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鞍钢股份(000898)财务分析

报告日期
利润表摘要
营业收入(万元)
营业成本(万元)
营业利润(万元)
利润总额(万元)
所得税费用(万元)
净利润(万元)
基本每股收益
资产负债表摘要
货币资金(万元)
应收账款(万元)
存货(万元)
流动资产合计(万元)
固定资产净额(万元)
资产总计(万元)
流动负债合计(万元)
非流动负债合计(万元)
负债合计(万元)
所有者权益(或股东权益)合计(万元)
现金流量表摘要
期初现金及现金等价物余额(万元)
经营活动产生的现金流量净额(万元)
投资活动产生的现金流量净额(万元)
筹资活动产生的现金流量净额(万元)
现金及现金等价物净增加额(万元)
期末现金及现金等价物余额(万元)
2022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
3,492,70013,667,40010,853,7007,255,1003,187,80010,090,3007,117,1004,465,0002,033,70010,558,7007,762,3005,107,4002,446,30010,515,7007,781,3004,688,2002,151,3008,431,0006,050,6003,905,7001,937,1005,788,2004,103,9002,543,0001,127,4005,275,9004,156,3002,899,2001,496,1007,404,6005,718,6003,817,7001,839,9007,532,9005,616,0003,692,2001,916,8007,774,8005,837,6003,937,8001,889,0009,042,3006,971,6004,633,4002,259,5009,243,1006,793,7004,404,0002,167,3007,012,6004,919,5003,004,2001,563,3007,961,6006,301,5004,016,8001,858,6006,549,9004,943,0003,303,6001,601,7005,433,0003,954,8002,502,4001,207,600
3,239,30012,343,4009,601,7006,382,7002,814,5009,160,5006,470,4004,074,2001,836,2009,678,2007,061,6004,596,2002,245,8008,812,6006,393,0003,906,3001,788,6007,274,3005,309,6003,467,5001,693,7005,018,6003,549,5002,221,7001,048,7004,946,9003,724,5002,540,2001,310,2006,549,0005,068,2003,415,4001,645,0006,692,9004,967,9003,242,3001,654,8007,563,0005,709,5003,832,5001,944,4008,640,6006,470,4004,272,3002,092,0008,269,4005,952,9003,718,2001,873,6006,371,2004,499,8002,898,2001,620,6006,661,1004,670,0002,934,6001,393,7004,834,6003,564,0002,303,8001,120,1004,030,9002,912,9001,865,000974,500
204,800898,500972,500669,100204,700248,200173,30063,90035,900202,500224,000186,20056,6001,008,800868,000469,800210,600552,600338,300188,300108,800159,100110,60027,500-79,200-387,300-99,6008,5001,000156,500142,40077,40032,50066,40063,40057,80051,900-556,300-452,900-281,600-257,700-344,600-2,1005,0003,900225,300322,800358,200146,10078,9009,500-181,100-2,300387,8001,025,800754,200314,9001,045,000926,100684,800347,100966,000750,000440,500157,100
198,800892,000965,600666,900202,900240,300169,20061,80034,500197,200221,000184,60056,0001,000,800862,900465,900210,500548,000334,900186,900110,000162,000115,90030,800-79,000-376,300-89,00016,5002,200157,900141,10081,80037,60072,80070,10063,20051,900-549,600-449,500-277,900-256,500-328,1006,80013,3004,800235,800325,100359,100150,40084,30014,900-175,5001,400384,2001,024,000752,500314,7001,037,300921,500681,000347,800938,100736,900434,800156,800
50,000196,100214,300146,90050,00040,70035,70011,5005,40021,20049,00042,20014,500205,600177,600116,60051,700-13,2005,2003,8002,30050019,2001,100-17,50083,7004001,40040065,50048,90024,1009,000-2,700-4,900-5,600-700-111,600-116,000-69,900-62,900-94,900-5,400-1,10010040,80072,10083,20035,20015,700-18,100-19,20060085,300198,700154,50070,400284,800264,800200,600108,400237,800212,200123,90043,700
148,800695,900751,300520,000152,900199,600133,50050,30029,100176,000172,000142,40041,500795,200685,300349,300158,800561,200329,700183,100107,700161,50096,70029,700-61,500-460,000-89,40015,1001,80092,40092,20057,70028,60075,50075,00068,80052,600-438,000-333,500-208,000-193,600-233,20012,20014,4004,700195,000253,000275,900115,20068,60033,000-156,300800298,900825,300598,000244,300752,500656,700480,400239,400700,300524,700310,900113,100
0.160.740.800.550.160.210.140.050.030.190.180.150.061.100.950.480.220.780.450.250.150.220.140.04-0.09-0.64-0.120.020.000.130.130.080.040.110.110.100.08-0.58-0.44-0.27-0.26-0.300.030.030.010.280.360.380.160.100.05-0.220.000.411.140.830.341.121.110.810.401.110.940.570.23
648,400537,600532,600719,100374,500532,900571,600775,300281,700467,100380,200178,100306,200215,400234,200401,700226,500243,700191,500209,800219,600196,800301,700240,700245,100360,100960,300219,000174,500171,200362,900121,400251,100112,60095,100189,300162,200204,900193,700259,600234,200234,100198,200242,900207,200365,100357,900195,300310,500224,200280,400164,600161,000297,400211,000173,000742,000773,30099,200145,300196,000148,000
