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模塑科技 (000700)


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流通市值: 市盈率: 52周最高:16.5 52周最低:3.59

模塑科技(000700) 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)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
232,16585,923548,953393,336252,358128,690496,565359,885225,340105,316434,015255,136170,49684,015402,662225,230143,92079,051313,635229,366156,77178,697339,540252,582161,26875,553290,114210,216138,67352,486246,439172,70997,25844,454196,425141,73697,55946,151197,085139,51990,64850,007172,735101,60468,87632,385143,61570,54447,24620,809112,69285,87353,47423,122103,13768,53447,00122,107
189,24074,720449,353320,530205,248107,046401,591291,814179,21883,657339,381202,388133,50165,364308,502173,778110,38061,149239,931174,336117,63360,705260,102193,406123,22258,099219,197159,211104,58839,199181,430127,57673,80733,309146,789107,89874,76636,354147,560104,36669,56839,439128,27274,72054,35725,104112,02155,12836,23015,42790,68570,01042,320086,02656,06637,5910
-11,527-18,45213,16911,1478,2238,8497,3913,8014,5232,39617,52716,36910,7166,97131,15321,70014,9229,55333,39330,97225,2638,47128,65423,83516,3928,39825,78820,74615,3102,94918,07812,0493,7322,41110,3058,6254,8501,6029,12210,6824,2382,83713,0899,3103,1571,5697,0971,8901,6201,1526,0444,7553,2651,3713,9583,8673,1771,865
-11,739-18,61713,21711,2028,2968,8465,8883,5194,2552,37117,06216,37110,8097,04631,30020,70113,8158,38734,37231,09225,5468,51329,30824,44016,8998,70325,06121,27715,6973,01220,77114,4144,1762,45210,9218,5125,0921,6109,42710,8954,4662,79713,6019,8553,6741,8859,7183,4262,6791,1525,8665,4033,7421,3664,2363,9113,2341,872
-55-2,4743,0512,3412,3912,7794,8692,7832,9531,3083,6163,1962,4651,2446,1134,0802,4441,4624,7315,2904,2261,0934,4243,9282,5801,2273,2122,9481,9455382,4082,0411,3616668861511,1652623,1972,0741,0419375,7132,9701,1385922,9861,4451,0566642,4261,9421,150498929956740522
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-0.13-0.180.120.110.070.070.010.010.020.010.160.180.120.080.310.230.160.190.840.740.620.230.800.650.450.240.700.590.440.080.590.400.080.060.250.200.100.040.110.160.070.030.080.100.050.040.140.060.050.020.110.110.080.030.110.090.080.04
59,99967,23668,46478,87171,87354,45965,33346,47866,00772,94491,42597,579137,88460,52465,90444,56045,03450,36143,23052,87547,99856,75136,24040,60142,71339,60336,17143,98852,99249,06956,13168,48262,47375,25767,06859,68371,91682,42685,76157,12564,23361,23854,35051,19551,82664,94238,88741,57047,62551,67039,49751,68653,41954,93650,158
101,28265,510107,322105,237101,79097,69592,79485,68573,19762,78171,90151,04453,85852,27553,42256,36743,42052,32048,02346,59257,47045,11545,07757,00154,16758,86353,33347,31944,89733,02350,81047,12840,21429,00533,82528,67231,42331,90732,23021,27223,31619,51320,18314,31313,04113,82410,91119,32318,80317,36421,72318,66719,36117,21117,869
100,99195,23987,89390,20693,42684,69988,96883,49776,97174,89870,50844,11237,32040,98037,02038,23635,11030,40531,96031,44734,42436,85837,30834,02636,15462,65263,18062,94065,72373,88159,36063,31559,52856,20652,91058,01451,30854,89251,74852,38850,76362,48456,547--62,39965,30969,99814,051--17,85212,77015,18016,81919,16214,911
358,341312,833357,581369,595361,825354,660282,425261,283263,228254,327280,525250,827272,431192,959186,470169,520149,062156,535153,402155,469164,799160,348151,692159,480168,384195,263187,905179,462189,928175,311186,341205,180182,472181,055177,402171,437180,104202,581203,074154,127173,537171,940159,021153,727152,290160,640145,99788,51795,955102,76487,20094,141101,774108,00598,269
269,907--292,174--286,582--255,656222,594214,464179,167188,382136,347138,661142,179142,646141,485142,865142,521141,42078,56684,31383,73884,37480,22781,07483,75885,85382,89784,19386,41788,29983,69482,26083,13184,48180,88276,38376,08277,89273,08474,28774,06075,14475,25275,55477,99179,56681,62686,64589,50291,92482,46387,83588,38691,404
