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 首页 > 主力数据 > 经营分析 >华夏银行600015业绩报表分析

华夏银行(600015) 主要财务报表分析指标

净利润
主营收
每股收益
报告日期
基本每股收益(元)
每股净资产(元)
每股经营活动产生的现金流量净额(元)
主营业务收入(万元)
主营业务利润(万元)
营业利润(万元)
投资收益(万元)
营业外收支净额(万元)
利润总额(万元)
净利润(万元)
净利润(扣除非经常性损益后)(万元)
经营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)
总资产(万元)
流动资产(万元)
总负债(万元)
流动负债(万元)
股东权益不含少数股东权益(万元)
净资产收益率加权(%)
2022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302005-03-312004-12-312004-09-302004-06-302004-03-312003-12-312003-09-302003-06-302002-12-312001-12-312000-12-31
0.920.560.301.350.870.530.291.200.740.430.261.370.940.630.241.561.070.720.291.481.040.700.341.841.370.920.411.771.300.870.462.021.480.970.421.741.250.820.431.871.340.890.341.481.090.760.341.200.910.600.260.750.530.330.140.700.740.460.200.500.390.240.11----0.18--0.31--0.150.070.24------0.29----0.32----
16.0315.6615.7615.4915.0114.6114.6514.3413.8713.6513.8313.4913.0912.7812.5612.8112.5512.1811.8711.5511.1610.8212.6812.3712.0111.5413.2911.0110.5010.4011.8311.3910.8110.2710.079.599.209.2211.3710.9010.3910.019.689.338.908.597.457.116.856.546.336.065.835.645.615.493.753.453.303.113.012.862.852.772.682.562.582.492.452.342.362.292.23--2.542.462.781.60--0.84--
1.924.542.554.625.82-0.18-1.302.262.581.840.285.147.9110.513.12-6.56-8.40-8.52-4.79-6.85-7.85-3.090.7013.096.836.92-9.550.157.13-1.53-2.941.45-5.06-11.04-6.089.072.5810.89-2.2713.859.232.00-1.0811.543.16-1.10-0.304.66-3.83-2.510.06-8.031.52-13.44-12.529.99-1.252.36-0.84-6.13-8.52-5.28-7.809.02--3.48---1.57---2.71--3.950.00--0.00-2.350.00--------
7,296,3004,845,2002,400,0009,587,0007,249,3004,811,3002,361,1009,530,9007,065,9004,758,1002,359,4008,473,4006,187,9003,979,7001,950,9007,222,7005,062,3003,287,6001,590,5006,638,4005,007,2003,334,8001,633,1006,402,5004,759,5003,120,5001,511,9005,884,4004,317,2002,832,8001,287,6005,488,5004,081,9002,637,7001,226,2004,521,9003,336,5002,220,7001,063,8563,977,6952,937,2291,945,218903,6743,354,3802,457,7241,586,642739,9422,447,8891,771,8821,156,128560,1111,712,9631,230,442774,243361,8391,761,1371,318,165872,451434,8681,426,0281,021,761654,188315,3091,007,0481,293,914822,887404,5061,379,447995,576640,748300,0731,082,680778,794500,455233,316847,882601,419383,573622,461532,992372,377
2,294,4001,548,100753,2003,153,8002,166,5001,481,900706,3002,715,1001,851,4001,204,700646,4002,749,7001,972,7001,344,400603,7002,668,8001,916,1001,316,600605,6002,611,7001,905,0001,315,100604,1002,611,9001,949,9001,312,800593,9002,493,4001,858,7001,238,600552,7002,389,1001,750,0001,150,100497,8002,066,0001,482,000973,100398,8321,720,1141,222,144807,630315,7041,252,351869,450567,079227,486802,784602,556401,379173,917481,126344,652214,49286,998403,389386,535268,555116,737385,577278,067177,54475,202257,045215,794127,29963,004218,427177,934103,93655,847181,744141,33587,70446,731152,849119,43374,281127,544121,46059,040
2,294,4001,548,100753,2003,153,8002,166,5001,481,900706,3002,715,1001,851,4001,204,700646,4002,749,7001,972,7001,344,400603,7002,668,8001,916,1001,316,600605,6002,611,7001,905,0001,315,100604,1002,611,9001,949,9001,312,800593,9002,493,4001,858,7001,238,600552,7002,389,1001,750,0001,150,100497,8002,066,0001,482,000973,100398,8321,720,1141,222,144807,630315,7041,252,351869,450567,079227,486802,784602,556401,379173,917481,126344,652214,49286,998403,389386,535268,555116,737385,577278,067177,54475,202257,045215,794127,29963,004218,427177,934103,93655,847181,744141,33587,70446,731152,849119,43374,281127,544121,46059,040
