外高桥

- 600648

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外高桥(600648) 利润表
报告期2008-06-302008-03-312007-12-312007-09-302007-06-30
一、主营业务收入548,746,069240,514,768985,348,571665,597,283210,495,768
折扣与折让00000
主营业务收入净额548,746,069240,514,768985,348,571665,597,283210,495,768
主营业务成本487,084,176210,141,885839,649,881548,768,739163,113,345
主营业务税金及附加7,353,7223,399,92216,354,96710,334,6965,838,672
二、主营业务利润54,308,17126,972,961129,343,723106,493,84841,543,751
其他业务利润00000
存货跌价损失00000
营业费用22,037,53211,772,87554,648,23741,868,5879,461,533
管理费用36,208,42018,037,39669,900,81353,597,84528,743,903
财务费用40,299,42422,452,50775,591,48754,391,42843,731,441
三、营业利润-47,131,5092,026,300-55,921,702-38,280,846-35,499,384
投资收益45,380,8498,689,81558,107,08436,149,14814,865,896
补贴收入00000
营业外收入1,561,57146,14715,186,8692,882,229277,767
营业外支出875,053173,964893,779920,322803,327
以前年度损益调整00000
营业外收支净额686,518-127,81714,293,0911,961,906-525,560
四、利润总额-1,081,78010,588,29716,478,472-169,631-21,158,889
所得税2,450,988927,5642,651,9061,582,041308,656
财政返还00000
少数股东权益3,221,555-322,9453,269,8022,191,752-258,071
购买日前净利润00000
未确认的投资损失00000
五、净利润-6,754,3249,983,67810,556,764-3,943,424-21,209,473
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
外高桥(600648) 利润表
报告期2007-03-312006-12-312006-09-302006-06-302006-03-31
一、主营业务收入98,262,252478,175,176328,955,640196,609,04094,093,994
折扣与折让00000
主营业务收入净额98,262,252478,175,176328,955,640196,609,04094,093,994
主营业务成本79,551,046312,905,351222,578,695131,388,74164,694,293
主营业务税金及附加2,782,07811,192,1837,096,6984,719,1582,352,675
二、主营业务利润15,929,128154,077,64299,280,24760,501,14127,047,026
其他业务利润01,667,4021,241,206896,349512,792
存货跌价损失00000
营业费用4,135,991105,820,28873,605,68647,453,37926,158,168
管理费用13,769,301129,219,96449,328,88439,887,14215,515,955
财务费用19,039,28983,673,85350,921,73641,927,94417,913,340
三、营业利润-20,864,669-162,969,062-73,334,853-67,870,974-32,027,646
投资收益8,420,529171,237,37487,202,59382,463,04737,958,762
补贴收入07,217,5903,260,2412,501,2290
营业外收入6,150127,04676,99040,7376,419
营业外支出90,7572,693,3061,363,2701,330,2201,329,002
以前年度损益调整00000
营业外收支净额-84,607-2,566,260-1,286,280-1,289,483-1,322,583
四、利润总额-12,528,74712,919,64315,841,70115,803,8184,608,534
所得税112,6722,139,821850,450707,195577,540
财政返还00000
少数股东权益-307,056-456,477-1,249,681-854,941-581,046
购买日前净利润00000
未确认的投资损失01,960,769007,553,891
五、净利润-12,334,36413,197,06716,240,93215,951,56512,165,931
年初未分配利润0-128,357,7620-128,357,7620
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0-115,160,6950-112,406,1980
提取法定盈余公积0431,165000
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0-115,591,8600-112,406,1980
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0-115,591,8600-112,406,1980
外高桥(600648) 利润表
报告期2005-12-312005-09-302005-06-302005-03-312004-12-31
一、主营业务收入341,694,342314,212,111213,896,80861,668,070516,114,569
折扣与折让00000
主营业务收入净额341,694,342314,212,111213,896,80861,668,070516,114,569
主营业务成本203,389,239197,315,820128,200,21640,753,288353,865,122
主营业务税金及附加7,205,7315,385,8054,444,924-236,75810,205,454
二、主营业务利润131,099,372111,510,48781,251,66921,151,540152,043,993
其他业务利润1,941,2631,127,513704,134171,7891,766,370
存货跌价损失00000
营业费用73,080,54063,271,91429,849,81613,140,12940,372,180
管理费用299,302,378113,181,18961,465,3468,290,65460,329,071
