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浦发银行(600000) 主要财务指标

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(%)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-312005-12-312005-09-302005-06-302005-03-312004-12-312004-09-302004-06-302004-03-312003-12-312003-09-302003-06-302003-03-312002-12-312002-09-302002-06-302002-03-312001-12-312001-09-302001-06-302000-12-312000-06-301999-12-311999-06-301998-12-311997-12-311996-12-31
1.621.070.531.851.440.950.461.841.450.970.632.401.871.230.702.671.991.280.602.521.871.220.572.191.601.040.481.831.400.920.421.461.070.421.601.290.790.471.621.300.860.522.211.741.130.651.260.900.590.23----0.41------0.280.13----0.22--0.40--0.17--0.36--0.23--0.44--0.220.40--0.44------0.63
16.3615.7715.6315.0514.4914.0013.5713.4713.2012.7016.2015.6415.2614.6015.9615.2914.4913.7113.7013.1512.4011.7011.6210.9610.4910.0110.029.529.108.698.427.987.489.008.577.116.618.187.708.205.917.957.366.736.117.216.506.296.005.905.674.574.364.013.973.783.613.583.453.313.183.063.072.942.842.752.202.193.16--2.933.403.293.093.453.231.911.661.581.58
-2.300.306.32-11.53-12.34-4.02-1.66-4.79-3.35-9.11-9.30-8.88-6.93-6.20-5.1719.2415.8011.30-4.3610.252.68-1.63-4.2716.5314.6113.485.384.961.701.134.1210.652.182.80-0.38-1.76-2.42-8.4311.725.140.855.9218.6410.943.86-1.0912.7312.166.250.614.87---2.26--1.47--0.79--1.26--2.100.001.02---0.52--5.450.000.49--0.78--0.380.70--0.40--------
14,638,6009,759,9005,008,40017,154,20012,710,9008,225,6003,962,90016,861,90012,476,8008,335,4004,236,00016,079,20012,092,8008,217,2004,219,10014,655,00010,863,2007,070,1003,299,10012,318,1008,977,3005,904,3002,760,20010,001,5007,247,7004,651,8002,201,1008,295,2006,082,9924,000,2991,990,8866,791,7674,930,7431,519,5994,985,5853,589,1712,275,1491,072,4023,682,3932,634,2161,667,737790,2033,456,0572,570,7441,670,613803,7932,587,6431,831,0361,161,290528,5081,890,4291,343,828861,055606,0262,146,7001,565,2951,030,396501,5331,676,0991,212,252782,300372,8991,202,724850,034539,078243,544815,646568,361354,950182,241718,525509,871323,455571,041216,119398,205196,847479,338532,829421,627
5,777,4003,827,0001,932,5006,534,3005,091,8003,416,4001,710,5007,027,5005,391,8003,598,0001,839,7006,966,0005,351,2003,523,9001,843,3006,606,7004,836,1003,121,1001,468,6006,175,1004,573,4002,975,7001,400,7005,352,3003,910,5002,538,7001,164,7004,441,9003,405,0692,250,6461,030,6083,575,6732,622,699787,5372,507,2051,917,3011,168,561537,2301,717,8371,358,541897,136386,3781,533,2011,295,988841,022369,5941,076,274807,265550,090348,6571,128,957852,016549,435246,363847,248649,708439,059210,595698,007531,324341,100145,772519,910371,061226,618100,606352,971247,634156,80335,423144,709111,16670,026122,94615,32911,62326,58543,31459,14366,282
5,777,4003,827,0001,932,5006,534,3005,091,8003,416,4001,710,5007,027,5005,391,8003,598,0001,839,7006,966,0005,351,2003,523,9001,843,3006,606,7004,836,1003,121,1001,468,6006,175,1004,573,4002,975,7001,400,7005,352,3003,910,5002,538,7001,164,7004,441,9003,405,0692,250,6461,030,6083,575,6732,622,699787,5372,507,2051,917,3011,168,561537,2301,717,8371,358,541897,136386,3781,533,2011,295,988841,022369,5941,076,274807,265550,090348,6571,128,957852,016549,435246,363847,248649,708439,059210,595698,007531,324341,100145,772519,910371,061226,618100,606352,971249,164156,80335,423144,709111,16670,026122,94615,32911,62326,58543,31459,14366,282
