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 首页 > 主力数据 > 经营分析 >交通银行601328业绩报表分析

交通银行(601328) 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(%)
2022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302004-12-312003-12-312002-12-312001-12-31
0.830.550.311.100.800.540.300.990.650.460.251.000.770.540.280.960.740.510.270.910.700.490.260.890.700.500.260.900.700.500.260.890.690.500.250.840.660.470.240.880.700.500.260.820.620.430.240.730.560.400.210.610.470.320.160.580.470.320.160.430.310.190.080.280.210.13--0.230.160.120.05------
11.1110.8010.9010.6410.3610.0810.199.879.569.469.579.349.108.848.878.608.388.138.138.238.067.867.937.677.497.247.257.006.796.586.606.346.145.935.925.655.505.345.375.124.934.824.654.394.164.404.203.963.823.723.573.343.203.173.112.962.812.752.762.622.492.472.061.93--1.84----1.75----------
----------------------------------------------------------------------------0.161.030.693.170.71-0.020.280.19-0.43-0.43-1.03-0.44-1.071.511.752.04-0.113.951.871.060.460.432.62-0.180.003.561.17------------------
21,007,60014,338,6007,360,80026,939,00019,997,00013,389,5006,834,40024,620,00018,539,40012,678,7006,500,30023,247,20017,629,30011,818,0006,210,00021,265,40015,783,20010,186,5004,909,90019,601,10014,971,60010,368,8005,488,50019,312,90014,730,10010,333,9005,603,30019,382,80014,641,3009,672,2004,940,50017,740,10013,516,9009,042,3004,472,80016,443,50012,422,2008,481,2004,218,70014,733,70010,966,5007,364,2003,651,50012,695,6009,419,5006,193,7003,023,90010,423,4007,596,9004,939,8002,393,6008,093,7005,743,9003,681,3001,786,5007,666,0005,740,9003,763,9001,802,3006,232,2004,356,8002,720,8001,279,6004,322,5003,159,3002,018,000964,7003,509,0002,516,7001,694,7002,883,3003,238,5232,451,6082,823,206
7,090,8004,563,7002,518,0009,375,3006,917,2004,650,5002,487,1008,621,3005,741,7003,985,2002,436,7008,814,8006,905,6004,915,4002,451,6008,652,0006,649,8004,745,0002,329,7008,307,3006,540,7004,719,7002,397,8008,535,0006,685,4004,830,4002,464,0008,571,2006,713,2004,798,0002,447,2008,384,2006,651,9004,681,8002,396,7007,951,6006,235,9004,502,9002,285,7007,438,0005,715,1003,990,1002,045,4006,489,6004,932,3003,384,4001,713,5004,970,0003,771,6002,609,7001,345,3003,821,9002,943,5001,984,2001,005,4003,578,3002,995,3002,034,9001,029,7003,085,0002,207,5001,413,100720,0001,746,4001,346,700925,700418,6001,314,5001,018,500--904,5001,129,139175,019262,321
7,090,8004,563,7002,518,0009,375,3006,917,2004,650,5002,487,1008,621,3005,741,7003,985,2002,436,7008,814,8006,905,6004,915,4002,451,6008,652,0006,649,8004,745,0002,329,7008,307,3006,540,7004,719,7002,397,8008,535,0006,685,4004,830,4002,464,0008,571,2006,713,2004,798,0002,447,2008,384,2006,651,9004,681,8002,396,7007,951,6006,235,9004,502,9002,285,7007,438,0005,715,1003,990,1002,045,4006,489,6004,932,3003,384,4001,713,5004,970,0003,771,6002,609,7001,345,3003,821,9002,943,5001,984,2001,005,4003,578,3002,995,3002,034,9001,029,7003,085,0002,207,5001,413,100720,0001,746,4001,346,700925,700418,6001,314,5001,018,500--904,5001,129,139175,019262,321
1,185,400826,500264,0001,885,8001,359,400825,000262,9001,325,5001,135,700905,300310,1001,280,7001,093,600759,000306,8001,084,800784,100490,50088,300426,400360,700301,50053,600146,800242,80038,4007,2008,1006,10096,90024,800-192,700-103,300-239,000-229,900100,60066,80092,80049,10093,60082,80021,60013,600-50054,10036,4003,70074,700114,70044,60016,100139,300133,50093,10064,50056,60039,60069,60040,800125,9001,156,800725,80012,4001,004,100770,30019,6001,800811,30037,70042,600553,000448,1346,3295,599
4,500-2,000-1,30020,60024,7008,3009,50021,2009,80010,600-2,1005,200-7,000-19,500600-45,3002,9002,0008,80019,20052,90015,8003,40076,00056,70019,3006,70030,00025,50030,90013,900108,50049,60037,70016,00039,30018,4003,1002,60083,60039,80026,7004,40055,50024,40014,8005,80025,40014,6005,4003,2002,100-17,4006,1007,400---34,800-2,000-1,80018,80048,90013,700019,60033,000----15,200-----171,200-72,058-25,993-11,096
7,095,3004,561,7002,516,7009,395,9006,941,9004,658,8002,496,6008,642,5005,751,5003,995,8002,434,6008,820,0006,898,6004,895,9002,452,2008,606,7006,652,7004,747,0002,338,5008,326,5006,593,6004,735,5002,401,2008,611,0006,742,1004,849,7002,470,7008,601,2006,738,7004,828,9002,461,1008,492,7006,701,5004,719,5002,412,7007,990,9006,254,3004,506,0002,288,3007,521,6005,754,9004,016,8002,049,8006,545,1004,956,7003,399,2001,719,3004,995,4003,786,2002,615,1001,348,5003,824,0002,926,1001,990,3001,012,8003,581,8002,960,5002,032,9001,027,9003,103,8002,256,4001,426,800720,0001,766,0001,379,700925,700418,6001,329,7001,018,500688,400733,300406,208155,506256,349
6,788,3004,404,0002,333,6008,758,1006,436,0004,201,9002,194,6007,827,4005,271,2003,650,5002,145,1007,728,1006,014,7004,274,9002,107,1007,363,0005,730,4004,077,1002,009,1007,022,3005,441,9003,897,5001,932,3006,721,0005,257,8003,766,1001,906,6006,652,8005,204,0003,732,4001,897,0006,585,0005,152,2003,677,3001,869,0006,229,5004,870,6003,482,7001,770,6005,837,3004,451,3003,108,8001,588,0005,073,5003,841,6002,639,6001,328,0003,904,2002,953,7002,035,7001,045,1003,007,5002,297,0001,557,900794,6002,842,3002,278,9001,553,400788,3002,051,3001,478,600891,800380,0001,266,900946,100603,400290,100950,900673,200460,500119,800431,194122,768190,861
