002404股票最资金流向,002404股票千股千评,最新消息股本结构公司高管等资讯!想了解更多关于002404股票资讯的信息请重视咱们的站。
代码称号日期当日千股千评收盘价涨跌额涨跌幅(%)昨收今开最高最低000827002404股票2020-06-23近来消息面活泼,主力资金无显着痕迹,短期出现震动趋势78.98-8.18-6.3858.7898.1858.7898.18000827002404股票2020-03-28成绩平稳,走势一般,主张考虑波段操作39.59-3.79-1.9919.3757.7797.1737.57000827002404股票2020-11-12近来消息面活泼,主力资金无显着痕迹,短期出现震动趋势77.97-8.18-6.386.80.24.668.2000827002404股票2020-07-26成绩平稳,走势一般,主张考虑波段操作8.66-4.0-2.24.68.02.46.8000827002404股票2020-03-10近来消息面活泼,主力资金无显着痕迹,短期出现震动趋势2.4-1.6-7.80.24.68.02.4000827002404股票2020-11-24成绩平稳,走势一般,主张考虑波段操作6.8-2.0-8.24.68.24.68.95000827002404股票2020-07-07近来消息面活泼,主力资金无显着痕迹,短期出现震动趋势15.35-7.55-1.7595.1535.5575.9515.35000827002404股票2020-03-21成绩平稳,走势一般,主张考虑波段操作56.76-8.96-6.3656.7445.934.5474.94000827002404股票2020-11-05近来消息面活泼,主力资金无显着痕迹,短期出现震动趋势14.34-4.55-2.7595.1535.5575.9513.53000827002404股票2020-07-11成绩平稳,走势一般,主张考虑波段操作73.93-9.13-7.3354.648.02.46.8000827002404股票2020-03-25近来消息面活泼,主力资金无显着痕迹,短期出现震动趋势0.2-5.4-3.68.04.68.02.4000827002404股票2020-11-08成绩平稳,走势一般,主张考虑波段操作6.8-1.85-8.49.832.46.80.2千股千评对002404股票的走势点评是电脑依据个股的走势数所主动剖析生成的,数据仅仅一个简略参阅,股民们切忌不要依此数据生意,怎样买002404股票还要归纳各方面信息进行剖析。股市中没有神仙,神便是自己,任何人的定见都仅供参阅,终究拿留意的仍是自己。一般002404股票的千股千评都是给出一种惯性的走势猜测,而价格走势是改变的,依照简略的均线多空谈论,大势好的时分正确率8成以上,大势欠好,3成都到不了。每天对股票价格走势进行猜测自身就很不现实。能让人经过生意赚钱的便是可信的,凭着自己的感觉,能够参阅不能全信,这仅仅电脑对002404股票的评价猜测。结语:咱们祝愿您的股票天天向上,月月有钱赚,高兴炒股高兴赚钱,
第六十一条股东出具的托付别人到会股东大会的授权托付书应当载明下列内容:(一)代理人的名字;(二)是否具有表决权;(三)别离对列入股东大会议程的每一审议事项投拥护、对立或放弃票的指示;(四)托付书签发日期和有效期限;(五)托付人签名(或盖章)(确诊日期:2020-07-22)
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其间,基金持仓与
增仓:4家,添加6万股
满仓:2家,添加8万股
新出真实主力名单中:9家。持有0万股
从主力名单中失:8家。原持有2万股
002404股票千股千评(专家2)点评日期002404股票技能点评每日更断2020-12-17◇组织参加度:组织参加度为4.6%,归于轻度控盘◇资金流向:主力净流入1606.8万,超大单流入3278.4万◇主力本钱:最近1日主力本钱9.33元,最近20日主力本钱53.71元2021-08-23◇组织参加度:组织参加度为91.11%,归于轻度控盘◇资金流向:主力净流入4950.31万,超大单流入6622.51万◇主力本钱:最近1日主力本钱71.11元,最近20日主力本钱31.51元2021-04-07◇组织参加度:组织参加度为72.92%,归于轻度控盘◇资金流向:主力净流入8294.12万,超大单流入9966.32万◇主力本钱:最近1日主力本钱52.72元,最近20日主力本钱92.12元2021-12-21◇组织参加度:组织参加度为32.50%,归于轻度控盘◇资金流向:主力净流入1738.70万,超大单流入3410.90万◇主力本钱:最近1日主力本钱51.1元,最近20日主力本钱50.71元
002404股票千股千评(专家3)点评日期002404股票技能点评每日更断2021-08-04√是否七、自己担任独立董事不会违背中共中央组织部《关于进一步标准党政领导干部在企业兼职(任职)问题的定见》的相关规定2021-04-184.你公司陈述期计提商誉减值7,439.79万元,其间对万邦德医疗、康慈医疗别离计提5,335.48万元和2,104.32万元减值预备2020-09-11表决成果:8票赞同,0票对立,0票放弃2021-04-10出资者持有多个证券账户的,多个证券账户的市值兼并核算