1,039,900861,900566,4001,476,5001,111,600938,200369,6001,358,500839,100613,800366,900703,300420,200371,000196,90046,10049,80068,90073,100-26,200-24,000-62,400-34,60082,00047,00056,80022,7007,600-16,51611,762-20519,44240,6332,0362,22128,09520,702-16141,31232,37619,5365,67815,9749,5167,7491,9885,4145,7763,113--2,2792,3041,70540,428170,644133,78178,75234,398145,593104,64565,79029,831147,132101,68763,58529,721129,86885,62156,68626,950109,24472,18644,070113,62856,545104,64237,15371,90340,37431,729
-4,400-5,200-800-5,900-2,500-300100-44,70082,50077,10062,00031,50017,7008,3001,80081,00062,90031,50010,80027,90012,5007,2006,20032,6009,9004,20050033,50015,7344,0891,1568,2561,00638720,88515,30414,323-31411,7656151,271557-2,855-1,437-1,489-528-4441,635-401-1105,5623,2442,84762546319150-602,4524,6373,859-118-883-802-1,007-120753-272166-51-638-323102176-181,436-85854-555800
5,773,0003,821,8001,931,7006,528,4005,089,3003,416,1001,710,6006,982,8005,474,3003,675,1001,901,7006,997,5005,368,9003,532,2001,845,1006,687,7004,899,0003,152,6001,479,4006,203,0004,585,9002,982,9001,406,9005,384,9003,920,4002,542,9001,165,2004,475,4003,420,8032,254,7351,031,7643,583,9292,623,704787,9232,528,0911,932,6061,182,884536,9161,729,6021,359,156898,407386,9341,530,3461,294,551839,533369,0651,075,830808,900549,689168,446603,405409,941263,360111,740423,089283,061177,43577,932304,882205,806128,72562,717234,377154,37892,25941,759186,675115,51074,88035,372144,071110,84270,128123,12371,856117,70163,652116,07198,96398,811
4,835,0003,210,6001,645,9005,591,4004,320,7002,856,9001,430,5005,425,8004,189,2002,816,5001,446,2005,309,9004,068,2002,677,0001,392,2005,060,4003,716,2002,390,3001,119,4004,702,6003,479,9002,265,6001,071,0004,092,2002,981,8001,938,600890,3003,418,6002,612,5801,719,298789,3902,728,5981,990,992605,8721,917,7211,483,724908,075410,6001,321,6581,029,009678,069296,0441,251,597984,397637,479281,163549,878392,310255,37997,829335,303245,354159,92466,267248,542177,168110,28651,376193,003138,36387,34541,562156,609108,20665,68331,563128,53185,46954,14426,575106,18882,19953,49195,79053,02792,66950,59785,94464,50062,911
4,711,4003,203,6001,643,7005,564,3004,303,4002,843,2001,426,6005,404,6004,130,5002,761,8001,400,6005,168,7003,971,1002,620,3001,368,2004,956,1003,640,2002,346,6001,107,1004,665,0003,454,2002,246,2001,060,7004,039,7002,956,2001,926,300--3,374,800--1,702,11302,705,100----1,899,341--895,070--1,312,6000677,11601,213,6000637,755--655,4850339,354--330,890--157,587--247,143------189,433----0153,569--66,358--128,02685,742------------------------
-6,744,900883,20018,543,300-33,836,000-36,207,900-11,809,500-4,872,500-14,067,300-9,838,400-25,602,600-20,097,000-19,199,300-14,979,500-13,404,900-10,158,00035,882,00029,464,30021,069,300-8,138,90019,115,8005,006,900-3,038,400-7,954,90030,840,60027,243,20025,136,70010,042,2009,257,8003,176,6552,098,9677,686,26919,865,5784,067,8074,010,131-550,700-2,018,296-2,781,711-7,442,25310,348,1894,079,309674,3213,350,42110,550,4006,193,6112,183,609-473,4475,542,6785,294,7632,721,950264,5771,026,070-1,639,101-882,708166,060576,231291,053308,470-2,092,6612,228,775272,004820,509121,950616,431686,759-207,130-877,5631,925,0150-526,089--1,028,012---435,690599,163-149,29945,634---155,320----
-3,513,800-7,760,000-4,385,5004,018,6006,532,9001,484,9002,162,000-9,995,300-13,852,900-9,536,400-10,327,800-1,727,6003,036,1001,566,200-1,030,2007,590,30016,964,5002,034,200-2,403,400-7,733,200-10,036,200-9,338,100-9,680,300-2,605,800-9,598,400-8,327,100-9,428,800-2,045,400-1,752,697-3,201,7398,246,50414,503,155377,3423,051,2103,347,3261,132,2522,311,049-3,474,0263,818,5001,808,457-1,236,5771,124,8112,507,8491,677,717374,522-1,215,320-1,369,723-154,831-1,752,092-2,444,7592,788,589-1,537,164-722,335-1,868,472-332,0181,063,039-403,554-2,379,3122,627,141630,9831,254,801800,602393,406357,566-347,690-681,7591,431,6840-660,815---93,674---661,360486,052-167,351193,822---290,963----