6,743,9004,390,9002,324,8008,699,1006,407,3004,174,6002,192,4007,739,5005,228,3003,610,3002,129,0007,661,9005,995,1004,260,0002,092,2007,328,1005,701,7004,065,2002,000,7006,948,5005,398,6003,882,8001,926,2006,665,0005,213,3003,750,8001,899,2006,606,5005,161,3003,706,7001,881,9006,520,2005,120,7003,654,9001,859,9006,201,2004,854,1003,478,2001,767,1005,787,4004,421,0003,087,4001,587,4005,021,6003,811,3002,622,1001,318,3003,882,6002,941,2002,031,1001,042,2002,986,9002,298,0001,555,000795,2002,839,6002,276,0001,554,900789,5002,042,0001,443,500880,4000----------------------
8,930,2008,910,90010,162,100-3,477,500-13,601,800-11,274,300-8,236,60014,939,80018,419,30011,935,80014,294,600-8,254,5006,386,600294,500-729,80012,389,20012,628,8007,620,7001,392,0001,072,7002,866,9004,615,0004,725,40048,506,60014,180,20022,600,200-2,031,40037,912,20030,333,40035,594,7007,702,5004,971,500-724,600-1,024,100-6,174,50013,918,30011,530,4006,632,8001,157,4007,660,4005,157,10019,635,2004,366,700-114,6001,759,7001,042,000-2,399,200-2,416,700-5,792,900-2,314,800-5,259,0007,374,7008,573,4009,979,500-548,70019,333,1009,144,3005,191,6002,260,4002,101,80012,481,300-892,500-5,081,70016,284,3005,367,4005,940,400489,7005,673,1003,275,300910,9005,449,8005,327,108----
3,049,100-1,516,5004,153,600-11,281,200-8,559,500-2,849,100-4,694,30013,938,50015,074,7008,057,8007,686,800-7,575,700-733,000-6,219,100-6,719,4001,457,300-3,159,6002,213,000-3,482,900-8,747,700-8,260,300-1,648,900-740,600-1,403,900-8,318,7003,096,800-9,586,1001,680,9002,159,80018,016,300-656,8007,023,2003,463,2001,000,200-4,986,200-2,820,4001,052,600-2,062,800-2,521,5006,196,3004,256,90016,180,6001,559,0005,273,6005,250,2001,540,400-2,668,400-1,159,900-4,526,600-3,900,400-6,632,500-5,723,400-8,147,400-4,447,200-2,405,30012,982,0002,478,800-191,100116,700-8,981,0004,080,100-3,165,800-7,052,8008,384,100-1,255,300737,000-1,155,0002,550,0001,382,5002,639,800-117,6002,368,299----
1,269,320,3001,258,057,6001,232,365,4001,166,575,7001,147,262,3001,141,396,0001,117,322,0001,069,761,6001,079,557,1001,066,993,2001,045,438,300990,560,000993,287,900988,660,800978,574,700953,117,100939,153,700932,270,700926,679,700903,825,400893,579,000893,083,800873,371,100840,316,600809,181,000795,632,200740,441,700715,536,200720,686,600712,215,500662,723,900626,829,900621,271,800628,393,600597,936,000596,093,700576,804,000571,760,200563,637,800527,337,900517,334,900515,220,800488,283,400461,117,700436,229,700434,771,700412,867,300395,159,300380,270,500370,927,900353,278,200330,913,700330,089,800329,412,000303,486,800267,825,500249,129,500242,636,600226,099,900210,362,600221,988,100213,304,800181,794,400171,626,300--158,898,800150,863,500142,113,200134,116,000129,253,200114,173,30092,880,97576,687,39966,138,868
------------------------------------------------------------------------------------------------0--------------0----0----0--------------86,383,80060,200,22948,955,58443,286,318
1,168,076,6001,159,164,0001,132,693,2001,068,852,1001,051,576,3001,047,804,5001,027,112,400981,898,800995,889,400985,580,000963,265,400910,468,800915,005,500916,286,000905,986,500882,586,300870,245,200865,264,600859,829,600836,198,300827,229,100828,243,000808,155,300777,075,900747,293,200740,082,800684,750,800661,727,000668,476,600663,035,500613,440,000579,469,400575,483,800584,139,000553,762,400553,945,300535,748,500531,944,400523,615,100489,193,200480,560,700485,315,400459,376,700433,838,900410,367,300409,930,700389,151,700372,793,600358,675,200351,212,900335,735,300314,471,200314,348,100313,817,400288,215,200253,261,300235,341,600229,096,800212,527,600197,482,900209,726,500201,187,100172,331,100162,768,100--150,474,600142,245,200133,923,600126,104,100121,783,900109,007,40091,081,04973,430,87662,896,526
------------------------------------------------------------------------------------------------0--------------0----0----0----------------84,606,81164,927,83656,314,136
99,979,70097,654,30098,417,20096,464,70094,434,60092,360,80088,970,40086,660,70082,511,10080,254,30081,030,20079,324,70077,533,70071,649,00071,871,50069,840,50068,245,80066,365,30066,333,60067,114,30065,824,40064,325,00064,878,90062,914,20061,581,90055,251,50055,366,40053,488,50051,901,10048,877,90048,991,80047,105,50045,580,00044,050,30043,975,60041,956,10040,866,50039,637,10039,847,70037,991,80036,625,20029,802,90028,804,60027,180,20025,774,50024,754,20023,625,10022,277,30021,510,50019,634,80017,468,40016,384,80015,688,30015,542,40015,225,00014,520,90013,744,70013,495,50013,530,30012,837,90012,224,00012,102,1009,455,2008,858,200--8,417,7008,611,9008,189,6008,005,1007,469,3005,165,9001,799,9263,256,5233,242,342
7.765.232.9210.768.045.472.9510.356.994.952.9611.208.816.293.2511.178.776.263.2311.408.916.403.0312.229.636.913.6013.4610.617.623.9514.8711.698.404.3615.4912.238.774.5618.4314.9210.825.6820.4915.9011.195.7920.0815.9211.756.1819.2614.9610.275.3420.8615.8611.135.8317.1713.158.740.0014.00------15.00----4.00------

