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双象股份 (002395)


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流通市值: 市盈率: 52周最高:26.76 52周最低:9.23

双象股份(002395) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-03-312008-12-312007-12-31
66,29732,054139,56597,94366,47428,545127,34490,86958,60324,926105,60575,07449,74421,23499,04971,28746,57117,53480,32757,53133,68912,49854,91539,24825,41810,89250,88437,31824,16211,04150,58337,63124,66412,12150,50037,16524,60811,49345,65632,3088,86441,45742,576
59,93928,775124,48087,21658,16524,754114,78681,96752,46122,19290,80264,30642,59118,10587,93863,75242,51316,21474,26153,49631,39911,52248,11434,21221,9889,35243,93631,98020,7259,36042,90431,44120,3999,94841,26030,48320,0799,42038,52927,5807,69735,84937,487
1,0175524,3303,8503,5091,2923,7302,7022,4311,0246,4975,0753,4601,2983,0132,093605-16632448544-3981,8832,0861,5344003,2332,9342,1408554,3313,8833,0451,2665,1313,9362,6141,1564,9073,1766683,6103,586
2,3255474,1593,7153,3691,2873,7232,7402,4481,0436,2984,7473,5791,3693,3932,238716-97475694174-3032,0792,2081,6004403,3713,0582,1918654,7624,2973,4111,6175,2774,0122,6741,1724,9833,2306923,9514,105
3092265696805563356726024212258411,16779232132413615347297323225226535023552539465325121768665541232792628425176766501113623868
2,0163213,5903,0352,8139523,0512,1382,0278185,4573,5802,7871,0483,0692,101563-144178371-50-3051,8141,8591,3653882,8322,5931,8677453,9943,6322,8701,3854,4853,3842,2499964,2172,7295803,3283,237
0.110.020.120.090.080.010.070.050.060.020.200.130.110.040.130.090.040.000.040.050.02-0.010.110.110.160.040.320.290.210.080.450.410.320.150.550.430.300.150.630.410.090.500.48
19,79117,44225,68820,07225,83720,95423,82321,84223,70722,03030,07030,03129,61127,77229,59623,75926,24218,36418,73616,72918,89817,90224,95723,97730,32325,06830,67632,40633,94538,20333,03435,26937,17939,49850,84851,01658,58610,50713,3195,2854,043
8,7148,4819,3339,71510,9189,3958,35911,08011,01510,5999,52210,57910,85910,5239,61511,09211,98611,21310,31712,06112,48312,90811,46612,43912,12412,91710,88911,74011,43511,3319,85110,5479,69810,2958,2299,2639,3828,1455,8424,4023,184
40,87938,60934,24237,20036,68137,44530,13430,83432,71333,79527,05727,20826,60127,80625,80329,83527,83432,37735,64232,82433,94635,89727,98325,66425,89025,29423,73724,47825,28825,22323,70523,18721,53718,92716,41314,85213,41712,14111,57212,41212,257
85,46679,41779,47775,99489,84884,60578,65683,08182,07579,81778,39178,43679,76179,28776,67676,53177,96169,21571,46671,19671,28272,79067,08564,53970,63666,02267,14874,28073,03779,71869,65779,90578,26181,40582,09281,63585,04033,82432,18023,39920,353
32,983--34,28827,11126,12326,88527,35027,30427,80627,63227,48528,51629,28829,70630,78931,82432,75833,81934,17334,43535,02235,84436,48222,99323,34723,83123,38223,77213,93014,42214,92011,52911,95312,38512,7649,5959,87610,21410,52311,71512,937
134,073129,944130,288127,913141,521136,372129,342132,373128,934125,984124,927118,138119,440118,658116,853117,160119,358111,707114,351113,180113,916116,704111,639105,891108,644102,673101,570102,639101,535106,65595,90199,76197,79594,59295,29294,48497,26245,93743,34335,75133,400
45,96142,46643,34141,49941,82239,32033,22037,14432,36230,59930,33925,39127,94827,97427,18028,41932,11724,24126,70627,28728,41429,78123,35817,53420,74917,53616,79015,43015,03721,26516,04120,24719,02914,61416,68317,37721,27520,11518,50218,71615,133
3111,3721,1631,1851,2064204424644865085295666036406777137507898246516827137457768078388698558708859019169319469611,0261,0415,0565,0711,4816,041
46,27243,83844,50442,68443,02939,74133,66337,60732,84831,10730,86925,95728,55128,61427,85729,13232,86825,03027,53027,93829,09630,49424,10218,31021,55618,37417,66016,28615,90822,15016,94121,16319,96015,55917,64418,40322,31525,17123,57220,19721,174
87,80086,10685,78485,23098,49296,63195,68094,76696,08694,87794,05992,18290,88990,04488,99688,02886,49086,67786,82185,24284,82186,20987,53687,58187,08784,29883,91086,35385,62784,50578,96078,59877,83679,03377,64876,08174,94720,76719,77115,55412,226
22,69622,69619,12119,12119,12119,12125,00725,00725,00725,00727,72727,72727,72727,72718,07918,07918,07918,07921,57621,57621,57621,57625,90825,90825,90825,90829,77029,77029,77029,77045,55945,55945,55945,55910,37313,31913,31913,3195,2855,2855,2854,0435,239
-4,412-5,92413,7355,3481,484-2,9332,627-1,460-4,135-6,62712,1384,4483,386-84517,1389,0508,1252,300-5,432-7,984-5,982-9,7242,6481,2571,580-1,6304,825628-400-523-3,928-2,299-3143382,418-1,8132852756,3332,9221002,4082,228
835-275-1,416-139-1,002-715-6,739-4,440-1,416-797-8,929-2,367-1,454-365-2,063-1,102-905-632-3,957-1,890-1,873-1,648-11,905-6,010-4,355-3,342-9,829-7,079-3,961-2,044-11,958-10,332-9,009-6,390-11,728-7,408-4,223-2,994-913-349-159-706-3,004
-2,706-3,055-9,228-6,6443,0321,794-1,244-464-1,669-2,013-6,520-2,527-2,484-442-5,732-4,520-1,363-3,1565,9173,0716762,0054,968-15-109-2,7081,2077,7927,4909,779185-1,997-2,014-544,54146,88549,220-91-3341,756-1,098-449-410
-6,257-9,4493,575-8923,647-2,209-5,886-6,747-7,414-9,512-2,720-292-396-1,6999,6473,6615,817-1,483-3,497-6,821-7,193-9,360-4,332-4,795-2,907-7,680-3,8611,3673,1597,224-15,789-14,673-11,358-6,06135,18637,69745,267-2,8125,0884,329-1,1601,241-1,196
16,43913,24822,69618,22922,76816,91319,12118,26017,59315,49525,00727,43527,33126,02827,72721,74023,89616,59618,07914,75514,38312,21621,57621,11423,00218,22825,90831,13632,92936,99429,77030,88634,20139,49845,55951,01658,58610,50710,3739,6144,1255,2854,043
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