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西陇科学 (002584)


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流通市值: 市盈率: 52周最高:9.08 52周最低:4.45

西陇科学(002584) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-03-312009-12-312008-12-31
233,283162,24593,398344,485259,504172,58076,883330,522238,892158,68972,324292,838174,495109,35948,591251,353161,736107,62950,394219,794159,166106,02949,976223,989159,507103,93041,884154,472112,85064,37029,038128,10395,86063,45930,843116,41626,60188,19876,671
194,658135,33081,237290,496221,601147,77664,926284,690206,943138,00062,585249,050141,93887,48538,512209,445131,52387,48541,498182,353132,45188,90741,769197,319140,36090,71135,807129,59195,04652,84523,727104,50878,33951,54225,19895,15321,80972,12262,773
2,8991,722-2,6197,1967,2554,76392710,2476,8163,50026410,5109,8306,8772,01011,6048,9025,9251,3879,1406,7274,4481,6315,2233,8913,1578936,7615,4713,6331,5058,9556,7084,6691,9938,4681,5166,2755,354
2,2961,636-2,5977,1317,6574,8028879,7346,7673,43445511,06410,2897,1062,07312,0759,1866,0311,6009,9237,4225,1991,8195,8514,4323,5261,1437,7656,1044,0391,7299,7867,2875,1542,5838,8761,8276,7655,499
555446-2475628257282301,4791,0284881311,9981,9821,3995172,4061,6621,0863041,7791,3279343501,0606866581401,3198545031981,5581,1579154801,5873981,037829
1,7411,190-2,3496,5696,8324,0746588,2555,7392,9463249,0668,3075,7061,5559,6707,5244,9461,2968,1446,0954,2661,4694,7913,7452,8681,0026,4465,2503,5361,5318,2286,1304,2392,1027,2891,4295,7284,670
0.040.03-0.030.120.130.080.020.150.110.060.010.170.190.160.070.430.350.240.060.390.290.210.070.240.190.140.050.320.260.180.080.460.360.270.140.490.100.380.38
50,72760,08766,38081,47155,89642,30245,59040,93046,50846,37837,16543,85447,36251,58772,00082,10266,35127,18422,83526,39020,63431,49734,32248,74443,23142,25845,65245,77345,01241,19240,02342,02746,69162,9968,47912,25113,75210,372
52,66248,73473,62370,44348,85353,80740,16137,57636,67034,42334,01740,21137,46936,70531,85832,91532,94328,88428,90729,73126,23925,57324,24624,24625,97623,30620,81620,95024,94319,94418,19818,90818,83517,89016,38013,53512,01210,476
31,86231,38931,92034,89837,33345,33247,83332,41035,23137,76845,31232,59533,24831,38134,74232,43833,48829,38528,40926,47329,17526,96131,60423,81329,16726,99129,39926,67926,32624,33524,62219,83718,09317,52917,61514,11813,2989,541
239,409248,872252,514226,533184,726181,432164,430158,271148,167140,855144,113137,118137,418133,442155,895159,287147,66895,71390,24692,55488,21797,482100,606111,655108,800106,209108,097103,130107,74196,30389,97986,33390,999102,43948,80844,65544,44834,274
--57,056--58,09256,87457,50956,67956,52355,40955,12555,75456,36344,81145,19647,76243,47537,61532,54133,03832,76434,10630,97730,84624,28424,53624,64724,83723,79214,50913,78413,72013,64711,28410,71010,65410,7539,2856,723
372,201376,932380,551350,921309,786307,021261,946248,298239,829234,072243,478237,255230,863232,380236,677239,135230,979173,136164,647166,132157,511156,274156,063157,806152,736148,522149,620139,378139,636124,765118,154113,431116,379126,78072,03467,03161,48046,497
150,809162,328169,228141,19197,080100,60583,74070,32862,30559,08662,05752,54850,70546,00654,18457,67452,01153,32247,58850,30546,66648,18349,80153,68850,08446,47643,39434,21036,36023,45715,85812,68418,02527,15631,49526,70027,19217,718
26,82126,36927,94228,01529,53226,1615,6635,7285,6893,4553,4963,6563,6393,6671,6951,6981,8281,9711,8732,0291,1133237571,1037538651,0011,0053383954524811683345692,4292,7002,237
177,629188,697197,170169,206126,612126,76689,40376,05667,99362,54165,55356,20554,34449,67355,87959,37253,83955,29349,46152,33347,77948,50650,55854,79150,83747,34144,39635,21436,69823,85216,31013,16618,19327,49032,06529,12929,89219,955
194,572188,235183,380181,715183,174180,255172,544172,242171,836171,531177,925181,050176,519182,707180,798179,763177,140117,844115,186113,798109,732107,768105,506103,015101,899101,180105,224104,164102,939100,913101,843100,26698,18699,29039,97037,90231,58826,541
62,12462,12462,12425,49625,49625,49625,49629,49329,49329,49329,49357,76857,76857,76857,76819,02119,02119,02119,02128,01228,01228,01228,01219,07419,07419,07419,07440,46940,46940,46940,4697,2797,2797,2797,2794,0684,0688,2661,763
-19,674-27,545-31,382-9,7104,704-1,832-13,080-1,925-2,405-4,788-9,3751,100-3,811-6,932-11,91512,879-2,6342,027-2,06710,4511,892174-9003,228-4,779-3,4477,0431,3553,070137298-3,424-5,443-1,350-1,8654,016-1,6984,9543,525
-371-244-11-28,937-29,043-25,3003,530-11,191-1,429236-5,296-22,008-14,675-7,76613,859-24,532-46,484-4,284-1,190-21,332-15,460-3,8242,5194,193-2,342-3,070-5,399-33,592-6,340-4,641-2,688-5,425-3,585-2,114-1,207-4,853-792-5,777-5,987
-11,4625,44511,28075,33241,36729,60012,8539,2645,6823,8305,266-7,467-6,760-14,223-2,80450,59353,2962,469-5591,991-4,320-2,954-4,6321,533614-2,912-4,26810,8481,3703,125-2142,04146,91857,5337984,1194,928-3,3689,042
-31,834-22,600-20,27436,62916,7092,3582,814-3,9981,581-739-9,440-28,275-24,768-28,478-97838,7474,172121-3,845-8,991-17,798-6,537-2,9588,938-6,370-9,352-2,668-21,395-1,950-1,415-2,41933,19037,78953,965-2,3373,2112,435-4,1986,503
30,29039,52541,85162,12442,20527,85328,31025,49631,07428,75420,05329,49333,00029,29056,79057,76823,19319,14215,17519,02110,21421,47525,05428,01212,7049,72316,40619,07438,51939,05438,05040,46945,06861,2444,9427,2796,5034,0688,266
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