002404股票千股千评(专家4)点评日期002404股票技能点评每日更断2021-04-22(一)最近三年兼并财务报表1、兼并财物负债表单位:元项目2020年12月31日2019年12月31日2018年12月31日活动财物:货币资金3,489,687,568.142,663,719,770.151,348,909,279.61买卖性金融财物752,224,861.78993,634,433.31-以公允价值计量且其变化计入当期损益的金融财物---衍生金融财物58,330,486.538,314,400.732,520,944.10应收收据2,323,934,781.532,097,159,908.402,229,031,648.98应收账款2,355,613,299.571,871,323,522.821,845,661,599.27预付金钱69,404,326.4562,871,924.3049,523,629.02其他应收款76,935,495.0597,394,782.9786,684,469.12存货2,307,761,706.462,180,838,596.072,026,869,790.61其他活动财物150,460,488.0175,933,253.282,097,861,658.08活动财物算计11,584,353,013.5210,051,190,592.039,687,063,018.79非活动财物:长时间应收款2,074,750.002,145,963.272,417,240.96项目2020年12月31日2019年12月31日2018年12月31日长时间股权出资15,219,616.6814,522,259.8012,554,076.93出资性房地产10,067,588.9627,025,974.0529,079,298.20固定财物3,839,408,059.453,379,608,199.262,942,474,135.39在建工程628,730,529.07480,959,262.46610,672,475.97无形财物507,693,672.93525,867,518.75534,750,458.87商誉31,959,091.6031,959,091.6031,959,091.60长时间待摊费用23,706,401.618,720,120.649,011,625.35递延所得税财物137,808,879.2888,952,931.6972,191,056.56其他非活动财物251,509,127.08179,238,257.09-非活动财物算计5,448,177,716.664,738,999,578.614,245,109,459.83财物总计17,032,530,730.1814,790,190,170.6413,932,172,478.62活动负债:短期告贷383,088,296.601,295,610,572.071,104,568,835.63以公允价值计量且其变化计入当期损益的金融负债---衍生金融负债7,939,957.91126,364.409,724,057.63敷衍收据1,238,574,463.731,130,668,415.321,142,890,068.69敷衍账款2,279,661,755.971,587,763,752.621,582,092,023.46预收金钱10,000,000.0023,453,218.329,510,148.70合同负债42,581,607.67敷衍员工薪酬289,305,913.99228,997,483.82215,503,563.26应交税费75,008,142.0658,192,607.7573,699,617.11其他敷衍款270,888,400.58161,237,214.88172,843,669.89其间:敷衍利息--2,780,100.31敷衍股利-1,772,750.00-其他敷衍款270,888,400.58159,464,464.88170,063,569.58一年内到期的非活动负债130,553,923.87222,228,097.22482,015,977.44其他活动负债-活动负债算计4,727,602,462.384,708,277,726.404,792,847,961.81非活动负债:长时间告贷1,707,918,994.87392,882,280.09222,000,000.00长时间敷衍款90,336,083.2794,235,857.7729,554,567.82估计负债2,638,000.00项目2020年12月31日2019年12月31日2018年12月31日递延收益140,105,336.4382,537,550.4366,618,017.39递延所得税负债130,778,184.4865,049,361.7131,006,784.78其他非活动负债80,398,897.7281,788,928.5290,068,474.88非活动负债算计2,152,175,496.77716,493,978.52439,247,844.87负债算计6,879,777,959.155,424,771,704.925,232,095,806.68所有者权益(或股东权益):实收本钱(或股本)3,591,601,468.002,765,657,898.002,130,646,835.00其他权益东西---本钱公积315,417,434.221,090,800,022.061