金融街

- 000402

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金融街(000402) 利润表
报告期2008-06-302008-03-312007-12-312007-09-302007-06-30
一、主营业务收入1,123,517,662774,354,5814,214,361,8722,238,944,7742,084,449,786
折扣与折让00000
主营业务收入净额1,123,517,662774,354,5814,214,361,8722,238,944,7742,084,449,786
主营业务成本677,872,296508,369,2122,355,954,9101,162,915,3591,072,734,204
主营业务税金及附加109,372,25259,053,118515,980,296307,069,466298,932,991
二、主营业务利润336,273,113206,932,2501,342,426,665768,959,948712,782,591
其他业务利润00000
存货跌价损失00000
营业费用49,840,45627,554,33789,095,61456,623,03234,197,766
管理费用143,650,03073,194,346277,329,041152,736,40795,305,866
财务费用-15,480,30915,694,273152,303,76062,201,94734,044,079
三、营业利润162,591,30793,406,706806,487,575493,674,805546,500,665
投资收益28,641,0099,190,429313,062,951170,510,77098,681,162
补贴收入00000
营业外收入25,07910061,95121,8997,538
营业外支出4,425,3611,221,900589,991320,856296,752
以前年度损益调整00000
营业外收支净额-4,400,282-1,221,800-528,040-298,958-289,214
四、利润总额160,457,51675,000,8151,119,022,486663,886,617644,892,612
所得税29,028,8867,379,774386,654,573223,660,812212,839,219
财政返还00000
少数股东权益-6,973,768-2,618,6022,181,084-2,427,840-1,068,604
购买日前净利润00000
未确认的投资损失00000
五、净利润138,402,39770,239,643730,186,829442,653,645433,121,997
年初未分配利润00000
调整以前年度损益00000
盈余公积转入00000
住房周转金转入00000
其他转入00000
六、可分配利润00000
提取法定盈余公积00000
提取法定公益金00000
职工奖金福利00000
提取储备基金00000
提取企业发展基金00000
七、可供股东分配的利润00000
应付优先股股利00000
提取任意盈余公积金00000
应付普通股股利00000
转作股本的普通股股利00000
八、未分配利润00000
金融街(000402) 利润表
报告期2007-03-312006-12-312006-09-302006-06-302006-03-31
一、主营业务收入2,008,440,5753,480,896,3291,401,812,1301,050,062,11898,718,814
折扣与折让00000
主营业务收入净额2,008,440,5753,480,896,3291,401,812,1301,050,062,11898,718,814
主营业务成本1,027,616,9142,199,236,355968,581,350711,167,55042,662,052
主营业务税金及附加294,943,059329,433,25499,981,29470,315,6419,157,781
二、主营业务利润685,880,602952,226,720333,249,486268,578,92746,898,982
其他业务利润0819,8422,644,7831,307,283-122,190
存货跌价损失00000
营业费用11,092,89434,050,04819,438,99811,414,9954,819,055
管理费用61,298,136157,938,30697,295,03274,775,44137,755,454
财务费用19,909,79034,377,69221,702,94010,169,8703,120,525
三、营业利润598,082,224726,680,515197,457,299173,525,9051,081,758
投资收益65,497,42242,157,82020,362,4066,729,7041,130,577
补贴收入017,412,1809,000,0009,000,0000
营业外收入7,53715,410,31914,557,96214,432,11914,381,413
营业外支出295,267900,125498,35842,847-12,325
以前年度损益调整00000
营业外收支净额-287,73014,510,19414,059,60414,389,27214,393,738
四、利润总额663,291,915800,760,709240,879,309203,644,88116,606,074
所得税227,331,018286,190,34495,766,65677,704,4906,920,942
财政返还00000
少数股东权益-1,140,523-10,926,035-2,764,501-9,322,929-4,045,951
购买日前净利润00000
未确认的投资损失00000
五、净利润437,101,420525,496,400147,877,153135,263,32013,731,082
年初未分配利润0787,118,240787,118,240787,118,240787,118,240
调整以前年度损益00000
盈余公积转入00000
住房周转金转入00000
其他转入00000
六、可分配利润01,312,614,640934,995,393922,381,560800,849,322
提取法定盈余公积052,659,731000
提取法定公益金00000
职工奖金福利00000
提取储备基金00000
提取企业发展基金00000
七、可供股东分配的利润01,259,954,909934,995,393922,381,560800,849,322
应付优先股股利00000
提取任意盈余公积金00000
应付普通股股利0137,737,992137,737,992137,737,992137,737,992
转作股本的普通股股利00000
八、未分配利润01,122,216,917797,257,401784,643,568663,111,330
金融街(000402) 利润表