财务费用81,796,97760,821,58945,762,45424,506,27158,827,034
三、营业利润-321,139,259-124,636,692-55,121,813-24,613,726-5,717,922
投资收益119,200,365123,133,12043,167,9334,790,01267,300,977
补贴收入2,858,3703,903,3702,280,57001,917,800
营业外收入1,399,54628,496,32828,343,71528,000,00014,223,388
营业外支出831,926549,592544,494120,0007,629,696
以前年度损益调整00000
营业外收支净额567,62127,946,73627,799,22127,880,0006,593,692
四、利润总额-198,512,90430,346,53418,125,9118,056,28670,094,547
所得税5,733,8719,174,7102,335,971787,3419,913,454
财政返还00000
少数股东权益20,989445,823-619,273-822,5191,550,535
购买日前净利润00000
未确认的投资损失00000
五、净利润-204,267,76320,726,00216,409,2138,091,46458,630,558
年初未分配利润76,496,909091,670,299027,433,505
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-127,770,8540108,079,512086,064,063
提取法定盈余公积391,2720006,378,103
提取法定公益金195,6360003,189,051
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-128,357,7620108,079,512076,496,909
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-128,357,7620108,079,512076,496,909
外高桥(600648) 利润表
报告期2004-09-302004-06-302004-03-312003-12-312003-09-30
一、主营业务收入355,168,610211,259,70967,515,344355,044,090253,308,592
折扣与折让00000
主营业务收入净额355,168,610211,259,70967,515,344355,044,090253,308,592
主营业务成本241,439,586154,369,63254,645,115237,629,716167,212,406
主营业务税金及附加5,649,7123,582,106861,1364,528,8723,737,307
二、主营业务利润108,079,31253,307,97112,009,093112,885,50182,358,879
其他业务利润1,274,630981,883463,5188,903,535976,583
存货跌价损失00000
营业费用23,565,26315,497,3807,663,28240,882,52732,336,343
管理费用35,385,41020,665,0606,869,31351,771,48533,182,055
财务费用50,380,01629,742,46512,033,00661,939,13542,542,283
三、营业利润23,252-11,615,051-14,092,990-32,804,112-24,725,219
投资收益26,063,2899,807,85614,138,57647,846,83243,835,996
补贴收入1,827,8004,576,26512816,635,109365,878
营业外收入2,276,6052,190,7631,135,7071,460,523982,515
营业外支出208,123137,86220,4465,618,221141,687
以前年度损益调整00000
营业外收支净额2,068,4832,052,9021,115,261-4,157,698840,828
四、利润总额29,982,8234,821,9711,160,97527,520,13120,317,483
所得税4,456,975830,396119,178892,2883,588,181
财政返还00000
少数股东权益-1,527,584-1,092,882-1,197,9311,615,052275,148
购买日前净利润00000
未确认的投资损失00000
五、净利润27,053,4325,084,4572,239,72825,012,79216,454,154
年初未分配利润027,433,505010,223,2040
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032,517,963035,235,9960
提取法定盈余公积0005,201,6600
提取法定公益金0002,600,8300
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032,517,963027,433,5050
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032,517,963027,433,5050
外高桥(600648) 利润表
报告期2003-06-302003-03-312002-12-312002-09-302002-06-30
一、主营业务收入138,074,97596,886,017180,927,148150,732,489115,447,227
折扣与折让00000
主营业务收入净额138,074,97596,886,017180,927,148150,732,489115,447,227
主营业务成本85,570,26862,701,528119,379,232107,868,23486,457,432
主营业务税金及附加3,626,2613,053,7216,309,0995,425,3964,495,014
二、主营业务利润48,878,44731,130,76855,238,81737,438,85924,494,780
其他业务利润901,8119,9964,191,340397,683278,786
存货跌价损失00000
营业费用20,269,01111,402,36333,973,87723,879,13915,193,472
管理费用28,878,3368,869,107137,295,63916,553,71111,066,743
财务费用31,150,41314,692,28865,484,12246,101,60032,339,394
三、营业利润-30,517,502-3,822,995-177,323,480-48,697,907-33,826,042
投资收益48,268,44312,663,9235,679,64314,301,68825,521,239
补贴收入687,155027,395,0008,131,3247,285,000
营业外收入190,11282,72031,207,965762,979235,151
