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国光电器 (002045)


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流通市值: 市盈率: 52周最高:7.4 52周最低:3.97

国光电器(002045) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
173,58073,880404,190293,082166,89388,285404,882253,507139,27067,546256,891166,16488,72436,342223,140151,36488,26843,684201,562139,95880,12437,406202,144144,32581,60036,620181,733128,22380,23941,089215,439148,52894,73941,546175,740120,76363,90828,287104,20171,36938,57415,88398,44069,04338,28815,75083,92758,48233,26016,19485,63455,36935,33016,601
148,48164,716354,787252,228141,61875,410341,431210,307115,08555,871208,059134,74070,43028,024178,690121,93371,76235,114157,632108,76561,77729,492159,054114,74164,52629,084147,826103,81564,05333,160175,638119,87177,46734,482142,35696,45347,86720,34475,53851,15127,30211,23972,57151,06228,27011,21463,60544,05925,05412,58267,44742,64427,03912,503
19,893611-27,008-8,6151,4101,34216,05811,0564,1261,1953,7701,686-2611535,0832,6014386559,5425,7321,9493918,0565,1592,9701,170-22,662-17,572-17,4511,4147,5958,3774,5591,21811,95210,2797,1333,75312,1587,6013,5331,4379,6866,8103,0171,2508,2695,7932,8751,3335,9204,1382,7341,201
19,726437-26,849-8,5571,1511,28515,37910,5493,9792,0116,2673,2392602815,8663,17369668510,7036,0252,1476369,4016,3793,9171,560-22,839-16,746-17,0721,6629,8579,0885,0411,40313,53011,3768,1054,29912,6938,1533,6791,52010,1357,0853,2971,5429,1615,9512,9321,4135,9984,3702,7231,190
1,683113-4,789-2,275-1811432,5831,36476729573632472651,4796423662551,625792183452,061983657376-4,130-3,135-3,1974011,3391,1897692342,0361,7151,2237351,5449663653011,1381,0996963871,12396151111589560135048
18,042325-22,060-6,2821,3321,14212,7969,1863,2121,7165,5302,9151882174,3882,5313304309,0785,2331,9645917,3405,3963,2601,184-18,709-13,611-13,8751,2618,5197,8994,2721,16811,4949,6616,8833,56411,1497,1863,3141,2198,9985,9862,6011,1558,0384,9902,4211,2985,1033,7692,3731,142
0.390.01-0.49-0.150.030.030.310.230.080.040.140.080.010.010.120.070.010.010.220.130.050.020.200.140.080.03-0.44-0.32-0.330.030.210.190.100.040.430.360.260.140.440.290.160.060.430.300.130.060.390.220.100.080.260.240.150.11
63,20660,26040,95646,10264,46028,08911,84813,83610,4059,43219,58410,83512,59430,60634,33527,52417,96142,88832,31826,29441,25340,68845,46232,75744,52442,00737,97940,14852,68948,70045,51158,02654,94356,61143,72742,54043,09818,31719,23716,72610,15416,80913,0147,80716,02710,6457,8445,5399,97814,6267,192
99,94679,234102,554111,22970,30090,218123,439112,61072,11272,29092,41478,49346,35139,14768,15466,90746,38846,37556,78253,92742,42542,57557,50758,34040,53141,15450,01043,83138,38454,24061,83557,99360,18652,33558,98458,12737,89632,04932,95633,94928,02324,03632,00034,57126,70421,43032,11429,49923,28330,66633,137
44,22545,99853,14470,47275,51977,53560,22447,22435,61735,55531,13232,80625,08025,95031,04835,53228,12026,31831,42129,52827,55026,95531,02832,73031,17029,91528,55034,92536,21942,39642,53651,00954,23152,90354,91251,35942,26827,61325,04223,32019,44421,57821,99824,47018,78615,72915,71313,45613,60310,80212,184
260,481220,349236,243290,482246,489218,862210,476193,161133,338132,383156,948138,56197,381116,723155,090151,186114,744133,081137,521131,766125,988124,953145,201139,805133,050130,787130,229130,296140,073160,616166,068178,630180,513171,556170,482161,544131,54483,21681,09878,98462,41465,45270,88471,85866,21753,77060,35552,48350,99558,81254,549
66,861--69,82671,13173,59471,08767,76264,19862,78560,70661,32861,05760,31159,33659,99759,71857,82860,66164,23464,76265,16666,24466,38766,53666,62066,68567,29170,34571,25370,41469,24068,46165,11763,86063,99462,80160,87461,05761,19457,33858,31159,11655,93453,36652,43451,13144,70244,86833,66933,11226,463
