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量子生物 (300149)


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流通市值: 市盈率: 52周最高:19.19 52周最低:13.29

量子生物(300149) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-312009-09-302008-12-312007-12-31
95,41561,51429,75099,69262,07226,0417,89627,53519,46612,7075,15325,86418,94212,2915,43031,86525,60316,7617,12528,11721,93813,9765,77525,67220,68113,6905,87823,87018,91012,8385,18616,60610,4446,6372,98612,3819,0096,31210,0246,0749,7086,507
59,12538,23518,57356,99135,42614,0374,08014,97410,5426,8382,75112,8009,1685,7832,56916,26013,9399,1623,74214,63411,6057,6433,32714,99111,8927,9553,54014,45711,4527,7113,18510,9686,7234,4272,0026,6364,7363,2144,9113,2155,3063,690
8,8065,4222,95617,93913,7616,4491,3097,0735,7833,8531,4097,4356,1393,6731,6676,8946,4542,9271,3174,4943,9082,2067303,9514,0442,6419494,1293,6332,3279403,2592,2071,1114333,5372,9022,1063,4251,7002,6541,381
8,8235,4342,94917,82013,6386,4141,3096,5265,7603,8321,4197,6486,2673,7711,7547,0446,4692,9291,3104,3443,8752,1897124,5413,9572,5839494,4183,6822,3799403,2642,2111,1154413,9362,9752,1763,4481,7022,6271,371
8636184441,8272,4471,0232898988416052171,15587757627297384846620851558031712673873647720775860837524045533516761561463343512257309174
7,9614,8162,50515,99311,1925,3911,0205,6274,9193,2271,2026,4935,3913,1951,4826,0715,6212,4631,1023,8303,2941,8725863,8043,2212,1067423,6613,0752,0057002,8091,8769483793,3752,5121,8332,9361,4442,3171,197
0.160.100.050.350.250.130.030.140.120.080.030.150.130.080.040.140.130.060.040.130.110.060.030.200.150.100.040.180.140.090.050.210.180.070.060.680.500.370.650.331.412.00
16,1289,60818,87419,08015,78370,24911,88829,15041,65346,63543,29511,20516,7549,69511,5515,00723,47622,12427,13727,17429,52628,05829,64729,25129,47229,44229,31435,81635,52338,11341,18943,43944,33243,28443,84345,4741,6643,7152,8721,8712,262
44,00138,86535,12233,55935,42031,0745,9705,0095,3915,0204,3904,6104,4244,6113,7473,5763,4115,5635,5515,3066,0924,6404,2323,0265,0185,8925,0623,5314,6865,5274,5683,7953,6964,1004,7594,0862,7811,7221,630800720
7,9696,8865,7204,9897,2956,2271,8942,4782,6512,4142,4622,2602,3782,4652,3732,5462,2453,3653,0783,2842,3222,5803,3283,6392,5913,1393,1933,3892,9043,3213,7503,6101,9111,4781,2891,4421,0941,1421,652946950
80,00870,14272,03973,53274,521121,44353,39050,73457,44255,47553,70951,45049,33347,45047,59746,42444,36945,68344,36841,67942,04840,46842,50042,89943,52346,08145,26344,42251,85149,26551,35153,80853,02651,91452,53752,1127,9427,4577,7215,3894,731
--57,078--55,34754,89754,59214,64115,42915,48615,87216,22214,74113,81914,13614,51014,83915,18818,18717,75621,98417,10016,94416,79917,16017,41416,2569,6469,38410,3299,7686,8136,8446,2114,5494,5664,5444,1544,2022,8602,7161,655
360,956344,593339,667334,770337,272383,583106,885104,31884,94982,90981,15879,31677,83376,10776,44075,60075,71476,92676,18274,11373,30571,46170,94970,39970,47970,53569,00966,76167,67166,89164,65763,38260,42059,27458,94558,74213,69513,66013,6308,6936,779
54,68648,23940,41135,45536,651102,5872,3532,5802,2392,3411,7002,1131,7592,2282,0793,0222,8235,7455,2434,4024,0203,6933,2593,3224,1215,1534,0932,5923,9424,4562,6712,1122,2492,0311,2401,5121,2921,9363,1412,7652,437
81,28074,87276,44778,86484,47270,40019,68918,1931972012062101851891941982262111575844454648858585809090140125707070100353353363931,917
135,966123,111116,858114,320121,123172,98722,04220,7732,4372,5431,9052,3231,9442,4182,2733,2193,0495,9575,4004,4604,0643,7383,3053,3704,2065,2384,1782,6724,0324,5462,8112,2372,3192,1011,3101,6121,6452,2893,5042,8574,353
224,990221,482222,809220,451216,149210,59584,84383,54582,51280,36679,25276,99375,88873,68974,16772,38172,66570,97070,78369,65369,24067,72367,64467,02966,27465,29864,83264,09063,63962,34561,84661,14558,10257,17357,63457,13012,05011,37110,1265,8362,425
18,93318,93318,93329,15029,15029,15029,15011,15211,15211,15211,2055,0075,0075,0075,00726,75427,17427,17427,17429,25129,25129,25129,25135,81635,81635,81635,81643,43943,43943,43943,43945,47445,47445,47445,4742,87202,8721,87102,262483
8,2214,4304,94424,31915,2976,6289956,3434,3673,6765707,1265,8383,4342,17710,0697,7356,0803,0255,9634,1113,0823494,6323,007996-4455,5093,7882,7881,1571,1661,288-25-9812,0812,2753,6151,3294332,1702,219
-13,176-9,418-3,321-94,044-90,391-10,907-19,331-6,86725,71231,62930,5171,0808,0243,3684,367-30,730-10,623-9,943-3,621-6,835-2,619-3,05847-10,854-5,028-2,459-1,283-12,628-10,871-7,515-3,407-2,263-1,413-1,169-558-1,680-1,358-624-1,745-1,407-2,483-673
1,946-4,498-1,77859,42761,38245,2231,07518,5334281281,005-2,063-2,115-2,1150-1,086-809-1,186559-1,625-1,217-1,2170-344-523-411227-504-832-6000-939-1,017-996-9242,201-2,125-2,1471,419440-77236
-2,952-9,472-206-10,217-13,49340,973-17,26117,99730,50135,43232,0906,14511,7474,6886,544-21,747-3,697-5,050-37-2,496275-1,193397-6,565-2,544-1,873-1,502-7,623-7,916-5,326-2,250-2,036-1,143-2,190-1,63142,602-1,2088431,001-535-3911,779
15,9819,46118,72718,93315,65770,12311,88829,15041,65346,58443,29511,15216,7549,69511,5515,00723,47622,12427,13726,75429,52628,05829,64729,25133,27233,94234,31435,81635,52338,11341,18943,43944,33243,28443,84345,47403,7152,87201,8712,262
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