股票代码 股票名称 批露日期 每股收益(元) 营业收入 净利润 每股净资产(元) 净资产收益率(%) 每股现金流量(元) 毛利率(%) 分配方案 明细 PDF报告
营业收入(万元) 同比(%) 净利润(万元) 同比(%)
000039中集集团2020-03-270.378581534.10-8.22154222.60-54.3810.954.000.9913.6910派1.2明细--
601288农业银行2020-03-310.5962726800.004.7921209800.004.595.0012.431.0142.4510派1.819明细--
002983芯瑞达2020-04-070.8852264.603.089351.2727.234.8519.971.0827.56不分配明细--
603221爱丽家居2020-03-030.79114578.79-16.5314202.97-18.993.9422.231.1022.96不分配明细--
002980华盛昌2020-03-230.9146554.56-4.929096.077.283.9326.311.1742.77不分配明细--
601818光大银行2020-03-280.6813281200.0020.473735400.0010.986.1011.771.2434.1110派2.14明细--
600028中国石化2020-03-300.48296619300.002.595759100.00-8.716.117.901.277.9110派1.9明细--
002985北摩高科2020-04-081.8941378.8024.9121229.6941.519.9920.891.3274.66不分配明细--
300823建科机械2020-03-021.2047510.604.968415.905.830.0017.581.3346.58不分配明细--
603353和顺石油2020-02-251.62194014.67-17.0616173.673.666.8226.891.4618.86不分配明细--
000063中兴通讯2020-03-281.229073658.206.11514787.70173.716.8219.961.7636.1410派2明细--
300827上能电气2020-03-271.5292264.878.978384.2918.847.4822.271.7829.49不分配明细--
300829金丹科技2020-04-011.3687810.719.4911521.0937.987.5619.781.8432.92不分配明细--
601225陕西煤业2020-04-301.187340344.3128.271164339.805.920.0021.521.9436.0010派3.6明细--
603095越剑智能2020-03-251.74101767.833.2617271.863.6410.4318.481.9625.26不分配明细--
601997贵阳银行2020-04-281.721466804.4016.00580043.1012.9110.5817.412.1643.2810派3.1明细--
601939建设银行2020-03-301.0570562900.007.0926673300.004.748.3913.182.3346.3310派3.2明细--
601998中信银行2020-03-270.9518758400.0013.794801500.007.879.0411.072.3930.1210派2.39明细--
300822贝仕达克2020-02-241.8173699.1231.9014442.0846.715.8036.852.3934.5810派4明细--
601901方正证券2020-04-250.12659494.2015.24100759.5652.354.682.653.0716.76不分配明细--
601088中国神华2020-03-282.1724187100.00-8.424325000.00-1.410.0012.733.1736.4510派12.6明细--
688318财富趋势2020-04-073.4822576.9215.6717406.1022.1319.3219.453.2985.10不分配明细--
002982湘佳股份2020-04-032.98187786.0224.0222710.4399.0910.5532.863.9737.83不分配明细--
600015华夏银行2020-04-171.378473400.0017.322190500.005.0413.4910.615.1432.4510派2.49明细--
601838成都银行2020-04-291.541272506.009.79555090.0019.409.8416.636.6148.9810派4.2明细--
002142宁波银行2020-04-252.413508139.1021.261371423.7022.6015.1917.107.1743.5810派5明细--
600585海螺水泥2020-03-216.3415703032.8122.303359275.5212.6725.9227.037.6932.3910派20明细--
601628中国人寿2020-03-262.0574516500.0015.875828700.00411.5114.0116.4710.128.0510派7.3明细--
601601中国太保2020-03-233.0638548900.008.782774100.0053.9519.6916.9212.347.2810派12明细--
601336新华保险2020-03-264.6717456600.0013.231455900.0083.7827.0719.4113.497.6110派14.1明细--
601318中国平安2020-02-218.41116886700.0019.6614940700.0039.1136.8224.3514.0415.8210派13明细--
上一页11121314151617181920