报告期2005-12-312005-09-302005-06-302005-03-312004-12-31
一、主营业务收入1,999,766,1511,278,941,342154,639,263129,082,0661,739,840,270
折扣与折让00000
主营业务收入净额1,999,766,1511,278,941,342154,639,263129,082,0661,739,840,270
主营业务成本1,214,801,626721,521,43393,892,86179,502,4121,047,686,095
主营业务税金及附加145,328,094132,132,85913,397,59410,786,248136,547,167
二、主营业务利润639,636,432425,287,05047,348,80838,793,406555,607,008
其他业务利润2,615,6491,360,5092,651,150623,7007,032,726
存货跌价损失00000
营业费用19,764,21214,240,5177,686,8423,913,00115,685,671
管理费用74,025,27263,018,98445,920,01029,492,60060,692,315
财务费用25,309,42320,157,09313,251,9065,668,93324,092,776
三、营业利润523,153,174329,230,965-16,858,800342,572462,168,972
投资收益29,211,30829,072,99024,806,6765,342,6406,477,272
补贴收入67,665,19240,946,14240,946,14200
营业外收入205,842592,226591,166060,033
营业外支出172,383116,40215,80210,688214,377
以前年度损益调整00000
营业外收支净额33,458475,824575,364-10,688-154,344
四、利润总额620,063,132399,725,92149,469,3835,674,524468,491,900
所得税197,735,567123,142,3019,016,368304,054155,952,721
财政返还00000
少数股东权益13,432,063-170,67047,440-109,1611,614,980
购买日前净利润00000
未确认的投资损失00000
五、净利润408,895,501276,754,29040,405,5745,479,631310,924,199
年初未分配利润581,290,865581,290,865581,290,865581,290,865405,818,665
调整以前年度损益00000
盈余公积转入00000
住房周转金转入00000
其他转入00000
六、可分配利润990,186,367858,045,156621,696,439586,770,496716,742,864
提取法定盈余公积43,553,42300031,358,773
提取法定公益金21,776,71200015,679,386
职工奖金福利00000
提取储备基金00000
提取企业发展基金00000
七、可供股东分配的利润924,856,232858,045,156621,696,439586,770,496669,704,705
应付优先股股利00000
提取任意盈余公积金00000
应付普通股股利137,737,992137,737,992137,737,992088,413,840
转作股本的普通股股利00000
八、未分配利润787,118,240720,307,164483,958,447586,770,496581,290,865
金融街(000402) 利润表
报告期2004-09-302004-06-302004-03-312003-12-312003-09-30
一、主营业务收入1,011,625,013724,065,154479,251,4221,437,970,885874,346,969
折扣与折让00000
主营业务收入净额1,011,625,013724,065,154479,251,4221,437,970,885874,346,969
主营业务成本602,556,292433,985,600292,620,483875,824,911485,952,293
主营业务税金及附加77,131,27854,716,00334,589,763120,467,53878,044,641
二、主营业务利润331,937,442235,363,550152,041,176441,678,436310,350,035
其他业务利润2,358,440124,015-24,750-23,40026,100
存货跌价损失00000
营业费用8,298,1636,032,9242,668,95520,412,02914,691,565
管理费用45,959,39519,053,49615,004,60780,434,43851,573,039
财务费用16,079,6507,365,0963,947,22130,642,06427,389,569
三、营业利润263,958,674203,036,049130,395,643310,166,505216,721,962
投资收益7,939,5534,700,332-330,4481,630,7141,810,526
补贴收入00020,000,0000
营业外收入000231,43239,851
营业外支出173,8601,0000263,031216,545
以前年度损益调整00000
营业外收支净额-173,860-1,0000-31,599-176,694
四、利润总额271,724,367207,735,381130,065,195331,765,620218,355,793
所得税89,870,34069,639,71643,030,842123,193,17675,784,640
财政返还00000
少数股东权益760,658451,249318,4281,078,217-50,629
购买日前净利润00000
未确认的投资损失00000
五、净利润181,093,369137,644,41686,715,924207,494,227142,621,782
年初未分配利润405,818,665405,818,665405,818,665259,194,576229,723,296
调整以前年度损益00000
盈余公积转入00000
住房周转金转入00000
其他转入00000
六、可分配利润586,912,034543,463,081492,534,590466,688,803372,345,078
提取法定盈余公积00020,903,1470
提取法定公益金00010,495,7110
职工奖金福利00000
提取储备基金00000
提取企业发展基金00000
七、可供股东分配的利润586,912,034543,463,081492,534,590435,289,945372,345,078
应付优先股股利00000
提取任意盈余公积金00000