217,100188,900233,000261,900271,100259,300222,700194,400279,200256,900337,300287,000270,700246,000--250,400212,700246,300207,800227,600283,800194,200152,800157,900164,300112,300140,100178,800200,400183,500129,600197,700256,000213,400207,500156,800178,700224,700229,300251,600207,900187,900248,400277,100276,700206,100213,900310,900181,200177,000165,20082,50096,200123,500138,900136,700100,90093,200181,200206,200133,70067,600
1,784,3001,896,9001,277,6001,219,6001,347,0001,061,8001,049,9001,048,8001,205,900979,3001,370,6001,411,0001,413,4001,312,5001,347,0001,252,2001,383,8001,164,3001,161,5001,117,9001,164,2001,046,600831,700861,300836,400800,8001,029,9001,033,1001,040,6001,086,5001,192,4001,227,7001,310,4001,235,6001,123,9001,111,9001,065,4001,064,2001,143,2001,276,3001,312,8001,424,2001,475,0001,436,0001,448,9001,313,4001,299,1001,362,4001,185,5001,065,8001,098,000911,700925,4001,037,2001,409,3001,088,000942,100870,100832,600795,300763,000703,600
3,538,8003,242,3002,785,4002,708,5002,514,0002,301,6002,406,2002,564,6002,563,2002,349,2002,608,9002,610,1002,716,5002,690,8002,924,2003,352,7003,263,7002,857,6002,724,9002,573,3003,197,1002,567,6002,477,4002,361,5002,544,6002,359,5003,130,4002,605,3002,524,9002,662,4002,893,3002,826,7003,055,8002,929,9002,884,2002,425,8002,532,5002,698,9003,047,3003,261,2002,693,7002,836,4003,050,1003,135,7002,998,9003,094,4003,174,1002,938,6002,817,6002,429,7002,475,1001,905,9002,103,3001,997,3002,687,1002,590,3003,044,7003,011,5002,094,8001,831,4001,399,0001,126,100
--4,789,500--4,900,800--5,037,200--4,985,800--5,096,600--4,898,900--5,006,4004,873,4004,648,9004,723,6004,800,6004,747,0004,770,2004,829,3004,906,5004,917,7004,979,6005,051,4005,101,4004,543,5004,604,5004,664,5004,612,2004,351,0004,436,6004,516,3004,545,2004,568,4004,654,5004,720,9005,125,7005,121,7005,252,6005,221,2005,356,6005,281,4005,425,2005,556,7005,726,7005,384,8005,430,4005,208,3005,380,5005,318,4004,985,0004,452,0004,325,2003,969,6003,359,5003,159,0003,265,6003,195,0003,232,1003,221,8003,240,000
10,113,7009,752,6009,234,4009,130,1008,935,4008,804,6008,822,9008,983,6009,018,8008,780,8008,964,9008,934,8009,045,7009,002,4009,181,5009,268,6009,214,5008,920,4008,823,5008,753,2009,380,5008,806,9008,789,6008,720,8009,004,4008,859,6009,670,6009,099,8008,977,9009,129,1009,228,1009,128,6009,362,4009,286,5009,234,6008,811,6008,988,50010,123,70010,452,50010,670,90010,177,20010,298,80010,382,60010,470,50010,359,90010,511,40010,589,50010,388,90010,410,20010,098,70010,099,8009,218,7009,360,8009,217,9009,355,5008,982,2008,930,2008,678,6007,212,1006,684,8006,279,5005,838,500
3,445,7003,055,0002,501,0002,539,9002,672,5002,770,2002,792,1003,010,1002,958,3002,934,1003,102,7003,186,6003,233,5003,274,7003,574,3003,425,7003,494,9003,309,8003,420,1003,290,9004,064,2003,678,9003,693,6004,089,9004,458,4004,300,4004,369,0003,536,1003,501,9003,675,1003,730,4003,713,6003,858,1003,780,5003,728,2003,248,8003,627,8004,395,5004,713,7004,629,4003,837,1003,682,3003,405,3003,586,7003,464,5003,640,0003,588,9003,213,1003,791,0003,548,7003,595,5002,991,8002,329,5002,132,3001,708,3002,016,3001,962,9001,997,5002,080,4001,973,0001,871,0001,704,900
505,400678,400664,800757,100720,000648,600689,700716,500773,400591,900605,600522,000521,700481,200476,800634,700521,300572,000590,600797,400678,700599,200631,100232,500239,300191,100563,200720,400612,700634,400677,600665,900766,100797,000793,200855,800670,700905,300809,600986,9001,282,4001,386,0001,499,4001,442,6001,351,9001,336,9001,411,1001,566,9001,125,1001,170,2001,163,6001,215,7001,717,6001,775,3001,810,1001,353,8001,306,2001,255,6001,784,6001,563,2001,156,8001,121,300
