歌尔股份预计上半年净利11.8亿到12.65亿 盈利能力改善

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雷递网 乐天 7月15日

歌尔股份有限公司(证券代码:002241,证券简称:歌尔股份)日前发布业绩预告,歌尔股份预计2024年上半年归属于上市公司股东的净利润为11.8亿元到12.65亿元,较上年同期的4.22亿元增长180%到200%。

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歌尔股份预计2024年上半年扣除非经常性损益后的净利润为11.46亿到12.35亿元,较上年同期的4.4亿元增长160%到180%。

歌尔股份称,公司2024年半年度业绩变动的主要原因是:报告期内,在公司强化精益运营、修复提升盈利能力的经营导向下,智能声学整机和智能硬件业务的盈利能力得到改善。

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雷递由媒体人雷建平创办,若转载请写明来源。

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Based on the table of sample mean, sample variance, sample standard deviation, and variance-covariance matrix provided, we can briefly discuss the numbers as follows: - Sample mean: The sample mean represents the average value of each stock. We can see that among the five stocks, "格力电器" has the highest sample mean of 37.89, while "浪潮信息" has the lowest sample mean of 30.00. - Sample variance: The sample variance measures the dispersion of each stock's return around its mean. We can observe that the variance of each stock is quite different. "歌尔股份" has the highest variance of 45.66, while "江淮汽车" has the lowest variance of 9.18. - Sample standard deviation: The sample standard deviation is the square root of the sample variance, which measures the amount of risk associated with each stock. We can see that the standard deviation of each stock is also quite different. "歌尔股份" has the highest standard deviation of 6.76, while "江淮汽车" has the lowest standard deviation of 3.03. - Variance-covariance matrix: The variance-covariance matrix shows the covariance between each pair of stocks. The diagonal elements represent the variance of each stock, and the off-diagonal elements represent the covariance between each pair of stocks. We can see that the covariance between each pair of stocks is also different. For example, the covariance between "格力电器" and "歌尔股份" is the highest, which means that these two stocks are highly correlated. In summary, these numbers provide important information for investors to understand the risk and return characteristics of each stock and how they are related to each other. By analyzing these measures, investors can make informed decisions about building an optimal portfolio that balances risk and return.

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