422,393475,914480,582520,577476,667433,041416,481385,684302,581283,994300,435272,289231,588250,079287,750279,565232,611252,456256,909249,698244,615242,777261,899250,350243,500241,695242,542244,395254,475273,746278,872288,212288,157274,375272,573263,742228,342179,869177,740173,086151,281153,731157,952160,938153,829138,850140,414130,339124,917126,162113,377
194,983212,114224,117240,699170,405162,113172,116156,188108,120113,628129,887118,91781,01177,326113,559103,89680,80090,48599,721101,44198,48894,045114,97499,45987,51187,44375,97275,74493,349100,386111,652112,572107,466101,73999,22195,37866,05954,33850,20057,69340,78250,51153,25755,66653,29239,73538,35730,97933,55748,77346,601
47,10492,32485,09292,701111,765120,26594,61983,49053,29027,22429,07820,73120,72139,60941,25044,88923,31929,93225,56820,82021,43023,42422,24228,38635,61332,55546,52643,50436,26330,02125,15634,35542,95936,21235,29332,23428,88730,53132,23726,29524,30821,53924,31025,55624,37024,79428,28529,32124,39910,3711,774
242,087304,438309,208333,400282,170282,378266,735239,679161,410140,852158,965139,648101,732116,935154,809148,785104,119120,416125,290122,261119,918117,469137,216127,845123,124119,997122,497119,249129,612130,407136,808146,927150,426137,951134,513127,61294,94784,86982,43883,98865,09072,05077,56781,22277,66264,53066,64260,30057,95659,14448,375
180,306171,477171,374187,178194,497150,663149,746146,006141,171143,142141,470132,641129,856133,144132,941130,780128,492132,039131,619127,437124,697125,308124,682122,506120,376121,698120,044125,146124,863143,339142,064141,285137,732136,424138,059136,130133,39595,00195,30389,09886,19181,68180,38579,71676,16774,32073,77270,03966,96167,01865,002
32,90532,9056,5506,5506,5506,55016,03416,03416,03416,03428,16628,16628,16628,16627,96727,96727,96727,96735,58135,58135,58135,58132,54232,54232,54232,54238,13838,13838,13838,13838,41938,41938,41938,41916,92316,92316,92316,92311,79611,79611,79611,7967,8447,8447,8447,8447,1927,1927,1927,19217,52717,52717,52717,600
9,38911,47013,9317,942-7,514-27,14710,6106,17916,07912,32417,28714,61118,98014,30017,4294062,22910,12913,95611,19110,5061,80023,26613,77810,1165,79413,45011,3664,095-17716,4768,1706943,294-21,143-19,946-5,39195817,94912,7675,5524,3855,3521,5384,2244,61510,31610,07012,4094,3091,41816-3,039-1,236
8,696-501-69,127-75,306-46,129-16,668-65,642-47,982-27,950-4,463-14,522-3,661-274-4,524-22,687-12,981-1,708-1,982-15,850-16,018-10,250-5,287-11,432-2,457-1,945-4,038-4,877-1,347-914368-14,972-10,777-7,462-4,060-8,950-7,648-2,087-1,243-19,295-14,853-3,420-2,151-12,914-10,555-8,385-4,192-20,436-19,570-15,581-8,068-17,098-14,647-8,721-6,903
4,91110,62281,05396,545102,56556,59245,91035,2542,944-17,943-15,657-31,566-36,707-10,4724,5257,272-15,9051,965-5,762-12,509-3,6124,459-8,150-14,004-1,0761,073-14,149-16,5472,678-2,055-1,1996,1986,9853,41551,85048,10730,075-1,4886,4785,955-4,8651,75911,9599,24012,6322,55011,0897,9886,08311,1205,4906,3679,5567,287
23,02721,14626,35529,60948,60212,412-9,484-6,828-9,087-10,109-12,132-20,331-17,806-766200-4,734-15,39110,184-7,614-17,131-3,1261,2303,038-3,0186,7492,779-5,596-6,4155,933-1,874-2823,065162,57221,49720,33122,545-1,7785,1273,866-2,7323,9943,952-368,1832,801651-1,6542,7857,434-10,335-8,360-2,233-879
55,93254,05132,90536,15955,15218,9626,5509,2066,9485,92616,0347,83510,36127,40128,16623,23312,57538,15127,96718,44932,45536,81035,58129,52439,29135,32132,54231,72244,07136,26438,13841,48538,43540,99138,41937,25339,46715,14416,92315,6629,06315,79011,7967,80716,02710,6457,8445,5399,97814,6267,1929,16715,29416,722
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