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雅本化学 (300261)


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流通市值: 市盈率: 52周最高:9.52 52周最低:3.34

雅本化学(300261) 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)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302010-12-312009-12-312008-12-31
92,63147,024166,442110,01769,13548,702180,565131,42689,92349,449120,78386,24554,09824,39266,15547,45628,71711,96662,71546,05732,40617,50752,60839,21427,73411,53141,09329,21119,0769,68830,13921,90816,0577,71523,01715,27710,13818,42616,3619,274
66,39133,680118,29880,16550,26634,866129,07596,30665,54839,55288,96164,61339,32017,99547,40933,06319,0956,86541,56330,96021,63111,72036,58928,34319,9678,53829,70420,83213,1306,86620,37915,34011,1345,38014,2819,8536,10211,16011,2887,068
12,6916,90517,09011,9466,3766,76522,29315,1759,3304,3307,7746,1144,9762,1441,5592,2451,4271,2447,1005,5124,3942,2345,7764,1763,4941,2644,5773,6533,0511,5775,2983,6143,0051,4664,7392,7792,3884,4713,4161,248
10,5966,47011,3026,8481,8926,29420,56215,0449,2674,3947,7656,2525,0942,1761,8222,4841,4971,2497,1965,5554,4052,2375,9384,3793,6271,3754,9103,7693,1651,6485,6423,7993,1721,5705,0402,8642,4584,5983,4631,261
1,1237738405184279662,1192,0801,249833281,108866452-162191115164941636603576674767606179516576482246705759617304602395330631878-6
9,4735,69710,4626,3301,4665,32818,44312,9648,0184,3117,4385,1444,2281,7251,9832,2931,3821,0846,2544,9193,8021,6605,2643,6123,0211,1974,3943,1932,6831,4024,9373,0412,5541,2664,4382,4702,1283,9672,5851,266
0.100.060.080.050.010.050.170.120.08--0.140.090.080.030.030.040.020.030.160.120.120.050.170.110.090.050.190.140.120.100.340.210.180.140.600.360.310.580.890.44
56,32359,31936,99831,32246,86449,31259,53765,87377,93480,74492,77411,85610,21312,88810,1948,15710,88825,6418,19514,1919,2507,1615,4729,51613,32112,13112,70511,29415,11615,61119,69825,92033,53337,27336,14839,5791,6413471,285285
54,14949,45363,79148,10826,94347,34250,52554,73054,89442,46338,91138,73637,63137,61429,39631,51029,83524,03423,28019,02423,21725,73015,80614,61315,42913,58614,26915,04311,10115,1808,8956,5316,9655,7257,2783,9752,4324,7093,0722,501
30,16327,32031,85234,72931,74229,47830,41230,30430,33849,72629,40628,51626,33126,92928,16722,66325,12623,05719,81116,69615,59414,27115,21913,04812,88812,74211,55410,92410,0739,6479,9138,0397,0516,7936,2925,4215,7403,9613,1221,986
165,019158,125155,728141,941131,774152,009162,940167,616174,505184,247170,31589,737103,63086,13977,36372,05174,21980,65058,82656,36854,55553,81842,35946,59161,14646,33249,06049,25546,21150,90145,06047,03052,44152,14152,08351,19211,06910,2058,4125,630
99,139--103,653--104,722--102,34394,75593,761201,09791,90890,52378,90879,69681,15879,11279,43579,42778,92444,73043,83341,47341,76634,76735,22635,51818,26516,55916,84414,44314,87710,4009,6199,7619,7547,2837,0917,2625,2574,792
370,223362,044357,907344,790335,336356,631363,446348,719355,802474,133318,423221,582215,287198,127189,542188,685187,093193,948157,876151,931148,805145,757131,227122,314129,429107,74588,66280,00875,73172,53166,26163,54567,73164,47164,13362,52121,22019,09815,73511,470
143,726138,241136,640127,968116,700129,205133,691115,767124,397113,020108,40699,66493,48987,44280,56871,21170,52075,92870,54461,99060,98554,56149,68240,07250,79932,80925,05417,64513,8789,0564,1883,3698,0413,3484,2764,5507,9777,9958,6207,371
12,21612,30213,50813,68814,87114,85021,92722,80526,75821,53114,77013,62814,5413,7833,79711,87311,88212,80711,73115,67614,67318,68110,69012,8709,8706,840430000000083342200
155,942150,544150,148141,656131,571144,055155,618138,572151,155134,550123,176113,292108,03091,22584,36583,08382,40388,73582,27677,66675,65873,24160,37252,94160,66939,64825,09817,64513,8789,0564,1883,3698,0413,3484,2764,6338,0118,0168,6207,371
214,281211,501207,759203,134203,765212,576207,828210,147204,647338,735195,246108,291107,257106,902105,177105,602104,690105,21375,60074,26573,14872,51670,85569,37368,76068,09763,56462,36361,85363,47562,07360,17659,69061,12359,85757,88813,20911,0817,1154,099
28,04328,04336,79236,79236,79236,79286,68688,74586,68696,0116,8966,8966,8966,8964,6124,6124,6124,6124,1574,1574,1574,1579,1069,1069,1069,10619,69819,69819,69819,69836,14839,19139,19136,14834734734713428598
29,97529,8329,4156,08014,29910,09630,78518,80428,6387,59328,52521,01413,1304,2382,1111,857-1,0043,8056,9809,0503,742-2,2028,4643,6353,3841,6341,151-1,4991,036-5,5373,0103,239812,3581,0532,5313,5392,5301,718855
-6,188-1,611-8,443-11,791-6,220-6,972-74,060-42,376-42,967-54,106-49,241-29,336-26,701-3,266-12,710-12,063-8,697-2,607-16,452-11,970-8,295-5,249-35,337-25,395-18,656-10,747-13,148-9,447-6,340-3,696-16,403-13,608-2,829-975-3,979-2,932-1,810-2,886-3,316-1,068
-7,347-6,334-9,586-7,670-7,037-255-8,148-6,457-2,3122,238100,8648,42411,69114012,8849,63513,21817,5389,6979,4426,9797,38421,82217,87512,1477,0811,9501,0461605,200-3,011-2,929-2,929-24538,87439,748-3576361,494434
17,86123,067-8,749-13,1684912,568-49,895-27,394-15,508-45,52079,791-819-2,3389952,28473,95218,6234557,1722,57532-4,950-3,744-2,955-1,927-10,592-10,220-5,386-4,087-16,450-13,271-5,6581,12435,80239,2321,294212-151187
45,90351,11028,04323,62337,28339,36036,79261,35171,17850,49186,6866,0774,5587,8906,8964,6188,56323,2344,61211,3296,7314,1884,1575,3636,1527,1799,1069,47814,31215,61119,69825,92033,53337,27336,14839,5791,641347134285
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