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中青宝 (300052)


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流通市值: 市盈率: 52周最高:14.4 52周最低:7.62

中青宝(300052) 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)
2019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302008-12-312008-09-302007-12-312006-12-31
8,57733,40119,96514,4227,45131,32222,98016,6536,96232,13519,68711,8796,23934,30927,45515,4486,64448,95332,97120,51410,09432,44818,02211,4274,34318,49912,7177,8763,07213,2017,9394,3701,5617,9605,2263,6241,7577,8685,3373,5955,3673,4601,654858
3,28213,7248,6506,3313,16713,78010,2707,7623,11012,3096,7574,5061,99619,53013,7556,7782,81419,93413,1487,6703,78410,2306,8014,1661,8235,7563,3231,9549384,0911,4619203681,17981850122284353139344326719687
8784,1722,8582,1831,4795,0591,552759-31-13,167-463-1,041-208-9,160-766237127-1,8551,7351,0375486,0292,3991,297-152337448445-795186051772792,1502,1231,6748283,4642,1201,3072,9771,677808386
1,3454,6633,2852,5901,5215,4942,1151,220219-4,7481,2356625878,752344732344-1,2192,5321,6217786,6092,7261,5671251,5331,3581,1881661,7291,3218155933,7493,2142,2891,2454,4132,9511,8623,9402,264811426
159859-76-246145734582361531,8104341772922,491-741-464-96-1,864-133-162-81654131-29-196-7879102107311412-272982882149730016495274158-17-1
1,1863,8053,3612,8361,5074,9211,65898466-6,5588014852956,2611,0851,1964406452,6641,7838595,9552,5961,5953211,6111,2791,086581,6991,3078026193,4512,9272,0751,1484,1132,7871,7683,6662,106828427
0.050.140.130.110.060.190.070.050.01-0.190.030.020.010.250.060.050.02-0.080.110.070.030.200.100.130.030.130.100.080.010.140.100.080.050.290.230.170.140.550.370.240.490.280.120.06
31,21122,99710,93512,6737,48217,82120,66118,11512,49812,05811,07626,17828,11429,11411,92917,33917,42321,43519,73617,10220,44531,78130,60844,26645,06048,63350,94656,00356,98760,32065,21857,82376,08878,31177,89678,62081,43410,96910,02810,45414,8073742
11,22615,42511,65712,50210,4818,9898,5859,50910,5909,60012,73610,46413,33812,44524,10620,37217,92416,99914,1167,8919,2759,3712,9333,3532,3322,3172,1141,9341,6332,092950863283360218242303188590300282621157
000--000--0000000----07272828485723508306675441776469000
68,22453,08251,08649,00546,67952,67738,08046,61240,03940,81432,60145,47447,46356,70044,05246,13245,01047,67146,60736,06151,36951,36840,63555,03954,41457,54859,15663,17164,42267,18871,43570,55778,69280,29079,88680,47282,48611,98111,45511,23115,6281,657627
--10,94011,16011,65412,18512,65511,79312,4201,5611,7132,0402,2732,4752,7064,3574,6024,8545,0614,2124,3814,4944,3614,1494,5744,8865,1025,2384,2403,8954,0393,5363,1662,7412,7381,9631,8211,7481,7501,6001,5721,159115145
142,429122,789123,287116,707114,441113,985108,535115,239109,598110,482116,592115,521116,693125,586148,925154,327155,078153,517159,017132,151142,839140,484130,11199,14797,51397,90696,76198,59496,45396,91795,31392,44093,59093,70489,82388,77089,92718,66016,75015,84918,5092,7501,775
62,34943,42839,44633,13431,34932,5265,8786,8177,9419,0888,4438,1548,16017,49930,60835,95737,02535,60138,49213,96125,33722,5945,7793,7033,9263,5925,2516,4944,9715,4945,1594,2483,0403,7771,4011,2171,3301,6351,0501,1694,472664552
2,8332,8642,9082,9723,0363,10327,73441,0533,5293,7743,7814,0204,7374,62417,56217,34617,58517,98516,44815,68216,36917,55230,3712,3332,0782,3820000000000--000000
65,18246,29242,35436,10634,38435,62833,61147,87111,46912,86212,22412,17412,89722,12348,17053,30454,61053,58654,94029,64441,70640,14636,1506,0366,0035,9735,2516,4944,9715,4945,1594,2483,0403,7771,4011,2171,3301,6351,0501,1694,472664552
77,24776,49680,93380,60180,05778,35774,92467,36998,12897,620104,368103,346103,795103,463100,755101,023100,46899,931104,077102,508101,134100,33893,96193,11091,51091,93391,51092,10091,48291,42490,15488,19290,55089,92688,42287,55388,59717,02515,70014,68014,0382,0851,223
22,99717,82117,82117,82117,82115,90315,90315,90312,05829,11429,11429,11429,11421,13521,13521,13521,13531,77631,78131,78131,78148,63348,63348,63348,63360,32060,39360,39360,32078,31178,37978,31178,31110,96910,96910,96910,96914,80714,80714,80737374236
2,642-547-3,854-2,449-9,48310,671127-255-2,1299,2283,2662,159-60317,1143,296-54-1,328-2,6052,2723,0171,20810,8205,6862,569-3341,5182,1942,282-1031,0461,2201,1283265,1792,0181,5167624,4392,0641,3285,7482,626-31-276
-13,1362,848-8,029-1,4973,7492,5603,8201,9442,178-17,280-11,4623,4587,64810,131-8,033-5,824-5,107-35,578-44,731-25,068-16,522-25,936-22,885-6,127-3,238-12,556-10,991-6,021-3,229-16,988-11,870-19,077-2,552-6,861-3,854-2,618-1,057-4,014-2,629-1,532-2,228-1,518-9282
18,7122,8684,989-1,205-4,600-11,249875560400-9,098-9,898-8,604-8,052-19,369-4,4901,7752,41827,42030,3477,3073,933-1,679-788-7880-650-650-6500-2,047-2,513-2,537469,02568,76368,75370,760-4,263-4,214-4,14911,2508,290350
8,2145,177-6,886-5,148-10,3391,9184,7582,212440-17,056-18,038-2,936-1,0007,979-9,205-4,096-4,011-10,642-12,045-14,680-11,336-16,857-18,025-4,367-3,573-11,687-9,448-4,390-3,333-17,991-13,161-20,488-2,22467,34266,92767,65170,465-3,838-4,779-4,35314,7709,398-67
31,21122,99710,93512,6737,48217,82120,66118,11512,49812,05811,07626,17828,11429,11411,92917,03917,12321,13519,73617,10220,44531,77630,60844,26645,06048,63350,94656,00356,98760,32065,21857,82376,08878,31177,89678,62081,43410,96910,02810,45414,8079,4353742
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