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省广股份 (002400)


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流通市值: 市盈率: 52周最高:12.41 52周最低:5.35

省广股份(002400) 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)
2017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-03-312008-12-312007-12-31
701,496447,321191,0151,091,502673,867443,278189,593962,864614,146384,841168,859633,759404,964262,272126,344559,090361,526236,232107,996462,665315,593195,37888,625371,694264,401178,38378,431307,863205,532131,89857,189205,024120,81035,732181,473152,007
598,876380,436158,482893,716551,089365,668153,581789,851507,881322,717141,950506,940327,487211,892104,505452,652298,809194,19789,837389,506269,830165,63775,233326,700234,594160,41570,157276,647184,233118,18350,586180,751104,29230,480159,004135,393
24,11622,7859,52385,70456,92234,62312,94778,48347,74824,7578,55462,95237,64424,1238,86243,47726,16317,8996,44427,59814,5749,5614,25315,13810,7045,9732,6459,1367,0664,2521,9946,9024,8231,3856,5805,347
27,54225,0339,84888,61359,24736,12513,62981,65649,94226,3398,75863,11237,69324,0038,87545,94726,37217,9916,54427,76214,6079,5754,25515,14210,6155,8832,5689,1357,0714,2502,0037,0664,9381,3866,5085,465
5,1123,4861,32418,83111,8877,5132,87421,00712,1135,9871,98114,3858,8065,6592,04311,3096,2394,4861,7136,4063,2112,5181,1183,6612,5781,4686752,3211,7381,0485591,7021,2211551,9921,511
22,42921,5488,52469,78347,36028,61210,75560,64837,82920,3526,77748,72728,88718,3446,83234,63820,13313,5054,83121,35611,3977,0563,13611,4828,0384,4151,8936,8145,3333,2021,4445,3643,7171,2314,5163,954
0.100.110.060.500.360.220.110.610.390.220.110.740.440.280.160.750.440.290.220.940.520.310.170.670.490.290.230.900.750.490.230.860.600.200.750.63
89,13591,206119,228174,761179,64887,37267,37180,78664,80059,98165,85248,53372,56282,26890,77280,69993,06293,97581,68175,43196,917100,46979,24182,44798,784101,54372,61390,948102,36997,16315,90220,26317,97114,252
274,038293,206281,451270,838251,125227,640215,632225,397223,232177,396168,889160,18190,01877,92275,64979,52381,28980,62668,33853,15458,89348,33245,24726,73334,49035,84224,66417,51018,42923,58421,07410,5037,7619,076
2112122122142492151091191,019414327959187366162117146174156647444534231------0000--
612,657644,430673,390710,354643,625515,346520,119525,434473,630435,891454,505374,604274,918261,103268,607263,385278,457268,907255,108229,206230,185211,966193,067189,995184,907182,332160,929167,468156,667158,41569,55856,08346,37635,109
66,0052,8282,9482,8692,9263,0223,0953,2162,9993,0732,9322,9522,8682,8723,2123,3963,4413,4183,4603,5993,4123,2263,1393,1313,0513,0232,6772,6532,7122,7562,7722,8273,1733,628
1,015,654986,1161,011,0071,046,292977,089843,880796,731777,978659,491606,027567,570485,788329,578308,607314,413309,051323,354303,526289,370264,121254,291229,946207,473204,761199,022195,726172,187173,155162,150163,83074,64961,64752,03740,489
354,667329,445355,316394,916341,664417,969411,512404,225340,456303,648272,082216,170140,716121,914124,313126,591154,907146,477134,298112,549122,932106,31984,22284,41782,87783,88968,34471,19862,28166,09356,52344,96539,58832,542
103,30094,279101,532104,102105,772135,432106,500106,50561,35458,15058,83457,73916,1117,72313,33713,34214,3749,36610,31511,6464,4942,9993,0023,2322,8022,8020000000--
457,967423,724456,848499,018447,436553,401518,012510,730401,810361,799330,915273,909156,827129,637137,650139,933169,281155,843144,613124,195127,426109,31887,22487,64985,68086,69168,34471,19862,28166,09356,52344,96539,58832,542
557,686562,392554,159547,274529,652290,480278,719267,247257,682244,229236,654211,879172,751178,969176,763169,118154,072147,683144,757139,926126,864120,628120,248117,112113,342109,035103,842101,95699,86997,73718,12616,68212,4497,947
170,773170,773170,77373,97073,97073,97073,97045,51845,51845,51845,51879,34979,34979,34975,27875,27875,27875,27875,27882,44782,44782,44782,44790,94890,94890,94890,94820,26320,26320,26320,26317,97117,97117,97114,2528,375
-14,783-20,728-48,92159,6995,80916,62910,68726,5431,79518,60111,08913,22636,04213,89815,20712,11126,31525,2927,9804,70022,81221,984-3,032-5,29113,35715,730-12,049-6,3005,878220-4,3053,3184,851-5126,4483,976
-62,455-40,026-3,009-166,267-110,810-76,318-24,996-108,907-81,909-72,714-916-45,864-36,721-6,740-795-7,727-3,615-2,750-2,014-9,870-4,920-988-174-453-2,328-2,238-6,280-450-602-150-4316054-67-733272
-5,418-22,375-3,531203,371205,93567,287-334110,81493,32065,7227,146-1,194-10,629-6,949-218-312-6,515-6,144-422-1,999-3,423-2,9740-2,756-3,193-2,897-777,43576,82976,829-13-1,185-1,151-1,124-1,9951,629
-82,658-83,131-55,46196,803100,9337,597-14,64228,45213,20611,60817,319-33,831-11,30820914,1944,07116,18416,3985,551-7,16914,46918,022-3,206-8,5017,83610,594-18,33670,68582,10576,899-4,3612,2933,753-1,7043,7195,877
88,11587,642115,311170,773174,90381,56759,32873,97058,72457,12662,83745,51868,04279,55889,47279,34991,46291,67580,82875,27896,917100,46979,24182,44798,784101,54372,61390,948102,36997,16315,90220,26321,72416,26717,97114,252
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