3,951,1003,733,4003,165,8003,297,0003,392,5003,418,8003,481,8003,726,6003,731,7003,526,0003,708,3003,708,6003,755,2003,755,9004,051,1004,060,4004,016,2003,881,8004,010,7004,088,3004,742,9004,278,1004,324,7004,322,4004,697,7004,491,5004,932,2004,256,5004,114,6004,309,5004,408,0004,379,5004,624,2004,577,5004,521,4004,104,6004,298,5005,300,8005,523,3005,616,3005,119,5005,068,3004,904,7005,029,3004,816,4004,976,9005,000,0004,780,0004,916,1004,718,9004,759,1004,207,5004,047,1003,907,6003,518,4003,370,1003,269,1003,253,1003,865,0003,536,2003,027,8002,826,200
6,162,6006,019,2006,068,6005,833,1005,542,9005,385,8005,341,1005,257,0005,287,1005,254,8005,256,6005,226,2005,290,5005,246,5005,130,4005,208,2005,198,3005,038,6004,812,8004,664,9004,637,6004,528,8004,464,9004,398,4004,306,7004,368,1004,738,4004,843,3004,863,3004,819,6004,820,1004,749,1004,738,2004,709,0004,713,2004,707,0004,690,0004,822,9004,929,2005,054,6005,057,7005,230,5005,477,9005,441,2005,543,5005,534,5005,589,5005,608,9005,494,1005,379,8005,340,7005,011,2005,313,7005,310,3005,837,1005,612,1005,661,1005,425,5003,347,1003,148,6003,251,7003,012,300
539,800532,900532,900532,900532,900467,100467,100467,100467,100215,400215,400215,400215,400267,000267,000243,700243,700196,800196,800196,800196,800360,100360,100360,100360,100171,200171,200171,200171,200112,600112,600112,600112,600312,300204,900204,900312,300234,100234,100234,100234,100365,100365,100365,100365,100224,200224,200224,200224,200297,400297,400297,400297,400773,300773,300773,300773,300148,000169,800169,800169,80051,50056,20056,20056,200
197,5001,284,6001,012,200863,900190,800991,600608,700477,900-306,4001,002,000634,800376,500200,900829,400774,000190,700-65,800626,800329,00061,00043,700434,900333,900143,900-138,500513,700511,300169,10093,300213,700221,700138,500104,5001,056,3001,173,7001,066,300548,700145,300132,200172,000270,500466,300522,800345,80016,500902,600556,100167,300141,900454,900301,500141,500134,2001,193,800792,300691,400371,800790,600756,500566,000261,0001,101,800755,000532,700299,200
-52,500-417,100-242,000-117,300-34,300-355,200-209,300-128,000-79,200-326,600-253,200-158,800-79,900-388,200-283,500-82,400-42,000-134,500-63,600-66,500-80,200-55,000-22,00013,800-18,600-272,800-224,600-154,900-60,700-442,500-278,500-137,800-57,700-259,000-71,10016,100-87,200-275,200-220,300-153,000-99,400-554,600-431,800-308,900-116,300-475,000-336,200-209,400-136,100-521,300-338,000-341,300-210,800-1,555,400-1,284,000-963,900-360,500-1,795,900-1,198,700-669,200-313,000-1,210,100-344,700-194,600-31,800
-36,400-862,800-770,500-560,400-314,900-570,600-295,000-41,700200,200-423,700-216,800-255,000-30,200-494,300-524,80048,20090,600-445,400-270,70018,50059,300-541,300-368,400-275,20044,000-51,600502,80033,900-29,000287,400307,2008,10091,700-997,000-1,212,400-1,098,000-611,600100,70047,7006,500-171,000-42,700-257,900-159,100-58,100-286,700-86,20013,20080,500-6,80019,50067,000-59,800-114,300-70,600-327,800-42,6001,632,900371,60079,00078,200204,800-306,300-238,000-127,900
108,6004,700-300186,200-158,40065,800104,400308,200-185,400251,700164,800-37,30090,800-51,600-32,800158,000-17,20046,900-5,30013,00022,800-163,300-58,400-119,400-115,000188,900789,10047,8003,30058,600250,3008,800138,500-199,700-109,800-15,600-150,100-29,200-40,40025,500100-131,000-166,900-122,200-157,900140,900133,700-28,90086,300-73,200-17,000-132,800-136,400-475,900-562,300-600,300-31,300625,300-70,600-24,50026,20096,500102,10097,700140,700
648,400537,600532,600719,100374,500532,900571,500775,300281,700467,100380,200178,100306,200215,400234,200401,700226,500243,700191,500209,800219,600196,800301,700240,700245,100360,100960,300219,000174,500171,200362,900121,400251,100112,60095,100189,300162,200204,900193,700259,600234,200234,100198,200242,900207,200365,100357,900195,300310,500224,200280,400164,600161,000297,400211,000173,000742,000773,30099,200145,300196,000148,000158,300153,900196,900
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