营业外支出84,12818,3517,502,553231,127228,284
以前年度损益调整00000
营业外收支净额105,98464,36923,705,41206,867
四、利润总额18,544,0808,905,297-120,543,425-25,733,043-1,012,937
所得税3,271,97042,9505,237,302241,992208,640
财政返还00000
少数股东权益-157,419342,926-1,940,530-267,718-219,346
购买日前净利润00000
未确认的投资损失01,695,553015,493,5057,583,958
五、净利润15,429,52910,214,975-123,840,197-10,213,8136,581,726
年初未分配利润30,180,5600154,493,1150181,907,753
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45,610,089030,652,9180188,489,480
提取法定盈余公积00314,90500
提取法定公益金00157,45300
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45,610,089030,180,5600188,489,480
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45,610,089030,180,5600188,489,480
外高桥(600648) 利润表
报告期2002-03-312001-12-312001-06-302000-12-312000-06-30
一、主营业务收入24,562,861203,123,42583,475,13092,492,38643,412,171
折扣与折让0001,2740
主营业务收入净额24,562,861203,123,42583,475,13092,491,11143,412,171
主营业务成本12,376,214153,686,97362,327,78450,950,47323,081,213
主营业务税金及附加836,3247,582,6942,666,5202,778,3031,210,617
二、主营业务利润11,350,32341,853,75818,480,82538,762,33519,120,340
其他业务利润1,334329,641625,203859,769378,724
存货跌价损失0002,119,3993,389
营业费用7,693,41431,741,88515,046,04332,207,61916,685,638
管理费用4,908,814-1,989,3958,753,02317,673,2729,576,200
财务费用15,883,88650,673,72023,194,38751,513,43526,539,289
三、营业利润-17,134,457-38,242,811-27,887,425-63,891,620-33,305,451
投资收益4,641,11824,818,72033,217,24357,888,10616,905,699
补贴收入0908,000019,089,08822,190,000
营业外收入164,8743,316,3811,599,6005,277,7642,797
营业外支出10,012123,02017,65115,055,55544,498
以前年度损益调整00000
营业外收支净额03,193,360000
四、利润总额-12,338,478-9,322,7306,911,7683,307,7835,748,547
所得税24,72950,750634,3942,865,7201,082,587
财政返还00005,837,777
少数股东权益-135,708-1,044,864-441,165-634,001-330,069
购买日前净利润00000
未确认的投资损失4,088,15017,498,8294,961,66322,702,0410
五、净利润-8,139,3509,170,21411,680,20223,778,10510,833,805
年初未分配利润0243,072,874243,505,089233,186,553233,186,553
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0252,243,088255,185,291256,964,658244,020,359
提取法定盈余公积01,735,22302,432,3110
提取法定公益金0867,61101,216,1560
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0249,640,253255,185,291253,316,191244,020,359
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067,732,500000
八、未分配利润0181,907,753255,185,291253,316,191244,020,359
外高桥(600648) 利润表
报告期1999-12-311999-06-301998-12-311998-06-301997-12-31
一、主营业务收入118,192,92546,677,171164,002,356222,490,280823,042,106
折扣与折让00000
主营业务收入净额118,192,92546,677,171164,002,356222,490,280823,042,106
主营业务成本78,607,32127,066,94482,194,639109,532,345512,279,798
主营业务税金及附加2,426,432673,877-4,772,259-1,713,94123,972,589
二、主营业务利润37,159,17318,936,35086,579,976114,671,876154,295,604
其他业务利润798,815599,5441,247,0122,861,6567,203,135
存货跌价损失-194,5590441,64800
营业费用31,237,60714,733,76436,937,12816,820,80413,279,977
管理费用22,347,2699,449,91912,692,05021,794,61555,734,546
财务费用31,485,19221,138,84454,513,53356,958,51663,451,898
三、营业利润-46,917,522-25,786,633-16,757,37121,959,598161,498,740
投资收益66,720,50853,723,235157,795,86915,606,0476,950,736
补贴收入13,164,3452,126,57510,104,52620,071,999127,998
营业外收入50,578020,939356,346119,862
营业外支出155,399104,36169,45038,538225,342
以前年度损益调整00000
营业外收支净额00000
四、利润总额32,862,51029,958,816151,094,51357,955,452168,471,994
