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天邦股份 (002124)


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流通市值: 市盈率: 52周最高:23.47 52周最低:4.84

天邦股份(002124) 财务报表摘要

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报告日期
利润表摘要
营业收入(万元)
营业成本(万元)
营业利润(万元)
利润总额(万元)
所得税费用(万元)
净利润(万元)
基本每股收益
资产负债表摘要
货币资金(万元)
应收账款(万元)
存货(万元)
流动资产合计(万元)
固定资产净额(万元)
资产总计(万元)
流动负债合计(万元)
非流动负债合计(万元)
负债合计(万元)
所有者权益(或股东权益)合计(万元)
现金流量表摘要
期初现金及现金等价物余额(万元)
经营活动产生的现金流量净额(万元)
投资活动产生的现金流量净额(万元)
筹资活动产生的现金流量净额(万元)
现金及现金等价物净增加额(万元)
期末现金及现金等价物余额(万元)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
445,431294,056124,509451,895317,898186,23284,330306,106226,397134,61455,834237,046179,270107,98441,335214,129167,901101,99640,410260,335206,021103,98939,752207,840157,62679,70136,086204,204152,34382,20932,231173,645127,55261,76523,386110,64482,17338,16314,67296,90275,79938,34814,864105,14386,11943,25014,12855,83836,18312,3593,31635,65030,33311,6433,282
398,038283,972132,128399,057270,063161,14068,270231,334171,409101,31440,238161,418119,14671,38129,533171,102136,44786,93035,983227,239181,67791,48035,017178,695135,44670,19832,797178,491130,24170,22227,396147,117109,02853,86920,56894,94570,07032,89412,81980,38862,99832,21212,45090,99473,84337,31312,30446,03329,59410,5273,06628,67524,2039,6903,070
12,176-29,196-27,152-49,03914,9859,9603,71425,59421,42712,1315,56637,60634,59620,2786,71710,8204,526-2,066-3,095-5,417-6,163-4,465-3,616-671-1,031-4,301-3,837-4,164-1,119-2,625-1,9674,1532,615-989-1,499204689-1,465-1,3375,4534,888-487-592-5271,873300-4661,7222,37358-5902,2481,819-226-926
4,423-36,500-33,526-54,85114,2879,5353,52427,70723,31614,2465,47238,38135,07220,6627,06912,5796,376-1,925-2,5634,3262,6282,0968277,8045,234-536-1,7365,5305,6681,5731274,7332,825-810-1,4804,1354,3062,9684405,9505,142-401-51511,16713,24111,395-4722,8542,785379-6102,0091,812-227-922
3,060318942,6652,4161,5993951,7781,4077592731,1079233922461,8191,2464761421,6081,153639453910661164344056292235427244610218-154569443294347702215371,8553,1732,846591885511291711
1,363-36,818-33,620-57,51611,8717,9363,12925,92921,90913,4875,19937,27434,14920,2706,82310,7605,130-2,400-2,7052,7181,4751,4573746,8954,573-699-1,7705,1255,0391,350734,4612,378-912-1,4984,2893,7382,5251465,6034,440-616-5529,31210,0688,549-5302,6662,729378-6111,9801,794-228-923
0.01-0.32-0.29-0.490.100.070.040.340.300.190.080.590.540.320.240.510.25-0.10-0.120.160.090.080.020.300.20-0.05-0.080.220.220.04-0.010.150.09-0.06-0.080.190.170.120.010.390.30-0.07-0.050.650.700.58-0.120.350.410.06-0.120.430.39-0.01-0.15
73,19474,61751,65847,85643,10473,05460,09742,95256,56573,200163,34517,24715,80918,45021,51931,84017,93818,6968,61920,80419,73926,57228,37331,48322,1618,4117,69915,50011,39410,48912,87414,7777,25911,8579,24310,85013,2788,55313,02712,0709,9069,47211,37413,0758,92227,9257,84311,6528,57110,78020,3484,277
12,9969,8646,9735,60817,35411,4357,1624,64310,91010,42514,34012,88822,16213,22814,6094,48615,35012,58510,4538,08917,21010,0519,4183,73614,6329,13012,0477,35113,9798,6218,5428,27216,9566,0804,1723,74015,1796,2314,8164,47712,8267,7728,45110,13019,3579,6948,05110,04011,3244,6754,7156,104
93,94687,711135,775149,072152,868130,839117,48299,75476,05467,84661,59348,82541,85038,52635,75534,68336,93335,63539,74842,09838,39535,04230,22624,47623,60031,64031,17025,26428,29134,90027,11322,47420,39922,37322,90417,98015,08518,50613,1369,80111,35012,76510,20410,90219,92416,68015,73011,0218,7178,5875,2573,980
237,921202,566227,559233,301253,333254,473206,773168,518171,383177,756269,92898,345101,50887,83587,88387,46085,13881,35671,63584,42499,335113,808112,502103,32175,72762,53465,70857,62764,46264,67455,77751,61753,59647,01142,13038,00948,27839,04138,43430,48342,06135,31734,23636,58452,63862,13239,11135,96432,66425,65132,84315,038
