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齐峰新材 (002521)


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流通市值: 市盈率: 52周最高:11.04 52周最低:5.09

齐峰新材(002521) 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)
2018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-312009-09-302008-12-312007-12-31
183,89686,913357,331257,293166,02077,121270,822193,653123,57153,816235,561173,646114,93254,318253,798189,502123,30754,078210,814150,21398,63241,031177,000127,02080,29535,929157,831116,01574,65029,428135,32898,49163,13798,77270,44896,46490,144
161,16175,863305,377216,785137,90764,649226,678161,217102,11946,115183,236135,43788,41140,824191,957142,31892,02440,896166,209118,50677,80932,412144,062103,70265,02129,089135,579101,14664,84824,992104,93975,69847,41572,70850,59377,08775,809
5,5252,73319,81917,49312,3264,84618,28913,2518,7821,95429,60821,19714,9567,66431,63526,07816,4626,98022,17516,42310,2794,42916,73111,3947,5713,7818,6895,6933,6191,46515,71813,0649,46913,76610,9586,1565,011
5,7803,01319,12517,05312,0134,87016,35211,4669,1382,23229,88221,41314,8617,60931,32826,17716,5167,10622,18816,44210,3784,45816,81011,3667,2263,5078,8795,7923,6541,54316,21113,1029,53014,15811,2526,2945,085
1,6347913,0744,1462,7911,0342,1592,0181,5913492,8713,1081,8551,2994,0416,3183,9031,6573,3002,6961,6267122,3991,7941,1255731,0591,0046393341,5131,1771,5752,2852,010-1891,523
4,1452,22216,05112,9079,2223,83614,1939,4487,5471,88327,01118,30413,0066,31027,28719,85912,6135,44918,88813,7468,7523,74514,4119,5736,1012,9357,8204,7893,0151,20914,69811,9257,95511,8739,2426,4833,562
0.080.040.320.260.190.080.290.190.150.040.590.410.310.150.650.470.300.130.450.330.210.090.700.460.300.140.380.230.150.081.331.080.721.080.840.650.37
35,18739,15244,84442,05949,31236,17423,07518,53724,26851,93525,74463,82645,06381,21588,319138,41354,68879,79687,10980,47479,809114,45493,33696,38982,297108,508111,422103,146108,444123,302158,63611,24315,41210,7217,07517,721
70,89864,97151,93455,31167,78253,12659,57161,32557,93253,35753,71847,32348,58145,72638,19931,46829,96024,11415,96722,69725,84727,30022,02824,64521,94914,63512,42419,00415,67915,57810,2749,71710,0418,67616,58615,022
50,96256,01648,18465,98284,84866,52039,12536,07938,32245,29746,44541,31649,98246,94537,63829,59034,20165,95554,41846,16863,99276,73951,54838,58050,70350,40331,19017,97427,88027,83324,36113,99919,20625,37812,84013,313
261,040273,020283,792285,042274,275274,146272,468265,719266,789271,312269,280297,193283,634274,782280,102285,440206,865235,097239,668225,903226,465260,779209,116208,641192,623203,821192,205180,310182,463190,728207,20961,91755,51156,58251,71561,987
143,097145,286146,214120,529122,285123,842126,132117,557114,832115,842110,64492,29893,77294,59996,25079,71581,15182,79284,31964,67165,63966,86768,44062,94363,47650,82551,81552,49438,39838,91939,02439,82639,65221,62521,45022,590
419,391433,361446,055443,255426,667424,318422,345412,735411,030414,766409,741428,495409,524399,051402,757401,802317,808344,288349,046323,134322,163335,094289,712279,703263,334268,828256,021242,492238,256239,409255,982109,104102,48290,80481,11987,877
81,51487,445102,292102,85289,88678,02179,82175,02975,12975,63472,670100,88287,59369,26679,98787,22185,296119,024120,924100,291104,454119,55077,89572,70559,78962,24752,35641,83939,35940,80948,59148,48645,82142,07146,02473,481
1,9542,0232,0921,8761,9392,0012,0641,9922,0892,0801,9434158866,79066,16561,95214916718620422324126027829731533435237140810,40810,39910,41210,4391,783317
83,46889,468104,384104,72891,82580,02281,88677,02177,21777,71374,612101,29687,682136,056146,152149,17385,445119,191121,110100,496104,677119,79178,15572,98460,08662,56252,69042,19239,73041,21758,99958,88456,23352,51047,80773,798
335,923343,893341,671338,526334,842344,295340,459335,714333,813337,053335,129327,199321,842262,995256,605252,629232,363225,097227,935222,638217,486215,302211,557206,719203,247206,266203,331200,300198,526198,193196,98450,21946,24938,29433,31214,079
44,84442,93723,07523,07523,07523,05825,02725,02725,02725,02787,57087,57087,57087,57085,84585,84585,84585,84588,24687,36387,36388,246108,188111,422111,422111,422158,336158,336158,336158,33610,16110,16110,1617,0757,07511,72120,299
23,62533,207-24,590-25,397-16,430-6,83138,94530,44120,01813,26212,2946,611-2,937-1,66043,55827,2037,391-11,7014,669-10,828-18,658-18,635-17,682-10,709-26,055-2,950-14,952-14,571-9,549-15,44920,34014,32515,91815,93817,1304,4048,679
-16,442-22,74154,54953,61157,95423,418-29,650-24,213-10,32210,528-55,742-36,412-36,396-5,723-70,613-14,661-6,484-3,032-34,839-17,989-16,980-2,172-13,292-12,762-7,745-4,129-20,860-18,462-14,021-2,731-18,714-13,847-12,333-8,769-4,055-1,574-6,903
-17,158-14,463-8,083-15,478-20,665-3,345-11,032-12,683-10,4673,160-18,5385,648-8,88957029,28536,017-34,5846,38227,69021,23022,93940,79611,1028,5214,5914,208-14,268-22,129-26,802-21,560146,5726311,090-4,050-684-7,383-10,248
-9,658-3,78621,76912,75720,75013,099-1,952-6,507-81226,891-62,542-24,461-48,611-7,2231,72448,252-33,889-8,312-2,401-7,689-12,64220,040-19,941-15,033-29,125-2,914-50,148-55,190-50,292-39,744148,1751,0824,6513,08612,370-4,646-8,578
35,18739,15244,84435,83243,82536,15723,07518,52024,21551,91825,02763,10938,95880,34787,570134,09751,95777,53385,84579,67474,720108,28688,24696,38982,297108,508108,188103,146108,044118,592158,33611,24314,81210,16119,4457,07511,721
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