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协鑫能科 (002015)


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流通市值: 市盈率: 52周最高:7.75 52周最低:4.83

协鑫能科(002015) 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)
2020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
251,6811,089,826781,396505,99615,76647,18132,34520,8469,41040,99025,83014,3196,23337,97431,31225,7696,50639,31824,55412,8925,173115,557100,61879,56644,098207,855146,45293,29742,697172,270122,46088,05453,107185,644143,54988,33244,256154,788105,67273,20232,622122,19887,59056,84823,639110,45875,37145,21214,49075,92755,70533,92613,55060,74942,61127,54414,791
208,080867,033623,650405,21015,08743,84730,45119,3429,25737,58223,88113,5796,08937,44831,00225,4386,19736,14722,55712,2645,858151,045136,78696,77350,900228,260150,82089,78439,725159,878111,00680,42149,089170,117132,35280,45339,950141,68397,62967,76230,111110,74980,28952,23221,936100,92866,72539,49912,23865,06448,38729,39011,53051,57736,30123,61812,762
15,484113,78587,22555,695-515730301197-346988-307-987-596-4,063-2,751-1,580-267360-473-814-1,484-84,523-51,615-23,793-10,153-40,812-14,913-2,9513258732,3662,4901,3552,8362,5882,2041,2692,9682,1461,7108481,4771,4911,1855941,2404,1693,1661,2255,2064,1302,3061,1034,6953,1021,7571,094
22,068122,00298,94267,763-525636301196-356965-315-997-606-4,124-2,812-1,641-26710,8749,06713,010-1,475-119,615-51,361-23,616-10,061-40,198-14,607-2,7604101,5972,7762,7621,5234,1313,1472,5891,5263,5062,5641,9699562,0991,9271,4066552,0834,8693,8261,2306,4764,1072,3001,0954,7003,1081,7621,095
7,79238,35928,85319,964-843144108--100------------------0--8135029826-206-321-1131953394964923551,027542514378750567418195139287247586278307903061,9471,0355773491,5141,020587349
14,27683,64270,08947,799-51759315788-356865-315-997-606-4,124-2,812-1,641-26710,8749,06713,010-1,475-120,428-51,411-23,914-10,087-39,992-14,285-2,6472151,2582,2802,2701,1683,1042,6052,0751,1472,7571,9971,5517611,9601,6401,1595971,4564,0393,0369244,5293,0721,7247463,1862,0881,176746
0.070.410.320.20-0.010.010.000.00-0.010.02-0.01-0.03-0.02-0.10-0.07-0.04-0.010.270.230.33-0.06-4.32-1.87-0.82-0.35-1.46-0.54-0.110.000.030.080.080.040.100.090.080.040.100.080.060.030.080.080.060.030.080.210.160.090.430.300.160.070.310.300.220.14
341,916296,299298,696234,1979,0204,68424,3221,7104,8246,4541,5432,6904,1562,6524,8555,0598,13112,9027,51028,74612,9688512,89623,42143,76966,89166,19869,11667,59459,40171,02565,69965,96747,99547,08355,22357,69136,34034,32531,33923,81418,08722,98214,88313,75716,41516,69019,69412,24913,62817,25215,88713,53416,555
169,793189,258165,986181,91711,2224,8113,0285,7714,4592,4473,2722,5882,1622,6194,0587,2777456561,5717,36912,06312,09013,3902,2372,6801,3723,7552,0503,1913,2944,5015,3225,7104,8304,6474,8845,2153,4274,7535,3274,2243,3724,3373,2473,4782,6324,6403,8085,2485,2305,9724,7044,8904,188
16,86119,68421,01120,2429,73313,70314,84914,00311,10111,64612,80211,95511,27210,5886,1716,96810,6728,4895,8445,5423,2703,87818,49739,31158,79358,00587,17485,76797,28885,57276,75270,23167,62865,67170,91160,79654,73556,02248,56548,01345,39848,80846,46039,55035,54832,71736,60225,62422,37222,67420,09219,55119,77320,224
650,346630,815627,898586,62052,11054,03348,36623,31322,55823,27222,47620,99620,51721,28721,73422,11825,52325,54927,84642,49929,48917,94358,02986,816121,163152,326183,828172,388185,323164,361163,596154,238152,361133,952141,034135,949132,380111,22196,99995,76184,81078,73080,52365,16360,24461,73564,21153,30345,63050,37748,31943,43941,22644,231
