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    • 业绩报表
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    • 资产负债表
    • 利润表
    • 现金流量表
    报告期
    每股
    收益(元)
    每股收
    益(扣除)
    (元)
    营业总收入
    净利润
    每股
    净资产
    (元)
    净资产
    收益率
    (%)
    每股经
    营现金
    流量(元)
    销售
    毛利率
    (%)
    利润分配
    股息率
    (%)
    首次
    公告
    日期
    最新
    公告
    日期
    营业总收入(元)
    同比增长
    (%)
    季度环比
    增长(%)
    净利润(元)
    同比增长
    (%)
    季度环比
    增长(%)
    2024
    09-30
    0.225-6.09亿10.91-14.604910万4.890-28.314.65424.800.137725.63--2024
    10-23
    2024
    10-23
    2024
    06-30
    0.1560.154.13亿12.5425.293405万21.4860.544.60013.30-0.017225.68不分配不转增-2024
    08-28
    2024
    08-28
    2024
    03-31
    0.0748-1.83亿1.553-9.6821307万14.2714.955.88191.28-0.17325.00--2024
    04-25
    2024
    04-25
    2023
    12-31
    0.330.307.52亿5.05711.385818万-5.360-39.435.80695.820.648826.5210转2.50股派2.501.782024
    04-19
    2024
    04-19
    2023
    09-30
    0.214-5.49亿3.978-2.2754681万0.36013.135.74094.670.402727.71--2023
    10-24
    2024
    10-23
    2023
    06-30
    0.1280.153.67亿-0.5363.3042803万-23.5945.075.62942.790.192526.83不分配不转增-2023
    08-25
    2024
    08-28
    2023
    03-31
    0.0655-1.81亿-6.764-3.8681144万-31.82-22.916.88911.150.005625.34--2023
    04-26
    2024
    04-25
    2022
    12-31
    0.350.397.16亿-21.1617.926147万-38.7249.136.80736.331.081326.3610转2.00派2.501.572023
    04-20
    2024
    04-19
    2022
    09-30
    0.27-5.28亿-22.30-9.1914664万-39.33-50.026.70144.820.743425.80--2022
    10-25
    2023
    10-24
    2022
    06-30
    0.210.233.69亿-21.11-9.4263669万-33.0118.666.63113.780.382627.28不分配不转增-2022
    08-26
    2023
    08-25
    2022
    03-31
    0.12-1.94亿-16.87-15.231678万-34.86-28.468.04231.740.085426.47--2022
    04-28
    2023
    04-26
    2021
    12-31
    0.690.759.08亿45.387.6851.00亿34.396.1277.899310.930.469229.2310转2.00派2.501.502022
    04-20
    2023
    04-20
    2021
    09-30
    0.53-6.80亿60.03-9.6617686万53.77-23.837.70748.450.042729.52--2021
    10-26
    2022
    10-25
    2021
    06-30
    0.380.434.68亿69.180.8145477万59.2312.647.52256.05-0.233529.82不分配不转增-2021
    08-27
    2022
    08-26
    2021
    03-31
    0.21-2.33亿92.4916.492576万96.614.4418.98982.88-0.510928.40--2021
    04-28
    2022
    04-28
    2020
    12-31
    0.630.636.25亿17.9934.777465万10.6558.158.73049.360.199128.3810转2.00派2.501.002021
    04-23
    2022
    04-20
    2020
    09-30
    0.43-4.25亿11.25-4.5684999万4.660-26.788.48456.500.177829.42--2020
    10-28
    2021
    10-26
    2020
    06-30
    0.30.282.77亿4.18428.483439万5.72062.568.33154.690.046429.19不分配不转增-2020
    08-26
    2021
    08-27
    2020
    03-31
    0.19-1.21亿-10.26-18.051310万-7.710-33.509.99542.14-0.186428.59--2020
    04-23
    2021
    04-28
    2019
    12-31
    0.840.925.30亿-8.41126.746746万0.24029.377.802514.521.238830.4210转2.00派2.500.732020
    04-16
    2021
    04-23
    2019
    09-30
    0.60.653.82亿--10.754776万--16.977.489311.520.774330.39--2020
    01-20
    2020
    10-28
    2019
    06-30
    0.410.422.65亿-15.10-3.1903253万13.2629.197.24617.080.335530.38--2020
    01-20
    2020
    08-26
    2019
    03-31
    0.22-1.35亿--1419万---3.15-28.83--2020
    04-23
    2020
    04-23
    2018
    12-31
    1.071.115.78亿8.711-6730万-2.287-7.02316.161.078330.86--2019
    06-05
    2020
    04-16
    2018
    06-30
    0.450.543.13亿--2873万--6.40617.09-0.175530.23--2018
    12-21
    2018
    12-21
    2017
    12-31
    1.091.095.32亿46.02-6887万52.43-6.186419.270.757734.33--2018
    12-21
    2020
    02-05
    2016
    12-31
    0.720.723.64亿20.07-4518万33.00-5.233514.600.773336.00--2017
    03-28
    2020
    02-05
    2015
    12-31
    0.540.503.03亿-14.46-3397万-8.962-4.59312.390.912433.20--2017
    03-28
    2018
    12-21
    2015
    09-30
    0.390.382.31亿--2443万--4.49238.980.475832.75--2016
    02-19
    2016
    02-19
    2014
    12-31
    0.590.593.55亿9.492-3732万82.69-4.180215.171.102432.76--2016
    02-19
    2016
    02-19
    2013
    12-31
    0.320.273.24亿12.40-2043万-28.66-3.64529.260.484428.28--2016
    02-19
    2016
    02-19
    2012
    12-31
    0.450.362.88亿--2863万--3.382214.330.666130.68--2016
    02-19
    2016
    02-19