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ST围海 (002586)


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流通市值: 市盈率: 52周最高:5.98 52周最低:2.81

ST围海(002586) 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
216,783147,02071,898353,978230,056149,18468,923287,059166,58297,51333,850219,262133,00084,84039,746189,687124,36185,29132,102183,272111,75771,00632,794162,05495,49052,72622,804139,92583,00455,93420,236130,07774,67047,63922,473101,74519,53792,11468,790
188,608130,29561,682298,679197,337131,99262,294238,083145,65186,17030,491190,369117,85775,46934,483160,243107,90474,08427,467150,46692,98458,82926,778131,47578,92243,66418,684115,33469,49947,04416,814108,86263,95840,47819,06986,11817,02280,41959,496
13,6917,1514,45934,34724,72013,2405,41330,6189,0133,4985511,8963,9012,1154828,5152,9802,2421,25514,4277,2354,3892,09213,7246,1522,7291,29611,7715,4223,4401,43310,0464,2542,8601,5937,9991,0065,4654,244
13,8187,3054,43434,25924,67113,1995,37930,5989,0283,50213612,8364,5092,1434579,1943,7962,4451,23214,9307,6794,3602,08813,8156,2392,8271,41012,1875,7673,7561,78610,3334,2292,8461,6047,9999895,8284,309
3,0951,9599968,1095,3703,0731,4918,7702,7411,3852943,7601,8748131712,7621,7248824293,8511,9691,1385723,5561,7947724133,2461,6691,1244542,5751,1207554051,9882481,2421,082
10,7235,3463,43826,15019,30210,1263,88821,8296,2872,116-1589,0752,6351,3312866,4322,0721,56380311,0795,7103,2211,51610,2594,4452,0559978,9404,0982,6321,3327,7583,1102,0911,1986,0117414,5863,228
0.080.040.030.230.180.090.040.220.070.02-0.000.130.040.020.010.090.030.020.020.290.150.090.040.320.140.060.040.430.200.130.120.780.330.240.140.710.090.540.37
124,777128,986149,116172,886154,839132,68491,56474,50292,48291,699307,26796,12066,00946,70551,71177,75149,73955,50949,53273,25659,34762,76885,68447,68036,01837,27836,78240,74630,26835,56545,70549,27050,29154,44214,59613,4579,5949,051
202,161196,772176,270200,336172,179167,214104,065121,15698,76999,45582,993104,07383,72781,10973,35286,71480,85277,98566,69585,36374,07578,96769,57376,60168,32962,87856,85061,72150,34152,79448,68057,44543,18743,70631,71833,99528,75625,979
26,26722,28524,15224,68614,10113,57412,31912,62510,1778,8878,4646,4686,9205,8976,4384,2396,3404,6884,2271,7763,9892,7293,5511,2112,4702,2542,1107402,1231,8322,2838612,1601,176784108112138
483,047491,229548,220580,404545,027562,566459,521513,492464,566479,371477,370280,445243,254218,841201,550235,570209,721212,225163,187187,243165,482173,279185,092145,224125,921119,892116,821120,169103,724108,504116,057130,962118,640127,34465,06961,74953,86858,025
--33,871--37,34034,99133,68718,21118,82718,87119,16519,57819,14919,40919,84320,33920,92520,50820,69920,77221,26421,68922,26422,72223,28123,61024,01523,71023,9725,2305,3285,4005,0315,0695,2784,5574,7744,2283,605
1,038,3311,040,0631,090,3751,112,3141,063,9781,069,736839,065869,684805,231778,517763,184559,429492,161458,427418,177445,624394,567389,889327,661341,832298,397299,354304,068260,534231,032214,705207,741208,281179,222172,056167,792174,544146,899152,52387,08383,04068,77666,085
401,756417,095467,594496,262428,384460,993322,801368,044292,016288,431251,581295,092232,258206,052175,564205,293176,278186,492134,228148,974102,160105,830101,882117,09597,94286,062104,880107,84790,40682,49982,30092,55070,77677,92060,77956,40647,55748,497
87,24781,57765,82662,73890,78873,22478,14266,14794,61377,11296,66293,35094,96089,35077,46075,89458,21143,59731,44931,43940,18140,12844,99244,91740,42038,77511,2769,2513,0396,0442,0480000------
489,003498,672533,420559,001519,172534,218400,943434,191386,629365,543348,243388,442327,218295,402253,024281,187234,490230,089165,677180,413142,340145,958146,874162,012138,363124,837116,156117,09893,44588,54384,34992,55070,77677,92060,77956,40647,55748,497
549,328541,391556,955553,313544,806535,519438,122435,493418,602412,974414,941170,987164,943163,025165,152164,436160,077159,800161,984161,419156,056153,395157,19498,52292,67089,86891,58591,18385,77783,51383,44381,99476,12374,60226,30426,63521,21917,588
119,380119,380119,38069,72569,72569,72569,72591,60491,60491,60491,61674,17074,17074,17074,17070,42670,42670,42670,42644,30144,30144,30144,30138,84038,84038,84038,81947,34347,34347,34347,12011,30711,30711,30711,3076,7036,7035,7003,789
-20,171-21,643-20,0017,354-11,449-13,292-3,8657,933945-17,889-11,3763,442-14,261-23,544-3,0559,557-7,852-11,967-13,357-1,439-15,902-19,269-20,5786,345-11,500-19,803-15,2913,426-10,257-10,852-9,607-3,034-11,759-16,715-6,6845,669-7,6494,456639
-685-1,664-19,0444,58937,8577,36519,325-292,608-266,731-239,110-44,465-30,744-41,813-32,364-15,809-76,674-74,887-58,628-21,471-31,441-24,030-18,091-8,163-18,258-15,615-10,926-8,354-23,326-17,517-10,555-375-21,618-6,747-11,723-1,030-3,7411,4282781,535
-53,006-39,69716,14837,82551,18562,3371,729263,268260,164250,673266,86144,73743,34424,824-5,80970,86160,16153,71311,61559,00552,75953,46367,38617,37422,13626,33720,53811,3968,5017,8666,62560,68955,98869,9829,0082,67511,495-3,731-263
-74,078-63,020-22,89749,65577,48756,40917,190-21,879-5,622-6,326211,02017,434-12,730-31,085-24,6733,744-22,579-16,883-23,21326,12512,82716,10338,6455,460-4,979-4,393-3,107-8,503-19,273-13,541-3,35636,03737,48241,5441,2944,6035,2731,0031,911
45,30256,36196,483119,380147,212126,13486,91569,72585,98285,278302,63691,60461,44043,08549,49774,17047,84753,54347,21270,42657,12860,40482,94644,30133,86134,44735,71238,84028,07133,80243,76447,34348,78852,85112,60011,30711,9766,7035,700
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