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鼎龙文化 (002502)


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流通市值: 市盈率: 52周最高:5.39 52周最低:2.71

鼎龙文化(002502) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-312009-09-302008-12-312007-12-31
47,3577,30675,17512,9307,4863,05772,69662,65038,68521,96681,22756,94035,53817,54459,05735,56516,4365,54247,67835,72217,9486,01244,92134,21017,1085,45244,80834,78016,3656,86748,06339,36519,7357,36147,08835,84718,48343,10633,31638,14532,271
39,9334,57050,1832,6281,23535435,93534,10320,12411,85437,21127,19217,8269,78531,59620,8178,8333,65836,15327,07813,4344,48733,41625,27612,5303,92734,22826,50012,3155,31937,07530,17615,0355,69636,60727,49514,08834,63127,57431,25026,639
-380-2,437-128,2152,7492,81138940,46023,53415,9448,92833,65317,6309,4703,67212,5746,1472,8787333,7183,1421,3613343,9363,7051,5834304,7614,9832,1856715,4875,2342,3625915,0234,1271,8384,2202,8303,3882,797
-345-2,408-128,0022,8852,92951140,52624,43916,5339,68135,55918,8989,5283,88112,1995,5693,0498843,6953,1081,4143873,8233,6101,6074114,9795,1562,2737485,5395,2732,4997325,4494,4472,1404,6563,1203,4532,834
-40---139-148-109-623,4431,0948176342,3681,048686781-81547413983253951585161762427667764811351112736796380110754632370614424441425
-305-2,408-127,8623,0333,03857337,08223,34515,7169,04633,19017,8508,8413,10012,2805,0212,6377863,3712,7131,2563363,2062,9861,3313434,2164,3461,9226364,8034,4772,1206234,6953,8141,7704,0422,6963,0122,408
-0.00-0.03-1.490.040.040.010.420.270.180.100.350.180.210.070.350.140.070.020.120.100.050.030.230.210.100.030.300.310.140.070.550.510.240.070.690.580.270.610.410.460.40
21,42348,94146,02652,04961,83158,47567,30276,76369,78756,67380,27976,14665,19343,47943,87940,65839,02244,11836,22537,68237,35340,92644,43940,27944,04445,84852,42748,87350,90552,34355,20952,13352,88752,67555,9072,0043,7542,7541,1971,019
63,27844,21945,05611,29911,95921,73922,77030,60217,3049,19611,41627,56129,13633,71030,86623,79417,15620,01117,54621,26319,63316,70517,86522,93218,77116,62313,97618,74213,79212,18510,40316,0609,5789,0198,29713,5307,4983,5963,4931,787
3,51617,20515,89751,74050,56339,16622,59810,59219,42023,38929,62826,79327,31221,23820,5497,13112,40410,3358,0116,8387,5148,4236,5196,8527,2517,4136,0946,2967,3286,7836,6574,8838,4478,4406,3425,6988,4908,1917,8836,365
127,820137,426127,934130,365134,736131,872122,395127,273120,159122,326137,315144,045134,474109,918111,38879,17377,39982,39463,78069,47866,61168,49671,87273,50374,06871,59975,51677,24075,05374,03774,54175,64972,72172,93972,67123,56521,79719,36515,13510,824
6,948--6,1227,7268,6888,7478,8599,0389,1019,3499,18019,71318,56518,08318,30618,77019,49617,53017,67617,32717,45917,39217,61513,7239,1808,9069,0828,9388,2448,4098,2378,3818,4138,2048,1048,0787,9407,9647,8707,822
223,850239,147246,387383,344388,138383,185375,937361,494352,012350,885361,177372,218360,520332,410333,209191,743189,167192,16498,996100,46893,82793,67392,84092,65892,92190,01893,51590,59787,10586,59685,65186,35083,36783,17082,79833,75231,83629,49125,18420,630
8,02320,51525,04935,14734,39726,85318,03411,1749,07610,85530,28343,20340,96818,60422,60715,99314,83418,4786,8769,0064,2213,5803,0833,1205,0391,7205,5562,5081,4401,5851,2782,3021,6771,2171,46713,88314,01113,63713,3727,829
03,2773,2993,3413,3758,8608,73814,20114,20114,29414,2103045691461081322000000000000200000200200004,000
8,02323,79228,34938,48837,77235,71326,77225,37523,27725,14944,49343,23341,01218,67322,75316,10114,96618,4986,8769,0064,2213,5803,0833,1205,0391,7205,5562,5081,4401,5871,2782,3021,6771,2171,46714,08314,21113,63713,37211,829
215,826215,355218,038344,857350,367347,471349,165336,119328,735325,736316,684328,985319,508313,737310,456175,641174,201173,66692,12091,46289,60590,09389,75789,53787,88288,29787,95988,08985,66585,00984,37384,04881,69081,95381,33119,66917,62515,85411,8128,800
46,02646,02667,30267,30267,30267,30280,27980,27980,27980,27943,87943,87943,87943,87936,22540,30836,22540,30844,43944,43944,43944,43952,42752,42752,42752,41755,20955,20955,20955,20955,90755,90755,90755,9072,7542,7542,7541,1971,019376
-29,496-8,150-11,240-5,563-5,389-7,9479,7108,1253,370-52529,60729,95118,984-7,43518,4775,8671,148-2,7874,94490972168689-3,806-1,079-1,8751,315-2,945-1,674-1,4413,505-843-236-2,5905,0743879682,8407612,648
5,41011,091-6,071-5,947-4,566-729-19,032-8,061-10,394-23,065-9,992-1,109-3764,034-74,702-37,292-33,360-17,961-12,126-6,639-5,731-3,681-7,240-6,774-7,243-4,674-3,384-2,816-2,089-1,432-1,662-830-707-223-750-566-299-882-657-4,289
-514-8-4,042-3,8294,5000-3,447-3,444-3,395016,7962,9202,9423,00063,66631,71730,91924,585-1,024-1,024-1,4240-1,410-1,41000-636-636-5750-2,468-2,047-2,047-40748,997-288359-3521982,563
-24,6032,915-21,276-15,253-5,471-8,827-12,977-3,516-10,492-23,60736,40032,26721,314-4007,654350-1,2863,810-8,214-6,757-7,086-3,513-7,988-12,149-8,383-6,569-2,782-6,336-4,304-2,866-698-3,774-3,019-3,23253,153-7501,0001,557178643
21,42348,94146,02652,04961,83158,47567,30276,76369,78756,67380,27976,14665,19343,47943,87940,65834,93944,11836,22537,68237,35340,92644,43940,27944,04445,84852,42748,87350,90552,34355,20952,13352,88752,67555,9072,0043,7542,7541,1971,019
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