,702,234,409.35减:库存股281,483,741.34363,781,151.34116,457,618.45其他归纳收益-89,624,962.61-39,332,748.50-39,303,906.65专项储藏---盈利公积637,967,613.47559,896,619.39448,843,076.37未分配赢利5,890,916,707.835,278,392,288.844,488,881,759.86归归于母公司股东权益算计10,064,794,519.579,291,632,928.458,614,844,555.48少量股东权益87,958,251.4673,785,537.2785,232,116.46股东权益算计10,152,752,771.039,365,418,465.728,700,076,671.94负债和股东权益算计17,032,530,730.1814,790,190,170.6413,932,172,478.622、兼并赢利表单位:元项目2020年度2019年度2018年度一、运营总收入12,109,833,368.4411,287,489,442.2310,835,990,677.51二、运营总本钱10,592,665,388.409,747,723,876.169,323,681,393.84运营本钱8,500,391,322.277,946,844,445.837,738,408,935.23税金及附加77,973,420.8192,311,339.0385,752,459.82销售费用602,954,759.17588,547,454.16532,074,413.74管理费用764,084,428.88595,781,120.22582,490,890.81研制费用518,401,363.63532,012,335.99437,166,918.31财务费用128,860,093.64-7,772,819.07-52,212,224.07其间:利息费用64,733,993.1554,050,078.5149,647,073.62利息收入52,233,256.5729,496,046.8716,252,248.19加:其他收益151,555,896.45101,972,467.8661,226,907.56出资收益89,078,877.1625,335,547.4448,511,445.87其间:对联营企业和合营企业的出资收益2,199,442.471,418,182.871,715,072.15以摊余本钱计量的金融财物停止承认收益-4,369,430.89-2,407,426.89公允价值变化收益(丢失以“-”号填列)31,847,915.7627,906,347.18-21,197,302.49信誉减值丢失(丢失以“-”号填列)-28,677,382.30-3,374,126.64财物减值丢失(丢失以“-”号填列)-58,672,538.84-27,895,239.50-54,782,873.85财物处置收益(丢失以“-”号填列)-486,378.33278,783.69256,060.18三、运营赢利1,701,814,369.941,663,989,346.101,546,323,520.94加:运营外收入5,055,479.826,792,283.121,999,582.98减:运营外开销14,843,633.187,713,121.409,020,353.78四、赢利总额1,692,026,216.581,663,068,507.821,539,302,750.14减:所得税费用218,702,864.60229,253,469.06227,995,515.52五、净赢利1,473,323,351.981,433,815,038.761,311,307,234.62(一)按运营继续性分类继续运营净赢利1,473,323,351.981,433,815,038.761,311,307,234.62(二)按所有权归属分类归归于母公司股东的净赢利1,462,158,821.571,421,204,236.131,292,349,782.17少量股东损益11,164,530.4112,610,802.6318,957,452.45扣除非经常性损益后的净赢利1,270,609,746.531,351,335,040.191,294,769,254.99六、每股收益(一)根本每股收益(注)0.410.400.36(二)稀释每股收益(注)0.410.400.36七、其他归纳收益-50,292,214.11-28,841.851,453,688.59归归于母公司股东的其他归纳收益-50,292,214.11-28,841.851,453,688.59八、归纳收益总额1,423,031,137.871,433,786,196.911,312,760,923.21归归于母公司所有者的归纳收益总额1,411,866,607.461,421,175,394.281,293,803,470.76归归于少量股东的归纳收益总额5,574,552.3712,610,802.6318,957,452.45注:其间2018年度和2019年度“根本每股收益与稀释每股收益”已依据2019年度、2020年度赢利分配计划相应调整股数后进行从头核算2021-12-052、项目组其他成员:张一铮、李健、孙书利