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索菲亚 (002572)


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流通市值: 市盈率: 52周最高:27.96 52周最低:14.77

索菲亚(002572) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312009-12-312008-12-31
314,239118,493731,089510,587298,795124,304616,144425,094248,74295,380452,996297,128166,94064,315319,574207,104115,84743,988236,108153,25184,68431,168178,348114,81163,14323,692122,17078,41742,64414,068100,36062,98436,97214,50260,44635,47020,152
199,07077,744456,402317,193186,22581,112380,980264,087158,56564,517287,358189,048107,41542,287198,776129,48874,29628,312147,89196,43154,41020,433112,26272,79540,57615,29079,52851,98528,9699,54066,61642,17124,6419,77638,36024,76914,377
47,71112,189123,43086,51246,44512,416118,18775,98238,7949,59682,07953,44625,8906,62659,99837,35618,0104,96639,60124,73112,3353,14329,92817,8348,7582,86920,97412,7216,1391,67316,2739,7875,4131,93910,0265,6113,072
47,69212,174123,09086,06946,05212,405118,13976,16938,8349,68083,08754,26326,0066,67460,57837,74318,1984,97040,08625,29212,7423,27930,56318,3449,1233,04821,04212,6776,1241,67016,64910,0765,7001,93210,1665,6113,012
8,7762,58526,66517,41510,1893,82627,68319,05010,1763,09519,33816,3088,1722,50415,38910,2504,5891,4827,0405,1902,5186395,2453,1791,4995553,4332,0239272692,7331,6699373371,762921742
38,9159,58996,42568,65435,8638,57990,45657,11928,6586,58563,74837,95517,8344,17045,18927,49313,6093,48833,04720,10210,2252,64025,31815,1657,6242,49317,60910,6545,1971,40113,9168,4074,7631,5958,4044,6902,269
0.430.121.040.750.400.110.980.620.320.171.480.920.450.121.040.630.310.080.740.450.220.060.560.340.170.110.810.490.240.131.310.801.030.382.101.522.27
104,505145,168216,495145,346162,913143,950181,262155,122138,309184,445138,670184,47887,48267,90099,74178,99085,19871,866118,362121,040116,707112,956115,283104,531102,679103,647104,734111,470108,886112,323119,493114,049116,0694,66213,2063,7671,690
52,30446,21440,65742,85640,57429,03322,37418,03913,45611,84611,96310,1186,3607,8317,0987,7347,3865,5756,1907,4123,7043,3314,8767,0365,2694,4084,5465,8952,4332,0643,9233,0823,1082,7651,623724516
31,25531,09030,28934,87332,32229,38128,69129,00628,79425,62226,85823,91621,33018,96719,70320,79917,74915,41214,24414,87513,34812,77613,69114,60710,1447,5668,0088,3306,9205,8485,4245,5465,1774,6804,2023,1152,002
360,613341,430366,812314,460324,770321,341360,206327,665295,307302,942317,373282,956144,067116,870146,980135,135138,298120,995149,745151,846140,406140,203142,992147,185132,334130,283129,797132,177125,480125,323132,403127,527128,18715,59020,8188,0474,970
258,747--240,275227,713218,946217,211218,466185,835174,494115,041116,650104,994102,794101,62898,00575,81254,75248,44649,33346,86042,49942,49643,30140,75840,40734,44035,16222,81722,12317,79717,52615,6989,3339,3398,2397,3965,834
787,703769,600781,197723,374695,596675,710705,995659,503601,881531,886533,817487,874336,246291,549315,432289,759277,513247,551253,328238,123219,271204,901208,579201,428185,472175,952175,852165,211154,931151,416154,013148,305144,08729,21131,13117,00212,196
241,908243,657218,830164,914174,026138,789181,503172,677157,646116,584129,070112,79391,43562,88366,65659,25561,18831,54041,10537,75729,84621,50328,37532,87826,11014,99723,35820,33615,51212,02416,02315,82310,9697,76012,4445,5577,941
18,80126,32126,52833,49436,44437,52533,01532,68519,1865,5305,5605,1564,6314,7006,4738,8688,8744,0954,0951,2938858859866896896896890000000000
260,708269,978245,359198,408210,470176,314214,518205,362176,832122,114134,629117,94996,06567,58373,12968,12370,06135,63545,19939,05030,73122,38829,36133,56726,79915,68624,04720,33615,51212,02416,02315,82310,9697,76012,4445,5577,941
526,994499,622535,838524,966485,126499,395491,477454,140425,049409,772399,187369,925240,181223,966242,303221,636207,452211,917208,129199,073188,540182,513179,218167,861158,673160,266151,805144,875139,418139,391137,990132,481133,11721,45118,68711,4454,255
214,420214,420179,300179,300179,300179,300134,135134,135134,135134,13598,86198,86198,86198,865102,736102,736102,736102,736114,690114,690114,690114,690104,709104,709104,709104,709119,451119,451119,451119,45113,89213,89213,89213,8923,5501,690493
22,782-41,899109,98051,66533,233-24,995124,26885,74941,627-17,006119,25963,34831,147-3,91582,97049,64828,8752,99435,22632,83417,47316935,25517,7919,773-1,04020,42210,2164,145-1,32313,8717,2272,215-2,68610,0814,9743,155
-110,557-52,028-31,792-42,835-3,822-10,164-91,980-81,132-36,95441,719-178,950-87,860-38,520-13,081-79,033-69,786-54,912-42,522-44,290-24,259-13,800-2,283-23,974-17,148-10,061-5,683-30,416-13,500-10,022-5,812-11,300-9,742-7,133-4,328-1,952-3,439-1,809
-23,67023,152-43,076-44,582-47,743-1,71512,83613,259-4,70911,03394,90796,010-13,993-14,908-7,776-9,5534,9610-2,046-2,046-2,0460-1,268-1,268-1,8575,643-4,738-4,738-4,738-35102,993102,649107,086-2,2071,266433-149
-111,429-70,81335,120-35,737-18,335-36,88145,16517,922-135,76635,27471,562-21,306-31,845-3,874-29,641-21,125-39,619-11,9545,8491,630-2,1119,980-655-2,171-1,087-14,741-8,022-10,615-7,170105,559100,129102,154-9,2299,3951,9681,197
102,991143,607214,420143,563160,965142,419179,300152,057134,134169,901134,135170,42377,55567,02098,86173,09481,61163,117102,736120,539116,319112,578114,690104,054102,538103,622104,709111,429108,836112,281119,451114,021116,0464,66212,9453,6581,690
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