445,500276,700155,200406,800287,800167,60072,300187,000159,600121,10048,000123,10084,60051,90033,000406,800166,60029,600-1,000-152,70030014,30070071,70014,70033,5008,50012,200-24,100-27,500-23,90058,00044,70032,60021,000-11,6001,2001,000772-1,7465,419-8851,278-2,205-6,993-7,732-598-1,920126277,99810,130217,340153,23985,669294,975217,195142,78170,573242,577181,576127,33771,569224,512161,994103,83651,019169,265121,82078,30037,332132,75195,12656,94127,263120,87486,82658,27688,88557,63036,401
2,9002,2001,400-4,500-900-6,8001,8002001,7001,300-2,4006,6001,1002,9003,7009,5003,8003,80090013,6005,7003,0001,80012,4008,5004,1001,10027,1005,1003,0001,30011,20011,9009,9001,2004,5001,7007006385,0341,7571,69433538942612461-1,989-417-1791731,632-876315303-2,735---2,860-1,479-3,497-10,496-10,726-3,230-15,922-24,579-16,052-6,999-18,154-12,907-8,304-3,947-15,676-11,836-7,808-3,678-15,329-10,097-7,299-12,420-11,817-200
2,297,3001,550,300754,6003,149,3002,165,6001,475,100708,1002,715,3001,853,1001,206,000644,0002,756,3001,973,8001,347,300607,4002,678,3001,919,9001,320,400606,5002,625,3001,910,7001,318,100605,9002,624,3001,958,4001,316,900595,0002,520,5001,863,8001,241,600554,0002,400,3001,761,9001,160,000499,0002,070,5001,483,700973,800399,4701,725,1481,223,901809,324316,0391,252,740869,876567,203227,547800,795602,139401,201174,090482,759343,776214,80787,301400,654383,626265,694115,258382,079267,571166,81871,972241,123191,215111,24756,006200,273165,02795,63151,900166,068129,49979,89543,052137,520109,33666,981115,124109,64358,839
1,707,6001,153,000562,6002,353,5001,619,5001,098,000535,5002,127,5001,412,000933,700484,0002,190,5001,524,4001,054,300460,4002,085,4001,451,3001,003,500454,9001,981,9001,422,700983,600449,9001,967,7001,461,700982,600443,1001,888,3001,391,200926,300413,6001,798,1001,317,700867,000372,2001,550,6001,113,000730,000295,0121,279,628918,039607,524235,125922,193653,839426,742170,775598,958452,726300,754130,663376,023264,252166,55970,213307,084310,635192,79382,161210,119163,218101,00245,537145,704126,56574,53637,524128,868110,56863,98431,207101,69279,11549,53526,69280,15966,08439,51970,55364,02638,356
1,705,1001,150,300560,9002,357,7001,624,0001,106,600535,0002,130,0001,412,100933,500486,0002,185,6001,523,2001,050,500457,7002,080,7001,449,8001,001,000454,3001,973,7001,419,100981,900448,7001,959,3001,455,600979,600442,3001,869,2001,387,700924,300412,8001,791,2001,309,600859,900371,4001,547,7001,111,700729,500--1,272,821--592,133--925,458--432,498--599,953--300,246--369,809--163,9120306,0300194,960--210,233--111,1690158,578--85,477--144,647--69,652--111,9500--094,5820--------
2,953,4006,978,9003,919,9007,101,5008,958,400-275,500-1,997,3003,475,9003,970,6002,831,700425,6007,908,20012,173,50016,170,7004,800,200-10,093,500-10,775,000-10,922,700-6,140,600-8,782,800-10,068,000-3,968,000748,90013,991,2007,296,1007,390,500-10,200,400160,6007,623,300-1,639,000-2,620,3001,288,200-4,507,000-9,832,600-5,417,4008,073,1002,300,5009,696,700-1,554,6359,484,3946,324,0141,372,386-738,5787,902,7152,162,652-751,207-149,4132,327,534-1,910,816-1,252,28927,534-4,007,136756,183-6,709,103-6,246,9364,986,663-527,045992,571-352,029-2,572,857-3,578,029-2,217,122-3,274,5993,789,3741,023,5071,462,411497,679-658,616-287,308-1,140,128-1,548,2421,660,241-561,883---602,570-823,045-2,545,430-1,658,1822,207,528----
-994,800334,2002,915,300-2,273,500566,300-2,623,000-3,268,900469,700-1,981,500-2,772,600-2,863,9002,646,3006,864,10010,361,900-962,400-4,398,700-5,545,500-3,440,200-366,600-14,921,400-14,316,400-4,803,300-137,300-7,156,300-5,998,000-139,200-1,577,60011,074,0004,722,6001,359,000-4,052,300388,100-5,341,000-9,441,000-4,058,2007,118,2002,174,7009,916,700-1,872,4861,929,807606,006-2,357,873-2,571,6814,743,5091,429,922-500,015-27,5441,944,214-2,535,718-1,571,635316,859-3,329,0991,085,164-5,471,765-4,773,5083,921,065-1,187,691443,597-1,745,847275,003-814,796-453,963-1,964,8492,517,162-31,974811,1360-2,625,162-1,759,737-1,746,589-1,929,0501,285,014-1,052,684---705,957-337,871-2,152,390-1,517,235262,786----