应付普通股股利88,413,84088,413,84088,413,84029,471,2800
转作股本的普通股股利00000
八、未分配利润498,498,194455,049,241404,120,750405,818,665372,345,078
金融街(000402) 利润表
报告期2003-06-302003-03-312002-12-312002-09-302002-06-30
一、主营业务收入649,113,991174,714,364924,183,890451,912,426255,907,377
折扣与折让00000
主营业务收入净额649,113,991174,714,364924,183,890451,912,426255,907,377
主营业务成本344,942,85692,435,855595,249,675311,184,187178,083,232
主营业务税金及附加60,195,00113,026,79059,958,38824,885,43314,222,950
二、主营业务利润243,976,13469,251,720268,975,826115,842,80563,601,195
其他业务利润26,10075,600000
存货跌价损失00000
营业费用10,131,2944,225,90112,930,9107,478,9416,228,906
管理费用23,860,49611,784,51846,140,34821,510,31814,862,846
财务费用19,081,7859,053,04027,811,72717,199,65411,477,226
三、营业利润190,928,65844,263,862182,092,84169,653,89331,032,217
投资收益1,824,22603,178,8692,698,2862,577,750
补贴收入0020,000,00000
营业外收入00104,01436,73236,732
营业外支出16,54515,0001,985,395152,3303,155
以前年度损益调整00000
营业外收支净额-16,5450-1,881,381033,577
四、利润总额192,736,34044,248,862203,390,33072,236,58133,643,544
所得税67,060,78314,595,25629,769,450-16,652,453-28,628,532
财政返还00000
少数股东权益3,54835,8136,545,3163,791,4893,300,242
购买日前净利润00000
未确认的投资损失00000
五、净利润125,672,00829,617,792167,075,56485,097,54558,971,834
年初未分配利润229,723,296229,723,296135,396,681135,396,681135,396,681
调整以前年度损益00000
盈余公积转入00000
住房周转金转入00000
其他转入00000
六、可分配利润355,395,305259,341,089302,472,245220,494,226194,368,515
提取法定盈余公积0017,095,74900
提取法定公益金0017,645,39100
职工奖金福利00000
提取储备基金00000
提取企业发展基金00000
七、可供股东分配的利润355,395,305259,341,089267,731,104220,494,226194,368,515
应付优先股股利00000
提取任意盈余公积金008,536,52800
应付普通股股利0029,471,28000
转作股本的普通股股利00000
八、未分配利润355,395,305259,341,089229,723,296220,494,226194,368,515
金融街(000402) 利润表
报告期2002-03-312001-12-312001-06-302000-12-312000-06-30
一、主营业务收入80,872,919857,282,451218,263,417220,558,55079,658,174
折扣与折让00000
主营业务收入净额80,872,919857,282,451218,263,417220,558,55079,658,174
主营业务成本61,401,026593,691,972145,064,554138,139,55456,063,320
主营业务税金及附加4,475,22747,424,23412,004,4889,794,0262,044,505
二、主营业务利润14,996,666216,166,24561,194,37572,624,97021,550,349
其他业务利润0-48,729-9,42519,851121,829
存货跌价损失00000
营业费用3,274,6285,254,337731,5862,174,4281,959,228
管理费用5,512,44516,672,4175,781,29516,466,5784,591,611
财务费用4,191,2646,603,512287,009-2,842,534997,736
三、营业利润2,018,328187,587,25154,385,06056,846,35014,123,603
投资收益07,483,3454,564,9311,996,8741,839,372
补贴收入020,000,000000
营业外收入0214,8150339,2100
营业外支出1,3457,9117,14600
以前年度损益调整00000
营业外收支净额0206,904000
四、利润总额2,016,983215,277,50058,942,84559,182,43415,962,975
所得税624,99358,774,1149,662,77019,047,3274,672,847
财政返还00000
少数股东权益220,8455,455,4061,338,594-3,5980
购买日前净利润00000
未确认的投资损失00000
五、净利润1,171,146151,047,97947,941,48140,138,70411,290,128
年初未分配利润138,095,19629,483,12623,233,80611,969,73811,969,738
调整以前年度损益00000
盈余公积转入00000
住房周转金转入00000
其他转入00000
六、可分配利润139,266,341180,531,10671,175,28752,108,44223,259,866
提取法定盈余公积015,499,94707,138,5300
提取法定公益金015,652,39807,138,5300
职工奖金福利00000
提取储备基金00000
提取企业发展基金00000
七、可供股东分配的利润139,266,341149,378,76171,175,28737,831,38223,259,866
应付优先股股利00000
提取任意盈余公积金07,686,76002,006,9350
应付普通股股利06,295,320000
转作股本的普通股股利00012,590,6400
八、未分配利润139,266,341135,396,68171,175,28723,233,80623,259,866