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(%) 0.350.190.760.570.380.20
主营业务利润率(%) ------------
总资产净利润率(%) 0.360.190.800.590.390.20
成本费用利润率(%) 112.55126.68121.17125.27125.88135.45
营业利润率(%) ------------
主营业务成本率(%) ------------
销售净利率(%) ------------
净资产收益率(%) 4.512.379.086.824.552.47
股本报酬率(%) 167.9031.43221.1288.19154.4630.04
净资产报酬率(%) 12.612.3416.806.8412.262.47
资产报酬率(%) 0.990.191.410.571.010.20
销售毛利率(%) ------------
三项费用比重(%) ------------
非主营比重(%) 18.0710.4420.2919.9417.8910.91
主营利润比重(%) -3.52-2.88-3.19-3.10-3.16-2.67

偿还能力

流动比率

流动比率

资产负债率

资产负债率

2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-31
流动比率(%) ------------
速动比率(%) ------------
现金比率(%) ------------
利息支付倍数(%) ------------
资产负债率(%) 92.1491.9191.6291.6691.8091.93
长期债务与营运资金比率(%) ------------
股东权益比率(%) 7.868.098.388.348.208.07
长期负债比率(%) ------------
股东权益与固定资产比率(%) 552.86--572.37--566.49--
负债与所有者权益比率(%) 1,172.131,136.421,093.751,098.991,119.551,138.58
长期资产与长期资金比率(%) ------------
资本化比率(%) ------------
固定资产净值率(%) 68.95--69.40--69.70--
资本固定化比率(%) 1,272.131,236.421,193.751,198.991,219.551,238.58
产权比率(%) 0.000.000.000.000.000.00
清算价值比率(%) ------------
固定资产比重(%) 1.42--1.46--1.45--

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(%) 2.944.6011.7722.4815.883.57
净资产增长率(%) 5.6710.4911.2214.3614.969.78
总资产增长率(%) 10.2210.309.056.276.976.88

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)

2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-31
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(%) 0.010.01-0.00-0.01-0.01-0.01
经营现金净流量与净利润的比率(%) 2.024.35-0.39-2.08-2.63-3.69
经营现金净流量对负债比率(%) 0.010.01-0.00-0.01-0.01-0.01
现金流量比率(%) ------------
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