768,968726,877784,566787,903770,908757,514739,756740,647732,301721,800753,249679,427703,354626,438593,437582,616454,497458,384455,773427,584436,528418,876392,856391,538393,393394,013388,782393,943405,090393,275403,136410,872395,999396,016392,063362,021366,569390,107389,424342,141359,176357,915345,487342,835341,259350,461337,161245,586254,117259,930244,774252,814261,940245,447249,896
441,854406,506428,169432,257409,724396,720386,742356,295327,402347,026375,609256,482267,762260,087252,048228,220202,467200,885201,635186,969194,744194,330227,610227,580244,019210,799212,116220,511239,551232,875266,331259,452271,695272,856270,689242,665248,211276,679276,343217,854230,388223,855212,165201,040207,154219,620227,714137,914146,684154,992140,516146,570154,741149,530158,784
54,83155,915118,439120,256120,135123,202120,233128,711148,881107,271108,744111,959116,01344,62431,05634,64410,38412,01112,90210,49011,9129,92126,21023,97518,97120,97120,97123,00019,00020,12012020,4515231,0331,03321,33922,57019,91120,91129,64830,64837,48438,60748,08343,40040,37520,27512,03112,15010,75310,59713,13013,3853,7450
496,685462,421546,608552,513529,859519,922506,975485,007476,283454,298484,354368,442383,775304,711283,104262,864212,850212,896214,537197,459206,655204,251253,821251,555262,990231,770233,087243,511258,551252,995266,451279,903272,218273,889271,722264,004270,781296,589297,254247,502261,036261,339250,772249,123250,554259,995247,988149,945158,835165,745151,114159,700168,127153,275158,784
272,283264,455237,958235,390241,049237,592232,781255,640256,018267,502268,895310,985319,579321,727310,333319,753241,646245,488241,237230,125229,872214,626139,036139,983130,403162,243155,695150,432146,539140,280136,685130,969123,781122,127120,34198,01795,78893,51892,17094,63998,14096,57694,71593,71290,70590,46689,17295,64295,28394,18493,66093,11393,81392,17191,112
51,88451,88449,46449,46449,46449,46462,71362,71362,71362,71345,80742,68342,68342,68326,47724,34924,34924,34924,15324,15324,15324,15320,68320,68320,68320,68322,40422,40422,40422,40424,92425,03724,92424,92423,23623,23623,23623,23628,69328,69328,69328,69312,13612,13612,13612,13615,81339,49739,49739,61519,90850,12049,07950,15812,64856,66540,39512,648
-6,335-6,42716,8825,052-912-7,862-1,465-3,95211,7359,9647,6145,36510,5461,65239,58029,53520,55310,81826,06221,9373,5917,50638,49519,60124,0653,05045,84033,62724,4505,77531,09221,27513,07415,72131,56421,31716,4927,74111,72126,17517,4499,44134,66721,06920,22212,36852,0398,57210,9157,34727,94224,32215,3577,7765,2845,78410,2414,965
-11,200-5,067-22,335-12,644-7,194-15,564-62,480-74,377-71,643-30,138-87,534-78,640-54,124-21,033-41,954-37,808-22,209-9,865-23,207-16,170-7,640-7,852-42,135-34,841-27,729-1,166-4,468-2,278205767-9,778-5,584-5,775-3,410-21,614-13,280-7,733-5,250-13,811-12,804-5,794-2,703-10,120-6,676-6,708-2,388-40,966-8,748-5,296-2,288-35,543-28,124-25,671-3,726-14,7994,558-2,639-2,526
13,8188,0306,1676,83712,59012,75148,46543,19849,0158,93198,983106,252118,30119,57322,48818,15611,5289,719-2,6605,1908,18121,0977,11117,99111,8742,308-43,094-29,725-26,006-13,497-23,834-15,533-15,319-7,366-8,261-8,945-1,434-1,669-3,367-15,682-7,0841,360-7,9892,3245,32810,326-14,7502,2492,5087,034-1,0045,36813,67972916,7745,483-3,1642,124
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47,67548,54351,88448,72653,69438,51749,46427,77551,84451,39062,71375,585117,14143,28845,80734,35634,32234,98424,34935,11028,28544,90324,15323,43328,89324,87520,68324,02821,05415,45022,40425,19516,90429,86924,92422,32830,56024,05723,23626,38233,26336,79128,69328,85230,97832,44212,13641,57047,62551,70811,30351,68652,44454,93619,90872,48944,83317,211
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