002024 ST苏宁易购
2025/09 - 九个月
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38,131,0950.29%56,791,46162,627,45571,374,153138,904,337
减:营业总成本39,782,3011.58%57,633,42366,501,44587,029,559160,002,029
    其中:营业成本30,456,7082.23%44,286,30550,769,65765,969,485129,738,157
               财务费用2,143,681-9.01%3,374,3103,553,4764,501,5913,622,162
               资产减值损失(178,091)32.40%(580,216)(1,461,778)(6,147,716)(16,385,309)
公允价值变动收益80,309-274.19%(322,373)(142,953)115,439(124,363)
投资收益2,654,36258.22%2,566,274852,108(410,077)(11,686,618)
    其中:对联营企业和合营企业的投资收益238,120-10.17%378,351(183,355)(676,376)(14,033,112)
营业利润614,841-3.74%836,519(3,925,458)(19,367,707)(51,675,034)
利润总额98,437-78.05%224,420(4,207,816)(19,551,628)(52,073,411)
减:所得税费用22,338-119.16%(386,646)69,127(2,749,441)(7,894,050)
净利润76,099-86.53%611,066(4,276,943)(16,802,187)(44,179,361)
减:非控股权益2,769-108.12%455(187,406)(581,709)(914,752)
股东净利润73,330-87.76%610,611(4,089,537)(16,220,478)(43,264,609)

市场价值指针
每股收益 (元) *0.008-87.67%0.070-0.450-1.780-4.650
每股派息 (元) *------------
每股净资产 (元) *1.3594.09%1.3421.2221.7313.448
审计意见 #--带持续经营重大不确定性段落的无保留意见带持续经营重大不确定性段落的无保留意见带与持续经营相关的重大不确定性段落的无保留意见带与持续经营相关的重大不确定性段落的无保留意见
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