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上海浩登资料股份有限公司,上海浩登资料股份有限公司

华夏蓝筹中心基金财务指标剖析

北京科锐股票,北京科锐股票

华夏蓝筹中心基金财务指标

报告期2021-03-31同比改变2020-12-312020-09-302020-06-302020-03-31每股收益5.3475.95%5.158.356.554.75每股净财物2.9515.1%1.728.26.14.55每股本钱公积金2.7595.16%9.27.45.63.8每股未分配赢利1.24.6%8.86.04.21.4每股运营现金流8.68.0%6.24.42.69.8净财物收益率7.02.4%6.64.82.29.4出售毛利率7.68.0%5.23.41.68.8净赢利率6.02.4%4.62.89.07.2财物负债率5.46.8%3.01.338.536.73活动比率1.933.13%1.332.533.731.93速动比率2.133.33%1.532.723.921.12

鱼跃医疗股票,鱼跃医疗股票

华夏蓝筹中心基金运营成绩(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314632.32%680193436065278主经营务赢利69503.52%8622102941196613638管理费用153101.72%16982186542032621998财务费用236702.92%25342270142868630358经营赢利320303.32%934260642785950加:投资收益76221.52%9294109661263814310经营外收入159822.72%17653193252099722669减:经营外开销243411.92%26013276852935731029赢利总额327012.12%1605327749496621减:所得税82933.32%9965116371330914981净赢利166531.52%18423203892156422923

创业板开户买卖?创业板开户买卖

华夏蓝筹中心基金财物负债(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241772.72%25849275212919330865长期投资325373.32%1441311347856457固定财物81291.9%9801114731314514817无形财物164893.33%18161198332150523176财物总计248481.51%26520281922986431536活动负债4401.71%2112378455617546长期负债88003.91%10472121441381615488负债算计171603.11%18832205042217623848股东权益255201.31%27192288643053632208负债及股东权益总计11122.51%2784445661287800

华夏蓝筹中心基金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94723.71%11144128161448816160减:货币资金的期初余额178321.91%19504211762284824520现金等价物的期末余额262962.11%282822953531207111减:现金等价物的期初余额17833.51%3455512767998471现金及现金等价物净添加额101431.71%11815134871515916831

华夏蓝筹中心基金主经营务收入(亿元)华夏蓝筹中心基金主经营务收入(亿元)