--228,705--205,648161,808155,877145,837142,929111,886107,61471,48374,04267,47067,78564,96568,70669,05366,07366,66367,31265,43547,27246,51847,57547,92836,52937,24737,71737,90537,99338,79339,61033,07933,52232,93931,86732,65233,75227,24728,17027,64429,28523,05023,37522,00116,33418,44318,73012,0439,68810,0008,677
680,527602,106617,441622,877642,854609,092516,548444,316401,248390,994432,862249,009228,078207,046200,080196,730189,805185,376178,144188,456192,015184,515180,879171,517142,159126,101128,718116,785120,640119,447110,637107,215108,483102,00597,08490,77399,16288,13785,38477,07286,89880,85280,21581,11993,53787,94565,23762,39657,30944,87850,36231,839
386,053351,244369,725346,802325,236302,174207,208137,73796,24395,270137,584105,55788,16080,78681,04282,860124,130125,101118,649126,239130,991128,511123,977115,18288,45277,08678,61764,84868,74071,43561,82858,22660,81858,20247,31239,94148,29438,21832,17824,10534,67934,84939,44036,93151,43047,26532,33028,95924,11417,59022,49716,083
53,08447,81741,70736,3838,4922,0601,7441,7982,0321,3881,0011,0109699769831,3239641942032122202292332362382412432462562582605639299425,5075,5156,0586,3379,1618,8919,2948,9941,7091,709--0----30401,5005,400
439,137399,061411,433383,185333,727304,234208,952139,53598,27696,658138,585106,56789,12981,76282,02684,183125,095125,296118,852126,450131,211128,740124,210115,41888,69077,32778,86065,09468,99671,69362,08858,78961,74759,14552,81945,45754,35244,55541,33932,99643,97343,84241,14938,64051,43047,26532,33028,95924,41817,59023,99721,483
241,390203,046206,008239,691309,127304,858307,596304,781302,973294,336294,277142,442138,949125,284118,054112,54764,71060,08059,29262,00660,80355,77656,66956,09953,46948,77449,85851,69251,64447,75348,54948,42646,73642,86144,26645,31744,81043,58244,04544,07642,92537,01039,06642,47942,10640,68132,90733,43732,89127,28926,36510,355
43,19143,19143,19141,77841,77841,77841,77816,12316,12316,12316,12331,42331,42331,42331,84020,80420,80420,80420,80422,63422,63418,48318,48315,50015,50015,50015,50014,77714,77714,77714,77710,85010,85010,85011,00712,07012,07012,07012,07013,07513,07513,07513,07511,65211,65211,65211,6524,2774,2774,2774,2772,7262,7262,7262,726
6,2178,823-4,49118,9969,934-7,21614933,4802,0622,943-6,58751,30210,45911,4752,14222,05513,1757,5591028,523-5,183-635-3,74018,3032,635-10,183-11,20210,4945,5571,357-2,1375,953-1,4772,486-1,35639-5,980-6,032-3,84714,6453,4154,6232,5151,692-9,748-625-3,529-5,572-7,292-3,563-3,255377-4,1711,591227
-68,255-32,450-21,421-170,972-137,103-86,896-41,385-127,915-60,498-41,610-15,752-62,910-13,937-6,052-678-8,618-6,607-4,326-2,731-22,152-12,902-2,416772-40,507-8,673-5,661-5,303-6,850-3,948-2,648-526-5,333-3,968-3,110-2,301-9,648-2,845187-1,082-6,224-3,585-5,643-4,775-5,692-2,3157,173-2,592-9,408-7,054-4,515-1,929-1,598-420-895-2,673
79,08142,53829,609153,324123,911121,01258,126120,12798,44395,579169,261-3,773-12,509-18,634-11,808-2,820-9,430-5,337-9,55911,81615,124-1,869-16325,23112,7048,7748,709-2,941-4,991-2,9967613,3121,8791,6351,8988,40410,0412,3225,893-9,269-2,987-2,5925655,4519,3959,7992,31222,35618,64014,58121,2562,7726,3935,0409,212
17,08618,9103,6441,413-3,19326,92616,84625,65539,98756,805146,913-15,300-15,930-13,160-10,32110,618-2,866-2,109-12,186-1,830-2,896-4,912-3,1102,9836,661-7,089-7,801723-3,383-4,288-1,9033,927-3,5911,007-1,764-1,2201,208-3,517957-1,005-3,169-3,603-1,7001,423-2,73116,273-3,8097,3764,2956,50316,0711,5511,8025,7356,765
60,27762,10146,83543,19138,58568,70458,62441,77856,11072,928163,03616,12315,49318,26221,51931,42317,93818,6968,61920,80419,73913,57215,37318,48322,1618,4117,69915,50011,39410,48912,87414,7777,25911,8579,24310,85013,2788,55313,02712,0709,9069,47211,37413,0758,92227,9257,84311,6528,57110,78020,3484,2774,5288,4619,491
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