金融街(000402) 利润表
报告期1999-12-311999-06-301998-12-311998-06-301997-12-31
一、主营业务收入172,183,70482,450,735158,991,47475,798,462128,715,081
折扣与折让00000
主营业务收入净额172,183,70482,450,735158,991,47475,798,462128,715,081
主营业务成本140,465,64265,829,785127,075,81259,436,47699,405,399
主营业务税金及附加642,143279,340664,176478,413906,204
二、主营业务利润31,075,92016,341,61031,251,48615,883,5739,190,041
其他业务利润266,53789,096286,837177,302403,458
存货跌价损失18,9360000
营业费用7,220,5433,325,8065,339,5192,433,7643,278,742
管理费用14,041,9247,471,69314,164,6957,719,01613,683,964
财务费用6,797,9503,703,1708,150,1673,972,0682,250,730
三、营业利润3,263,1031,930,0383,883,9421,936,0269,593,500
投资收益9,594,360622,9161,021,477995,961508,385
补贴收入00000
营业外收入1,209,77470,065996,02348,2601,042,635
营业外支出75,77445,76385,05114,651268,420
以前年度损益调整00000
营业外收支净额00000
四、利润总额13,991,4622,577,2555,816,3922,965,59710,876,099
所得税2,007,609282,522624,855256,0211,404,600
财政返还00000
少数股东权益122,11644,412219,706131,843148,192
购买日前净利润00000
未确认的投资损失00000
五、净利润11,861,7372,250,3224,971,8322,577,7339,323,307
年初未分配利润1,485,6486,369,56914,836,62314,213,5346,310,040
调整以前年度损益00000
盈余公积转入00000
住房周转金转入00000
其他转入00000
六、可分配利润13,347,3858,619,89119,808,45516,791,26715,633,346
提取法定盈余公积1,717,43501,387,6880946,542
提取法定公益金604,4230247,4730473,271
职工奖金福利00000
提取储备基金00000
提取企业发展基金00000
七、可供股东分配的利润11,025,5278,619,89118,173,29416,791,26714,213,534
应付优先股股利00000
提取任意盈余公积金00000
应付普通股股利0011,803,72500
转作股本的普通股股利00000
八、未分配利润11,025,5278,619,8916,369,56916,791,26714,213,534
金融街(000402) 利润表
报告期1997-06-301996-12-311996-06-301995-12-311994-12-31
一、主营业务收入47,387,289102,559,69957,338,970113,289,58481,676,000
折扣与折让00000
主营业务收入净额47,387,289102,559,69957,338,970113,289,58481,676,000
主营业务成本078,070,636082,025,07557,873,000
主营业务税金及附加0692,8100392,895339,000
二、主营业务利润4,049,9817,247,5452,731,36813,994,04210,907,000
其他业务利润00000
存货跌价损失00000
营业费用01,346,24501,474,7131,281,000
管理费用011,714,429011,064,27710,149,000
财务费用03,488,03404,338,5831,128,000
三、营业利润07,247,5452,731,36813,994,0420
投资收益465,0000000
补贴收入0594,61401,993,2510
营业外收入0819,90209,8930
营业外支出041,869000
以前年度损益调整00000
营业外收支净额792,8010555,61100
四、利润总额5,307,7828,620,1923,286,97915,997,18610,778,000
所得税1,751,5682,844,6631,084,7035,279,0713,557,000
财政返还00000
少数股东权益00000
购买日前净利润00000
未确认的投资损失00000
五、净利润3,556,2145,775,5282,202,27610,718,1157,221,000
年初未分配利润01,641,294000
调整以前年度损益00000
盈余公积转入00000
住房周转金转入00000
其他转入00000
六、可分配利润07,416,823010,718,1150
提取法定盈余公积0577,55301,071,8110
提取法定公益金0288,77601,071,8110
职工奖金福利00000
提取储备基金00000
提取企业发展基金00000
七、可供股东分配的利润06,550,49308,574,4920
应付优先股股利00000
提取任意盈余公积金00000
应付普通股股利0006,933,1970
转作股本的普通股股利00000
八、未分配利润06,550,49301,641,2940
金融街(000402) 利润表
报告期1993-12-31
一、主营业务收入59,217,000
折扣与折让0
主营业务收入净额59,217,000
主营业务成本43,803,000
主营业务税金及附加1,366,000
二、主营业务利润4,218,000
其他业务利润0
存货跌价损失0
营业费用1,450,000
管理费用7,509,000
财务费用872,000
三、营业利润0
投资收益0
补贴收入0
营业外收入0
营业外支出0
以前年度损益调整0
营业外收支净额0
四、利润总额4,218,000
所得税498,000
财政返还0
少数股东权益0
购买日前净利润0
未确认的投资损失0
五、净利润3,721,000
年初未分配利润0
调整以前年度损益0
盈余公积转入0
住房周转金转入0
其他转入0
六、可分配利润0
提取法定盈余公积0
提取法定公益金0
职工奖金福利0
提取储备基金0
提取企业发展基金0
七、可供股东分配的利润0
应付优先股股利0
提取任意盈余公积金0
应付普通股股利0
转作股本的普通股股利0
八、未分配利润0
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