所得税5,581,8254,008,84220,974,7224,910,04021,116,133
财政返还00000
少数股东权益-1,107,672-339,609-249,6872,168,88816,127,854
购买日前净利润00000
未确认的投资损失2,107,0030000
五、净利润30,495,35926,289,582132,716,65450,876,524131,228,007
年初未分配利润270,028,046285,865,633139,969,575028,534,852
调整以前年度损益00000
盈余公积转入0034,721,45800
住房周转金转入00000
其他转入00000
六、可分配利润300,523,406312,155,215307,407,6870159,762,859
提取法定盈余公积3,248,075014,361,369012,621,411
提取法定公益金1,624,03707,180,68505,859,238
职工奖金福利0000832,723
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295,651,293312,155,215285,865,6330140,449,487
应付优先股股利00000
提取任意盈余公积金889,740000123,000
应付普通股股利0061,575,00000
转作股本的普通股股利61,575,00061,575,000000
八、未分配利润233,186,553250,580,215224,290,6330140,326,487
外高桥(600648) 利润表
报告期1997-06-301996-12-311996-06-301995-12-311995-06-30
一、主营业务收入423,716,824648,155,349307,433,557468,585,391314,110,878
折扣与折让00000
主营业务收入净额423,716,824648,155,349307,433,557468,585,391314,110,878
主营业务成本0423,346,0380248,231,8090
主营业务税金及附加026,466,829017,692,6650
二、主营业务利润84,017,205107,338,69663,203,582157,165,70391,484,193
其他业务利润2,113,2503,035,0192,864,3983,688,0347,337,147
存货跌价损失00000
营业费用018,751,199017,770,0980
管理费用036,747,536040,688,0340
财务费用034,818,5220-13,496,2720
三、营业利润0110,373,7150160,853,7370
投资收益2,533,75415,987,7117,280,31825,208,46015,870,876
补贴收入5,366,176768,050412,9185,784,4780
营业外收入0674,31701,839,9030
营业外支出0143,0010249,7690
以前年度损益调整011,487,979-10,525-3,311,4970
营业外收支净额103,2360143,00102,217,620
四、利润总额94,133,622139,148,77073,893,692190,125,312116,909,836
所得税14,030,43620,735,40610,116,07418,431,2108,702,237
财政返还00000
少数股东权益5,731,9144,514,2886,322,19150,486,05044,453,108
购买日前净利润00000
未确认的投资损失00000
五、净利润74,371,271113,899,07657,455,426121,208,05263,754,491
年初未分配利润02,109,0030-21,260,7320
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0116,008,079099,947,3200
提取法定盈余公积017,149,674015,140,6090
提取法定公益金06,438,87205,524,6620
职工奖金福利02,309,682011,286,3370
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090,109,852067,995,7120
应付优先股股利00000
提取任意盈余公积金0004,311,7090
应付普通股股利061,575,000061,575,0000
转作股本的普通股股利00000
八、未分配利润028,534,85202,109,0030
外高桥(600648) 利润表
报告期1994-12-311994-06-301993-12-311993-06-30
一、主营业务收入750,864,340506,862,108740,282,465182,150,655
折扣与折让0000
主营业务收入净额750,864,340506,862,108740,282,465182,150,655
主营业务成本00523,501,9590
主营业务税金及附加0041,048,1880
二、主营业务利润376,459,150207,830,990289,335,20866,028,702
其他业务利润2,320,190553,45312,952,387536,488
存货跌价损失0000
营业费用001,976,6110
管理费用009,002,6790
财务费用00-124,582,1800
三、营业利润00302,287,5950
投资收益7,901,9007,339,188759,7930
补贴收入0000
营业外收入001,063,1830
营业外支出002,0080
以前年度损益调整0000
营业外收支净额1,245,9204,375,9270702,661
四、利润总额387,927,160220,099,558304,108,56267,267,851
所得税37,328,06016,024,0131,844,727305,422
财政返还0000
少数股东权益107,395,89090,944,60775,395,61924,951,126
购买日前净利润0000
未确认的投资损失0000
五、净利润221,064,530113,130,938226,868,21642,011,302
年初未分配利润215,041,900022,454,8240
调整以前年度损益00-250,9060
盈余公积转入0000
住房周转金转入0000
其他转入0000
六、可分配利润436,106,4300250,916,8610
提取法定盈余公积22,106,450022,686,8220
提取法定公益金22,106,450011,343,4110
职工奖金福利0000
提取储备基金0000
提取企业发展基金0000
七、可供股东分配的利润391,893,5300215,041,9010
应付优先股股利0000
提取任意盈余公积金22,686,820000
应付普通股股利182,500,000000
转作股本的普通股股利0000
八、未分配利润186,706,7100215,041,9010
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