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德邦股份 (603056)


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流通市值: 市盈率: 52周最高:22.17 52周最低:11.06

德邦股份(603056) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312015-12-312015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302010-12-312009-12-312008-12-31
1,844,7291,189,207547,6432,302,5321,605,1071,019,457470,1892,035,0111,464,485926,736421,3131,700,0941,292,149253,2101,049,312746,219469,089208,484863,333599,469366,496161,334605,273430,572260,281117,223433,266296,302262,12199,98342,905
1,670,6191,065,433500,7171,977,9051,377,150870,833405,7321,763,9531,275,180821,362391,4301,472,0721,104,446225,171862,835619,215390,431181,434705,052488,522294,813129,891464,113319,629192,49666,269347,032183,991150,96155,98021,889
13,94513,003-7,20789,34358,40339,49413,01570,61836,36015,156-16,16330,41927,869-4,39247,88227,54513,893-3,08727,83415,74513,0054,21845,10344,13928,9139,96724,07111,16718,9518,4741,171
13,90213,453-7,09289,69858,99540,00713,09370,21946,64715,394-16,11947,62442,711-2,83562,76036,45819,65213535,96020,04515,7734,88450,15946,43930,75610,85925,26011,98218,9017,8111,055
2,7482,903-2,18619,65713,0999,3303,11015,55710,8813,576-4,3749,6308,991-1,31015,6058,7404,892-538,7815,6373,5371,42612,75810,2556,7062,4265,4953,5634,85298237
11,15310,550-4,90570,04145,89630,6779,98354,66235,76611,818-11,74537,99433,720-1,52547,15527,71814,76018827,17914,40812,2363,45837,40136,18424,0508,43319,7658,41914,0497,713818
0.120.11-0.050.740.480.330.110.640.420.14-0.140.440.39--0.55------0.32------0.44------0.52--1.5918.51--
154,442249,514214,148275,642247,194358,934281,875189,87876,04278,66887,66058,96064,53043,47639,58740,83945,07832,00526,86337,06241,87026,50917,12310,40423,11326,39617,6485,6302,346
192,180147,618118,074135,62898,75594,36090,973110,278111,186196,55057,51226,28426,11425,99921,26821,98523,10424,69119,47415,85917,64422,34317,31914,75712,33917,56912,27310,0323,018
2,6092,1781,6511,9261,4936501,0548261,0475915564864494194845545986446277247501,0548848238071,865--1119
487,693516,094539,313528,783592,513559,785472,932396,299362,515362,330215,111148,953149,406133,448119,756120,069123,934112,98692,59293,91393,07887,09881,89984,98277,24581,05665,11729,2367,788
--181,387--184,883159,135153,114153,337160,005152,871145,424110,672115,047122,245122,733127,575130,235136,704135,901118,71386,14287,19580,81578,42373,14378,40279,72044,10017,8037,770
841,083838,431849,127822,080858,484809,264725,457652,117608,187571,368366,732297,317306,646290,145284,194285,461299,447281,561248,500206,514205,761194,241183,077177,196170,883170,327114,79448,44215,648
425,534423,471426,311399,899463,694433,252357,853335,015314,026311,841147,973117,556123,993108,534109,012121,885134,948123,644102,53667,32571,11752,40962,28059,12382,91479,30546,54434,58514,170
26,37722,90524,99619,45616,72712,9138,8289,9715,9166,9364,1654531,81920,18126,71029,67630,78836,97727,19829,20028,11336,14018,33031,30113,17223,2678,9143,7032,038
451,910446,375451,307419,355480,421446,165366,681344,986319,942318,776152,138118,009125,813128,715135,722151,562165,736160,622129,73496,52599,23088,54980,61090,42496,086102,57255,45838,28816,207
389,173392,056397,820402,726378,063363,099358,776307,131288,245252,591214,594179,308180,833161,430148,472133,900133,712120,939118,766109,989106,531105,691102,46786,77274,79667,75559,33610,154-559
271,210271,142271,142189,878189,878189,878189,87878,66878,66878,66878,66887,66064,53064,53042,57942,57942,57942,57941,57241,57241,57241,87023,11323,11322,71223,11317,13623,6485,6302,346753
-2,89522,321-23,476158,794121,38690,65817,945200,107118,37557,755-31,7059,531108,25911,821127,60777,60148,08315,20575,35941,02432,07113,44677,87852,39831,52011,91340,88710,45412,6347,5733,790
-128,269-66,317-127,754-83,643-190,400-34,859-18,360-94,888-151,719-61,687-130,374-101,675-74,753-23,265-44,961-31,213-26,224-15,595-107,947-91,112-53,240-17,881-25,045-19,088-21,296-20,502-57,563-43,923-48,210-17,654-4,844
9,31813,30486,0805,878121,523111,14992,4486,26930,8551,253110,04883,155-10,3845,870-60,714-46,413-27,383-3,86833,60540,2246,162-371-34,374-29,915-16,214-4,12122,65436,21747,59413,3762,647
-121,779-30,611-65,06881,26352,646166,98591,996111,211-2,625-2,744-52,038-8,99223,130-5,57021,951-2-5,491-4,2381,006-9,865-15,007-4,80718,4593,395-5,990-12,7095,9772,74812,0183,2841,593
149,431240,530206,074271,142242,524356,864281,875189,87876,04275,92326,62978,66887,66058,96064,53042,57637,08838,34042,57931,70726,56637,06241,57226,50917,12310,40423,11326,39617,6485,6302,346
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