000498 山东路桥
2025/06 - 中期
人民幣(K¥)
与去年同期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
营业总收入28,575,0800.26%71,348,28473,024,15670,698,64957,522,290
减:营业总成本26,871,6240.23%66,680,02768,516,87066,195,74554,018,321
    其中:营业成本25,297,9401.04%61,927,39063,582,01862,141,18450,753,182
               财务费用345,834-22.22%758,479853,486424,078487,603
               资产减值损失(151,070)23.47%(778,343)(723,336)(273,051)(310,941)
公允价值变动收益----(3,439)3,39749(13,524)
投资收益49,011-57.42%313,120196,926178,368166,290
    其中:对联营企业和合营企业的投资收益18,137-2.83%179,126115,56586,14263,028
营业利润1,505,022-0.66%3,657,8513,728,2564,215,4653,393,665
利润总额1,495,015-1.25%3,656,7063,716,8794,227,5163,391,775
减:所得税费用211,109-1.78%635,247644,852783,826640,736
净利润1,283,906-1.17%3,021,4593,072,0273,443,6902,751,039
减:非控股权益255,367-8.65%699,120783,348746,432616,120
股东净利润1,028,5390.89%2,322,3392,288,6792,697,2582,134,918

市场价值指针
每股收益 (元) *0.525-0.38%1.2281.3321.6331.370
每股派息 (元) *0.02315.00%0.2000.1800.1600.125
每股净资产 (元) *10.14611.98%9.6139.0908.2086.820
审计意见 #--标准的无保留意见标准的无保留意见标准的无保留意见标准的无保留意见
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备注: *未调整数据
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