384,202,800384,363,500382,468,500367,628,700354,926,500351,763,600347,036,500339,981,600333,164,200326,561,500310,899,800302,078,900302,171,000302,269,400279,362,200268,058,000261,299,100256,721,900254,408,000250,892,700244,578,900242,309,800239,905,500235,623,500227,372,300225,054,500209,445,700202,060,400195,011,500191,723,200182,108,400185,162,800178,409,200177,856,000173,419,300167,244,700155,180,900150,715,200151,906,137148,886,006144,644,192135,451,513125,006,399124,414,118107,977,816114,076,849112,244,256104,023,044101,079,06694,169,57589,150,99584,545,64382,363,16780,053,03875,772,71373,163,71965,262,33662,814,61059,796,80459,233,82752,961,92948,102,12642,411,28544,505,34239,719,99739,168,40736,237,06735,612,84233,349,17032,393,69829,841,97930,432,57427,615,341--24,113,86024,682,87921,706,66820,365,39017,814,64913,504,9679,983,324
------------------------------------------------------------------------------------------0--00--------00000--0--00--------23,598,90822,194,65722,043,53220,044,26321,236,59218,598,686--16,706,77817,661,27014,791,80813,224,94012,650,42810,212,5167,891,482
353,264,500354,012,200351,973,700337,558,500325,608,100323,057,500318,285,400311,716,100305,630,600299,375,100283,432,000275,145,200275,866,500276,451,400257,887,600246,186,500243,053,700238,954,700237,035,400233,942,900228,181,500226,348,500224,272,700220,326,200212,464,100210,643,800195,166,400190,221,600183,724,400180,543,400171,507,500174,952,900168,719,000168,648,200164,389,300158,642,800146,927,700142,448,500144,115,666141,413,744137,525,239128,590,192118,374,587118,021,106101,883,369108,196,298108,523,979100,473,45697,661,46290,903,28785,992,22581,522,22579,451,24377,237,25072,975,26070,421,58363,686,70761,366,42158,411,70057,928,26551,698,96246,900,64141,214,44443,341,06338,595,28938,094,16335,152,49634,567,54132,321,91731,410,81428,849,87229,471,67426,677,019--23,224,45923,820,17120,734,48519,965,73417,454,51313,295,3839,837,766
------------------------------------------------------------------------------------------0--00--------00000--0--00--------28,328,37626,069,79025,095,20822,833,45823,504,99021,478,519--18,989,44720,003,85117,552,60617,478,13715,093,97512,261,0809,433,542
30,661,20030,086,60030,243,70029,829,20029,089,30028,480,30028,537,10028,061,30027,341,40026,994,80027,284,60026,758,80026,137,50025,655,80021,317,00021,714,10018,090,40017,615,30017,224,80016,805,50016,308,40015,875,30015,549,40015,218,40014,830,20014,334,60014,205,20011,767,80011,216,20011,110,80010,534,80010,145,8009,626,6009,145,9008,969,4008,542,0008,196,6008,210,0007,787,5277,469,4217,116,1056,858,4806,628,9766,390,1086,092,9315,880,5513,720,2773,549,5883,417,6043,266,2883,158,7693,023,4192,911,9242,815,7882,797,4532,742,1361,575,6291,448,1901,385,1041,305,5631,262,9671,201,4851,196,8411,164,2801,124,7081,074,2441,084,5701,045,3011,027,252982,884992,107960,899938,323--889,400862,708972,183399,656360,137209,584145,558
5.843.591.959.045.923.642.028.645.373.111.9010.617.364.991.9712.678.836.012.4713.549.706.592.7315.7511.828.023.7017.1812.908.724.0019.3114.479.664.2519.3014.059.313.8718.5013.589.093.6117.4413.279.714.7018.2514.049.504.2313.04--5.920.0018.230.0013.85--17.12--8.480.0013.26--7.03--12.83--6.44--11.160.00--0.0015.530.00--------

