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    萃華珠寶(002731)財務分析
    報告日期
    利潤表摘要
    營業收入(萬元)
    營業成本(萬元)
    營業利潤(萬元)
    利潤總額(萬元)
    所得稅費用(萬元)
    凈利潤(萬元)
    基本每股收益
    資產負債表摘要
    貨幣資金(萬元)
    應收賬款(萬元)
    存貨(萬元)
    流動資產合計(萬元)
    固定資產凈額(萬元)
    資產總計(萬元)
    流動負債合計(萬元)
    非流動負債合計(萬元)
    負債合計(萬元)
    所有者權益(或股東權益)合計(萬元)
    現金流量表摘要
    期初現金及現金等價物余額(萬元)
    經營活動產生的現金流量凈額(萬元)
    投資活動產生的現金流量凈額(萬元)
    籌資活動產生的現金流量凈額(萬元)
    現金及現金等價物凈增加額(萬元)
    期末現金及現金等價物余額(萬元)
    2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302012-12-312011-12-31
    89,828368,008260,564134,57658,785210,947161,281113,87666,057227,365175,837109,19363,596269,269190,791127,33362,617274,701194,811128,29854,336221,810186,209145,54686,999299,994237,114166,54087,057330,806241,433179,87694,479367,915273,973282,022243,092
    81,212342,073240,457120,80652,089180,572136,90697,21656,428189,099146,34293,26255,784242,588173,323114,73858,388249,609175,743115,44049,593196,675164,177128,49277,422279,191220,797155,15180,507304,321220,245163,22986,988351,679263,832260,279225,279
    3,3395,8786,0235,0321,7195,6625,4324,4193,2316,5413,782-3,7371,7614,3514,2655,3478117,7465,8655,405-1,4816,7523,2011,199-4867,6526,7984,8973,81512,82911,4675,484-10713,9416,00211,65110,075
    3,3335,2576,0175,0271,7195,5455,3934,4063,2315,7193,593-3,9261,7594,1504,1165,1988108,1186,0075,560-1,4567,3243,4991,442-3218,0816,9904,9993,85613,29312,0105,89530514,8956,97211,66110,310
    4581,9091,4409564702,6982,0911,3931,0242,5571,713-6123721,3551,2881,4443182,4751,6871,702-2082,4521,253542-1032,3461,9871,4011,0443,4452,5821,5215093,7832,5692,9262,598
    2,8753,3484,5774,0711,2502,8473,3033,0132,2073,1621,880-3,3131,3872,7952,8283,7544915,6434,3203,858-1,2484,8732,246900-2185,7365,0033,5982,8129,8479,4284,374-20411,1124,4038,7367,713
    0.110.130.180.160.050.110.140.120.090.150.09-0.120.100.200.210.260.040.420.310.29-0.070.390.170.07-0.010.400.350.250.190.820.830.39-0.020.980.390.770.68
    47,04643,78330,97037,62861,75062,68479,21575,93060,07855,06249,35656,07738,38950,99328,52932,96230,02140,08142,35956,45331,11635,51117,97438,12227,27639,02321,36423,88341,45858,94417,37035,03124,68328,05024,276
    20,05217,48122,05429,12722,79819,57724,07331,38639,04122,97132,61233,47026,15812,58323,22111,43014,03619,38723,83221,66724,27816,00538,44830,87142,90816,96619,66013,52012,1909,8169,6372,1681,156743449
    218,637201,899226,555212,106222,278215,441218,561213,476196,618198,018192,513167,530177,907175,428174,518172,692170,912154,279159,757157,881153,951147,191147,314123,919106,061130,043125,405112,054108,866100,97198,49482,35178,90351,87147,115
    299,609276,055299,931293,296322,858313,227339,754338,197311,417293,199291,150273,151268,389256,563244,441234,467233,117233,281246,642247,724232,945224,567228,827208,360205,856206,182196,766178,744168,746176,416130,904121,319108,940101,23874,216
    --26,807--27,537--28,258--33,303--29,603--30,385--30,48735,36335,60536,00317,24015,87216,08116,29916,53015,58616,73310,9629,8059,6769,7749,8749,9339,91210,00810,2891,1541,299
    344,883323,153343,410337,924365,521356,908384,839384,283358,031340,208339,331322,958316,940305,236291,940282,478281,976262,539276,076277,556263,532255,293259,339239,661231,251228,748217,264198,252207,663195,808150,414141,057124,122105,14380,339
    209,683189,840211,516206,801239,396231,750259,748259,459232,682217,054216,977205,332193,148182,217171,671161,302163,200144,418159,394159,666151,126141,033149,749130,185122,868119,746109,34191,652100,66891,74687,50483,68970,12063,67347,066
    5,9836,9424,3434,0851,5071,7871,7241,7472,6942,7063,1873,6534,3644,9782,1962,1772,2872,1221,8542,3201,9412,5475035315569576106939698489374491,457132308
    215,666196,783215,859210,886240,903233,537261,472261,205235,376219,759220,164208,984197,512187,195173,867163,479165,486146,540161,248161,985153,067143,580150,252130,715123,424120,703109,95192,345101,63792,59488,44084,13871,57763,80547,374
    129,217126,371127,551127,038124,618123,372123,367123,077122,655120,449119,167113,974119,428118,040118,073118,999116,490115,998114,828115,571110,465111,713109,086108,946107,828108,046107,312105,907106,026103,21461,97356,91952,54541,33832,965
    5,2264,6964,7014,6964,70124,09124,09124,09124,09137,66737,66737,66737,66735,85835,85835,85835,85825,57225,57225,57225,57229,97229,97229,97229,97252,72652,72652,72652,72621,45521,45521,45521,45527,89527,89524,27611,535
    2,80711,2204,116-7,74117,95713,69957,84048010,435-21,4019,42314,490-6,0113,5182,3595177,9937,59241,65637,7116,13940,17129,17719,7127,4499,4403,2162,1753,70824,93911,36135,4305,69059,87218,25116,8488,897
    -35-10253114207-2,210-2,525-2,420-201910-1,693-1,573-1,242-17,846-22,365-16,849-21,7498,90714,35614,581-258-12,870-13,265-5,097-11,959-13,690-22,609-21,286-20,151-5,369-5,132-4,999-1,225-476-471-10,100-1,298
    -1,433-10,5887,4238,379-15,462-30,884-71,906-12,583-21,5586,914-26,793-16,968-9,56516,1379,75310,0862,564-6,213-52,724-34,185-10,530-31,700-31,743-10,945-9,190-18,505-16,505-10,51926411,701-16,448-25,855-12,288-65,836-35,077-3,1295,142
    1,33953011,5927522,702-19,395-16,591-14,523-11,324-13,576-19,063-4,051-16,8181,809-10,252-6,246-11,19310,2863,28818,107-4,650-4,400-15,8313,671-13,700-22,754-35,898-29,630-16,18031,271-10,2184,576-7,823-6,440-17,2973,61912,741
    6,5655,22616,2935,4487,4034,6967,5009,56812,76724,09118,60433,61620,84937,66725,60629,61324,66635,85828,86043,67920,92325,57214,14233,64316,27229,97216,82823,09636,54752,72611,23726,03113,63221,45510,59827,89524,276
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