润或偿付利息支付的现金(元)支付其他与筹资活动有关的现金(元)筹资活动现金流出小计(元)筹资活动产生的现金流量净额(元)汇率变动对现金及现金等价物的影响现金及现金等价物净增加额期初现金及现金等价物余额(元)期末现金及现金等价物余额(元)14,145,454.8647,959,629.085,167,24.,290,46.1229,182,925.2429,285.00.0-11,226,109.1-27,750,665.647,24,951.17,696.84,474,1.0550,700.0488,859.055,162.0-86.05%-99.98%51,887,25.886,279,687.9776,740,998.578,911,851.819,279,090.1840,961,788.4984,40.,094,459.124,128,894.98-4,205,04.487,870,152.67-40.95%-19.70%97.55%11.15%89.01%-54.16%66.69%-15.82%-21.58%-5.74%260.0%-11.47%-42.91%265.88%-20.70%-20.5%2.07%.5%-7.50%87.5%-20.94%-.57%-66.97%-14.14%-52.16%-50.8%-4.14%-67.66%-54.06%-20.46%-100.1%-29.42%-12.24%19.44%7,249,208.9107,442,466.9427,614,046.88,845,672.016,020,686.,198,828.844,188,12.,48,566.,667,828.5-111,1,60.74-167,286,977.0-42,20,78.02-07,688,609.,500,000.0549,485,000.0206,00,000.0824,925,000.0-58,797,675.8695,900,000.040,000,000.047,57,000.0186,674,485.,411,772.6124,712,57.255,194,906.8968,174,485.,599,772.6154,562,57.21,18,619,906.,21,726.,285,495.4416,072,85.4528,66,875.1856,777,801.5250,6,749.8229,769,952.,225,267.116,544,226.5178,112,444.4944,567,408.4115,770,117.1175,59,648.816,166,069.,52,770.71,646,40.4726,188,89.,008,876.071,000,861,482.76,881,752.054,528,081.78,08.257,54,484.14,410,878.65-2,566,182.47-47,446,518.,758,424.59-278.170.060,475,247..92-26,072,972.62-41,274,955.88-12,60,14.,252,740.,956,818.77,21,774.,591,918.4946,9,178.2172,412,150.85,500,02.8295,956,818.77,21,774.,591,918.4946,9,178.21现金流分析:2021年一季度期末现金及现金等价物余额为550.0万元,与2020年一季度的46.92万元相比,增长2.07%;环比2020年四季度的.68万元相比,增长19.44%。(三)资产负债数据2021-0-1货币资金(元)2020-12--09-02020-06-02020-0-1同比8.17%环比16.9%654,21,84.9562,094,755.,426,54.2758,856,918.,84,178.21

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