679,067,000665,990,800654,957,600628,960,600608,918,900609,175,900613,299,300613,724,000606,383,700591,539,500588,966,300585,726,300556,428,200537,129,300522,798,000504,435,200482,262,900460,374,000425,533,300419,592,400395,664,200393,021,700374,050,000368,012,500359,394,300346,844,200340,791,700314,570,700314,218,461303,643,242280,464,657268,469,369252,141,730227,013,601219,141,077197,571,839178,126,138166,155,664162,271,796158,738,292161,948,258150,014,126130,942,544111,545,553100,261,05295,003,20691,498,03584,441,54776,985,39070,412,69168,934,41563,793,48463,023,22759,944,33657,306,66251,945,55049,245,15345,726,45445,553,22942,370,89341,388,95039,190,12537,105,67036,130,03934,266,54027,961,61427,930,07224,324,31220,903,67517,716,65517,369,06816,273,17515,063,86913,072,24311,339,81010,320,9688,720,3208,733,8228,164,0336,506,717
------------------------------------------------------------0--------0000--000000--00--------43,976,58242,424,48738,153,02635,772,84732,444,27433,124,52030,777,70130,851,02229,154,34827,883,70827,347,80426,615,34221,264,73621,705,16818,541,53415,563,98312,871,87312,785,12511,819,87811,323,6509,742,1328,158,1547,749,4646,754,6056,959,7607,113,2785,792,734
624,350,700616,023,800605,399,600581,122,600562,715,500564,434,000569,818,000570,625,500564,113,700552,322,100550,439,200548,432,900519,967,600502,101,800487,963,000472,575,200451,900,900431,474,400396,660,900393,263,900372,214,300370,889,800352,086,300347,289,800339,554,200327,941,600321,883,900296,604,800297,059,201287,253,710264,690,019253,515,091238,140,911214,072,202206,813,092189,390,112170,519,368158,921,499155,463,051152,226,121157,262,647145,511,794126,772,364107,735,83496,800,34591,861,30288,668,24881,700,73274,374,26067,843,98566,463,80362,004,36161,316,59458,376,37255,764,58050,464,33247,830,81644,324,04744,202,19841,074,50240,143,57837,990,53535,904,57834,977,34933,156,37326,885,56827,134,02423,532,17720,142,86416,983,41316,662,40215,451,31714,270,72512,327,76610,474,6799,543,3628,336,3728,400,4717,846,8616,348,726
------------------------------------------------------------0--------0000--000000--00----60,033,937--36,390,05535,149,82230,926,24030,211,37728,195,93728,509,06225,924,52225,393,05725,043,85124,182,47824,049,85423,710,00218,238,18918,613,70116,160,81113,801,54011,252,71510,786,9929,868,8129,499,6328,163,7116,961,2676,415,5845,105,0405,700,6315,927,8464,975,628
54,007,90049,276,50048,859,80047,156,20045,536,80044,085,50042,822,00042,540,40041,735,80038,697,90038,006,10036,794,70035,981,10034,544,20034,362,00031,517,00030,026,50028,569,60028,549,40026,016,90023,133,60021,831,20021,669,90020,437,50019,572,90018,670,40018,684,80017,749,70016,969,40516,203,03315,705,57214,889,12413,956,69012,906,62212,299,6348,160,1237,588,2447,220,8396,795,3036,503,4214,680,8564,500,0944,167,9443,809,7183,460,7073,141,9042,829,7872,740,8152,611,1302,568,7052,470,6131,789,1231,706,6331,567,9641,552,5921,481,2191,414,3371,402,4061,351,0301,296,3911,245,3721,199,5891,201,0921,152,6901,110,1671,076,046796,048792,136760,811733,241706,667821,858793,144744,477830,632777,605383,948333,351317,172157,991
10.326.893.4713.1410.486.973.4514.4511.517.853.9616.3512.868.594.5018.8214.379.374.4721.0215.9210.525.0921.5315.9310.454.8920.9516.3110.865.1620.07----23.27--12.51--25.860.0015.100.0036.710.0020.40--20.100.009.86--19.37--9.63--17.21--7.93--15.17--7.140.0013.96--6.34--16.670.007.38--15.13--6.9813.75------------