--1,056,358--1,045,117--6,6346,3896,2186,3966,5746,7525,8936,0796,1766,5836,7176,6016,73915,63215,84516,30916,73181,82080,96878,31779,87480,35284,97686,32788,57567,02268,37458,86255,24647,35047,96148,97049,15845,46546,33847,22148,04446,79747,53148,20348,55041,33637,50620,50819,86218,93819,19119,05019,860
2,455,7992,408,0882,243,8372,140,34462,46264,39958,63233,41532,59533,59932,87330,36330,07130,97731,73832,56835,53535,71755,81870,71758,21547,133164,607194,687230,222263,043290,716287,681301,807281,221271,650257,226255,752233,709230,491216,694207,266180,838165,598164,036153,876146,054147,665132,711128,669130,117127,718123,08782,38981,62577,46370,38266,77270,447
731,655728,845717,174762,2292,2743,6943,8951,9881,6122,2612,7162,4061,7242,0241,4731,1312,7242,77424,22125,22191,67179,106159,835161,517183,219205,228214,711207,914219,045198,209177,073162,187157,126135,981135,609121,936111,223106,98788,60285,65480,38773,27976,11777,36774,59876,31472,19868,96947,46447,62445,71939,98737,36941,700
947,131910,847788,465684,9240000000000000047510,43133,72333,73116,11017,01117,72317,74210,3432,3502,4842,94812,89013,36218,04518,32315,61516,02117,88517,97021,91222,76918,66618,71218,34217,09415,87016,19915,19815,247650650------0
1,678,7861,639,6921,505,6391,447,1532,2743,6943,8951,9881,6122,2612,7162,4061,7242,0241,4731,1312,7242,77424,69635,652125,394112,837175,945178,529200,942222,971225,054210,264221,529201,157189,964175,550175,172154,303151,224137,957129,107124,957110,514108,42399,05391,99194,45994,46190,46892,51387,39684,21648,11448,27445,71939,98737,36941,700
777,013768,396738,198693,19160,18860,70554,73731,42730,98331,33830,15827,95728,34728,95330,26531,43632,81032,94431,12235,065-67,179-65,704-11,33916,15829,28040,07265,66277,41780,27880,06481,68681,67680,58179,40679,26778,73778,15855,88155,08455,61354,82354,06253,20638,25038,20237,60440,32238,87134,27533,35031,74330,39529,40328,748
202,247198,735198,735198,7354,6846,4516,4516,4516,4512,6492,6492,6492,64910,25310,25312,90212,9024504504508513,7913,7913,7913,7919,6609,6609,6609,66012,74812,74812,74812,74819,92319,92319,92311,98311,98311,98311,98318,0876,9296,9296,92916,4158,2098,20913,62813,62810,13116,55516,55516,5554,11312,67912,67912,679
54,879163,103103,22234,612-692-5,530-5,216-4,458-1,6302,051-3,480-1,63820-4,776-5,158-7,612-4,540-7,456-2,095-3,044540-35,903-18,572-8,2012,633-27,61347,37838,70314,84214,98933,4531,14911,8686,57824768510,17222,3848,0981,4954,305-7,98821413414413,7849,2782,531683,3894124833367,7251-3,547419
-23,602-115,255-98,168-33,1245,030-19,507-173-27101,7731,7951,4661,484-2,004-240-231-231-963-220-35-35-2,455-1,637-528-373983-2,722-2,029-1,477-22,676-10,069-5,909-1,398-34,721-24,811-14,245-3,081-6,318-3,081-2,579-3,266-2,139-9,797-1,173-1,006-15,714-14,379-835-2,358-8,950-2,877-442-396-6,378-12,232-5,218-1,710
17,779-44,64321,373-37,572023,24223,242-2000000-85000018,2149,37531,37411,61134,97218,9137,042-4,92520,739-41,588-37,919-11,1654,613-15,9286,176-3,24220,96823,05719,88615,647-8,1261,5533,3064,68915,18118,7832,349-1,7976514,8664,3709113,6403,162-708-2,9614,67113,5598,557-1,371
49,1013,51225,211-37,1454,337-1,76817,870-4,744-1,6303,802-1,702-1871,504-7,604-5,398-7,843-4,7719,8027,06028,29612,117-3,340-1,296-1,687-2,664-5,8693,067-1,2452,200-3,0877,4551,4167,227-7,175-1,5076,32622,7387,9406,5702,2225,7275,0549,2001,310-2,659-1,280-2346,066-1,379-1,922698-667-3,0216,0181,327-209-2,662
251,348202,247223,946161,5909,0204,68424,3211,7074,8226,4519472,4624,1532,6494,8555,0598,13110,2537,51028,74612,9684502,4942,1041,1273,79112,7278,41611,8609,66020,20314,16319,97512,74818,41626,24934,72019,92318,55314,20523,81411,98316,1298,23913,7576,9297,97519,69412,2498,20917,25215,88713,53410,13114,00612,47010,017
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