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阳晨B股 (900935)

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流通市值: 市盈率: 52周最高:-- 52周最低:--

阳晨B股(900935) 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)
2016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
29,03419,3079,60542,72832,45422,07010,91946,40833,19521,54610,72745,10332,55321,72810,51345,23633,00422,27611,55940,18926,59816,3454,37419,76113,7359,2154,53019,15513,7139,0404,42418,89213,6158,8694,44918,59013,4299,0574,40810,9215,9642,8071,438
19,33912,5826,22428,21120,60013,7676,86732,38222,99415,1787,27530,96422,23514,7827,24030,16221,23014,0286,96625,77117,81310,9343,34113,9219,8806,7623,31313,1749,7016,2692,91912,4849,1095,9242,79411,6648,3225,5762,6636,6743,3521,538751
3,9632,9821,5285,8105,5504,2982,0606,2814,5572,6261,5424,6493,2812,1631,0434,1383,9402,9721,9634,1212,4731,586839669034832571,1758867154431,3351,2948095721,8861,4239855314,0813,3382,680671
5,4144,7332,57310,0485,2743,8992,05410,5024,6902,6261,5429,2033,3942,1761,0578,2694,0033,0471,9624,1692,6051,710839569054852571,2699167464421,3121,2918055721,7911,4239825283,8893,3382,680671
8867384031,7159316903415057874534062,1578846582572,0091,0107584821,0796954276205-44-4227339198139551241028153223371540114---7663
4,5283,9952,1708,3334,3433,2091,7139,9973,9032,1731,1367,0462,5101,5178006,2602,9932,2891,4803,0901,9101,283787519495272309307186083871,1881,1897255191,5681,3869674883,7753,3382,966608
0.080.080.040.15--0.060.030.210.070.040.020.150.050.030.020.140.080.060.050.070.040.030.000.030.030.020.010.030.030.020.010.040.040.020.020.050.050.040.020.150.150.120.03
36,02132,28132,70730,84924,51524,33824,68722,19113,7739,79615,25412,97117,85415,47512,47810,27210,1968,2417,2016,82311,4596,9594,5155,2715,1074,9899,5258,1374,57813,4339,5405,7143,2638,3348,52321,79911,87910,9723,3303,727
3,2613,1083,1741393,4483,2792,9562733,4183,3032,9751393,2993,2992,9524173,3623,2493,0472,4353,0982,9608511,0221,0401,3381,2051,3122,0081,8581,5955801,3831,0391,5011,5631,1271,397979423
635546151423811156149516766481515757545850--1069788961519295569263847284129129
40,15136,26836,58631,69229,13128,42628,32823,16718,10213,89218,91413,69221,93519,55516,00411,17714,19412,13010,6349,89014,93910,4475,7236,6136,4466,58711,0289,73611,95022,46417,72512,8388,73815,24018,28824,79514,45213,9975,7595,204
11,45611,78712,11712,43811,69412,01312,37212,76313,40613,82214,23714,63615,02815,27015,66916,06615,94216,34816,73217,1636,6846,8837,0847,2826,9357,1287,2957,4897,7397,9317,6877,86962,85563,84764,84065,78166,27267,20968,17869,686
178,541178,459182,537181,260183,031186,103189,901188,451187,431187,307196,302195,022202,665203,687204,437203,786210,931212,893215,640219,077229,862228,174217,892217,505213,229213,145210,220208,660199,173198,919187,324178,927125,626114,749113,357118,857107,353106,27497,35297,483
30,16630,61736,49037,33729,05531,15734,83835,11228,94930,52235,81036,01120,14322,28123,20723,51314,21216,13717,12722,47722,16222,15521,99021,96518,64018,91419,32119,54212,12918,57513,19213,45915,6255,2124,0724,02915,01214,3685,82418,268
45,16045,21245,19045,21659,26058,94858,97258,96168,95969,26869,57369,22897,27597,12197,66497,506117,219117,806120,371119,938132,218131,165122,253121,968120,819120,883117,848116,297114,435107,845101,35293,07737,32137,32137,32143,38347,96547,96548,08136,195
75,32675,82881,68082,55388,31590,10593,81094,07397,90899,791105,383105,239117,418119,402120,870121,019131,431133,942137,498142,415154,380153,319144,243143,933139,459139,797137,169135,839126,564126,420114,544106,53552,94642,53341,39347,41262,97762,33353,90554,463
103,215102,631100,85798,70694,71695,99896,09194,37889,52287,51690,91989,78385,24784,28483,56782,76779,50078,95178,14276,66275,48274,85573,64973,57273,77073,34773,05172,82172,60972,49972,77972,39272,68072,21671,96471,44544,37643,94143,44743,020
30,84930,84930,84922,19122,19122,19122,19112,97112,97112,97112,97110,27210,27210,27210,2726,0936,8236,0936,0935,2715,2715,2715,2718,1378,1378,1378,1375,7145,7145,7145,71421,79921,79921,79921,7993,7273,7273,7273,7271,4171,4171,4171,417
13,4619,3132,83227,59114,2318,8823,75029,84114,8068,7884,29531,36621,06714,5853,82334,39523,17512,8266,82524,75315,1308,6291,9488,5735,7043,6371,7667,7784,2702,8491,1339,9286,0994,2211,5393,9213,6471,154-1604,9751,8191,351449
-839-675-385-1,166-761-436-330-696-492-214-116-1,426-1,041-184-174-2,704-554-186-128-3,053-2,606-2,443-2,375-13,791-11,543-10,208-1,383-26,686-22,402-13,147-4,929-76,208-28,926-12,068-8,711-11,040-5,178-3,541-1,213-3,0966,44012,171-2,128
-7,450-7,207-590-17,756-11,146-6,299-924-19,923-13,512-11,748-1,895-27,240-12,443-9,198-1,443-27,512-19,247-11,222-6,319-20,878-6,336-4,499-3292,3522,8103,4231,00521,33216,99618,0187,62250,1954,292-5,618-6,10425,1919,6849,632976430-3,608462988
5,1721,4311,8588,6582,3242,1472,4969,220802-3,1742,2832,6997,5825,2032,2064,1793,3741,4183788216,1881,688-756-2,866-3,030-3,1481,3882,424-1,1367,7203,826-16,086-18,536-13,465-13,27618,0728,1537,246-3972,3104,65013,984-691
36,02132,28132,70730,84924,51524,33824,68722,19113,7739,79615,25412,97117,85415,47512,47810,27210,1967,5116,4716,09311,4596,9594,5155,2715,1074,9899,5258,1374,57813,4339,5405,7143,2638,3348,52321,79911,87910,9723,3303,7276,06715,401726
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