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

2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-30
总资产利润率(%) 0.720.490.250.900.720.47
主营业务利润率(%) ------------
总资产净利润率(%) 0.750.500.260.910.710.47
成本费用利润率(%) 173.02174.36152.35145.25160.13163.44
营业利润率(%) ------------
主营业务成本率(%) ------------
销售净利率(%) ------------
净资产收益率(%) 9.906.763.4112.279.966.75
股本报酬率(%) 166.48154.7556.64233.58148.76137.40
净资产报酬率(%) 8.939.093.3514.339.459.01
资产报酬率(%) 0.720.680.251.090.720.66
销售毛利率(%) --39.2138.59--40.0641.65
三项费用比重(%) ------------
非主营比重(%) 17.9422.4229.2822.5321.7927.46
主营利润比重(%) -2.57-2.42-2.43-2.84-2.68-2.72

偿还能力

流动比率

流动比率

资产负债率

资产负债率

2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-30
流动比率(%) ------------
速动比率(%) ------------
现金比率(%) ------------
利息支付倍数(%) ------------
资产负债率(%) 91.9492.5092.4392.3992.4192.66
长期债务与营运资金比率(%) ------------
股东权益比率(%) 8.067.507.577.617.597.34
长期负债比率(%) ------------
股东权益与固定资产比率(%) --1,771.57--1,805.75--1,418.44
负债与所有者权益比率(%) 1,141.071,232.861,221.601,214.771,217.911,261.53
长期资产与长期资金比率(%) ------------
资本化比率(%) ------------
固定资产净值率(%) --68.43--68.74--73.40
资本固定化比率(%) 1,241.071,332.861,321.601,314.771,317.911,361.53
产权比率(%) 0.000.000.000.000.000.00
清算价值比率(%) ------------
固定资产比重(%) --0.42--0.42--0.52

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    

2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-30
主营业务收入增长率(%) ------------
净利润增长率(%) 11.9112.1514.982.752.991.33
净资产增长率(%) 18.4211.6813.9811.009.3114.09
总资产增长率(%) 11.529.336.792.480.422.98

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)

2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-30
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(%) -0.010.000.03-0.05-0.06-0.02
经营现金净流量与净利润的比率(%) -1.380.2711.15-5.99-8.29-4.09
经营现金净流量对负债比率(%) -0.010.000.03-0.06-0.06-0.02
现金流量比率(%) ------------
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