盈利能力

营业利润率

营业利润率

净资产收益率

净资产收益率

2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-31
总资产利润率(%) 0.310.150.650.460.320.16
主营业务利润率(%) ------------
总资产净利润率(%) 0.310.150.680.470.320.16
成本费用利润率(%) 110.17106.63109.01105.50109.72116.44
营业利润率(%) ------------
主营业务成本率(%) ------------
销售净利率(%) ------------
净资产收益率(%) 3.831.867.895.573.861.88
股本报酬率(%) 143.0837.22218.63106.87134.5935.43
净资产报酬率(%) 7.251.8811.195.617.211.90
资产报酬率(%) 0.570.150.920.460.590.16
销售毛利率(%) ------------
三项费用比重(%) ------------
非主营比重(%) 17.9920.7512.7713.2510.9010.46
主营利润比重(%) -3.47-3.39-3.26-3.47-3.45-3.32

偿还能力

流动比率

流动比率

资产负债率

资产负债率

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流动比率(%) ------------
速动比率(%) ------------
现金比率(%) ------------
利息支付倍数(%) ------------
资产负债率(%) 92.1092.0391.8291.7491.8491.72
长期债务与营运资金比率(%) ------------
股东权益比率(%) 7.907.978.188.268.168.28
长期负债比率(%) ------------
股东权益与固定资产比率(%) 1,669.12--2,175.06--2,170.10--
负债与所有者权益比率(%) 1,166.381,154.211,122.571,110.591,125.401,107.04
长期资产与长期资金比率(%) ------------
资本化比率(%) ------------
固定资产净值率(%) 63.95--58.67--58.17--
资本固定化比率(%) 1,266.381,254.211,222.571,210.591,225.401,207.04
产权比率(%) 0.000.000.000.000.000.00
清算价值比率(%) ------------
固定资产比重(%) 0.47--0.38--0.38--

成长能力

净利润增长率

净利润增长率    

净资产增长率

净资产增长率    

2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-31
主营业务收入增长率(%) ------------
净利润增长率(%) 5.105.0410.8315.0617.8010.77
净资产增长率(%) 5.736.066.386.485.594.67
总资产增长率(%) 9.2710.218.136.537.7211.62

营运能力

存货周转率(次)

存货周转率(次)

总资产周转率(次)

总资产周转率(次)

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应收账款周转率(次) ------------
应收账款周转天数(天) ------------
存货周转率(次) ------------
固定资产周转率(次) ------------
总资产周转率(次) ------------
存货周转天数(天) ------------
总资产周转天数(天) ------------
流动资产周转率(次) ------------
流动资产周转天数(天) ------------
经营现金净流量对销售收入比率(%) ------------
资产的经营现金流量回报率(%) 0.020.010.020.03-0.00-0.01
经营现金净流量与净利润的比率(%) 5.936.842.975.45-0.25-3.66
经营现金净流量对负债比率(%) 0.020.010.020.03-0.00-0.01
现金流量比率(%) ------------
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