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乐通股份 (002319)


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流通市值: 市盈率: 52周最高:16.38 52周最低:7.44

乐通股份(002319) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302008-12-312007-12-312006-12-31
33,68022,24210,79548,74436,33924,32811,17853,20540,69224,7849,34052,02440,09026,81814,87244,17433,64722,9238,95459,75846,15729,73111,79356,42339,99326,63013,51548,62535,89823,02011,03153,83941,13827,00611,98447,06532,82120,5889,34133,16823,38014,50830,04126,23519,305
25,79617,1068,34535,78627,96018,7768,64039,25329,95718,3986,93436,14027,92418,5839,85831,24224,21616,5026,68546,74936,17023,2658,94841,72829,80619,94910,22937,03227,84217,9898,74043,85933,71622,2369,78636,18524,86915,5756,93423,69016,54410,26422,79219,92214,585
-1,005-665-243-1,782-203-27-35673800207-3641,2951,9441,9171,966375118412-2739901,3738242833,2872,7221,6266942,6772,0971,1032321,3901,5539602613,6643,0242,0638024,3163,3832,0733,4043,5352,364
-1,011-671-236-1,929-282-88-3851661,159611-3734731,2521,1951,979599162459-2171,0511,3718212813,2732,6631,6226852,6822,0701,0672071,6251,7531,1674603,8153,1572,1358354,6673,4512,1193,6363,8092,445
4181891091,446-535-45039-899-34-11533-398-21-38180126-1045086160378145757697313821684364201893244391240100646496317146593499314542415215
-1,429-860-344-3,375253362-4241,0651,193726-4068711,2731,2331,799473266409-3038919936762062,5041,9321,2405162,2461,6508781761,5811,3639263613,1692,6611,8186894,0742,9521,8053,0933,3932,230
-0.07-0.04-0.02-0.170.010.02-0.020.050.060.04-0.020.000.030.030.070.010.010.01-0.020.030.040.030.010.100.080.050.020.200.150.090.020.180.160.110.040.320.260.180.070.510.370.230.410.440.28
1,2792,4658711,8103,9292,2121,4415,2114,7735,2104,2063,9257,5007,3466,9146,4841,7264,8016,6162,6562,4408,4271,76310,7612,1197,8184,3066,4676,63110,96012,62712,75614,57814,90820,43222,57425,96825,64429,66933,5383,7541,9382,801745
16,13516,48915,02814,53717,93119,38617,69316,45021,41618,75915,32417,41517,80417,23418,38118,29021,77624,14821,15722,67524,58826,02423,10822,33020,59120,65620,47616,83717,26114,63515,84615,77619,85319,10214,67313,89313,26812,59010,73210,9367,7206,9966,2814,574
4,7034,4284,7834,8585,9415,5497,3207,1027,5887,1778,3067,4617,2127,0538,0227,2329,2739,41011,71510,14712,45511,01711,1439,13611,80210,87511,58710,24111,17911,43912,27111,46610,75112,21113,52311,98710,7357,7146,9416,6675,5503,8383,4682,965
23,26624,27721,38824,41728,79928,15428,27233,45135,70933,61432,05634,66238,39437,63640,09738,70340,38744,78345,81740,46947,12952,75245,30055,68643,51248,88444,50741,21046,88749,09655,83955,61355,62255,24560,34258,83755,43552,04550,58253,99422,04817,27715,54110,647
--39,487--40,78442,35942,97143,83645,11845,98346,86447,38648,37847,47346,89247,58548,46748,63949,36640,93341,52041,08928,52121,69922,08419,66719,60919,57318,95218,8437,4167,0387,1927,4227,4247,0196,5146,4195,1375,5115,1784,1943,8103,3663,383
92,19194,09692,14195,789102,974102,789103,231109,270111,378110,086108,860112,568115,790115,613119,979119,718103,266108,092100,05095,459100,860104,74294,774103,97387,88389,50080,73576,31176,87576,40378,81576,68173,44570,71072,37369,69666,89058,63457,52360,68328,55923,13020,98315,525
50,34151,66049,07152,46253,93353,57454,55759,34460,40158,87958,15860,79962,96253,17655,60956,40640,10740,33331,41226,74231,65935,89325,21338,66922,51526,39120,57617,34820,55420,47623,68721,63218,78016,68617,95315,78213,5158,3977,28011,08912,9039,37010,5396,722
1325385075751008211,5422,2873,0333,7544,5005,2215,7676,6877,5218,2429,6219,62110,09110,16310,3106,4407,1305,6603,5902,0000000000000--0--050402
50,35351,68549,10952,51254,00853,64954,65760,16561,94361,16761,19264,55367,46258,39761,37663,09347,62848,57441,03336,36341,75046,05535,52345,10929,64532,05124,16619,34820,55420,47623,68721,63218,78016,68617,95315,78213,5158,3977,28011,08912,9039,37010,5897,124
41,83842,41143,03243,27748,96749,14048,57449,10549,43548,92047,66948,01548,32857,21758,60356,62555,63859,51759,01759,09659,11058,68759,25158,86458,23757,44856,56956,96356,32055,92755,12855,04954,66554,02454,42053,91453,37550,23750,24349,59515,65613,76010,3958,402
1,8101,8101,8105,2115,2115,2115,2113,1483,1483,1483,1486,0936,0936,0936,0932,0582,0582,0582,0589,8779,8779,8779,8774,8024,8024,8024,80212,74012,74012,74012,74022,23322,57422,57422,57433,39633,53833,53833,5381,9381,9381,9382,801745491
2,1001,2921,2147,8516,6693,2675,9458,1385,0184,3492,1948,9606,2775,1031,56510,4425,0113,8161,9132,9053,161194-2,518488-2,757-625-87013,7178,9637,234857-3,614-4,883-4,605-5,333-5,418-5,447-3,929-1,7401,9952,0081,8431,0102,2121,184
-273-193-80-7,143-4,889-4,622-4,157-1,403-1,339-1,319-1,108-2,820620882-505-18,577-14,747-10,509-932-9,254-9,459-7,149-3,411-10,989-9,397-6,098-1,787-15,766-10,087-6,797-1,754-11,043-8,636-5,326-1,172-7,586-5,919-1,751-1,134-1,194-1,056-641-1,390-1,188-242
-2,358-444-2,073-4,109-3,061-1,649-5,557-4,672-2,067-1,511-1,593-9,085-5,852-5,254-72312,1769,2139,2533,299-1,470-1,6644,332-2,49615,5778,6978,088463-5,891-7,230-3,0847745,1655,5222,2644,3631,8453,795-2,215-99630,657-377614-4811,035-688
-531655-939-3,401-1,281-3,004-3,7702,0631,6121,519-507-2,9451,0457313384,035-5242,5604,280-7,819-7,961-2,623-8,4255,075-3,4571,364-2,194-7,938-8,354-2,647-122-9,493-7,997-7,666-2,142-11,162-7,571-7,894-3,86931,4585751,816-8632,056255
1,2792,4658711,8103,9292,2071,4415,2114,7604,6672,6413,1487,1386,8246,4306,0931,5354,6186,3382,0581,9157,2531,4529,8771,3456,1672,6084,8024,38710,09312,61812,74014,57814,90820,43222,23325,96825,64429,66933,3962,5133,7541,9382,801745
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