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宜昌交运 (002627)


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流通市值: 市盈率: 52周最高:8.7 52周最低:6

宜昌交运(002627) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302010-12-312009-12-312008-12-31
169,402107,67853,170199,680165,399111,02256,643203,737159,74596,45045,998184,272126,94881,13841,493150,508107,65070,80637,056130,38998,65964,60033,115122,24888,84858,17428,966108,30480,87152,47726,77797,82970,20645,96585,85371,94154,022
142,00791,34846,238173,279144,64597,59751,327180,277141,54684,47040,418162,174110,19669,97535,601130,84992,00060,47931,709110,85983,25754,39127,361102,49273,32247,70123,43688,01763,96440,92420,57577,12553,66434,75266,40255,95342,488
15,1628,9033,28713,57911,8616,2851,72415,5776,7634,3171,1535,8225,2823,3621,5396,0755,3303,4011,9297,0856,1213,6412,4107,6216,3084,3482,3569,5378,8186,5073,52310,3039,3976,49511,1249,3725,735
15,2618,9293,29913,61311,9906,4121,80415,57813,1824,5261,6737,4126,2423,4791,6277,1805,5933,6552,1818,8386,9624,2452,6848,5016,7224,7652,33711,2619,8127,0483,61714,21110,5947,42812,45010,1665,741
3,7082,2149863,6623,0511,6055364,2043,4161,1994812,0611,5949624272,2771,5721,1165732,1681,5001,0035322,3291,7441,2265503,3132,5771,7379293,6702,6981,8932,7632,4671,954
11,5546,7142,3129,9518,9394,8071,26811,3749,7673,3271,1925,3514,6482,5171,1994,9034,0212,5381,6086,6705,4623,2422,1526,1724,9773,5391,7877,9487,2365,3112,68810,5417,8965,5359,6877,6993,787
0.330.200.060.300.270.240.060.760.520.240.090.380.320.190.090.360.300.190.110.470.390.230.160.450.370.260.130.590.540.390.200.990.780.550.950.780.46
83,71383,63389,99188,32175,36360,31742,417116,715142,54331,81727,22754,19946,73432,27343,95840,45326,70828,35539,00846,50030,90049,76746,18842,07224,92543,45943,36146,40635,07437,14841,49544,60912,76612,69215,0827,8775,767
5,4894,3543,5971,7263,7853,6852,5172,2152,3422,2771,5641,9172,6962,0592,5411,5883,2303,1033,0802,4963,0702,7432,6332,3112,7452,4412,7741,6622,1841,9421,5891,5821,3091,2431,165694429
19,74516,88419,19726,07117,75419,49317,17218,78117,25720,69016,32416,88718,30717,76616,90518,65217,13514,53514,35219,29013,25314,75812,53313,69210,1719,9797,9558,96511,5008,1617,2737,4196,5796,8572,7432,7282,823
202,360186,031191,090207,266214,055214,197195,824194,493203,69390,61576,22688,016102,69690,30787,18380,204101,62995,31797,77494,55689,84094,29091,21668,08469,19767,35365,67565,91658,08559,29363,61563,06729,96928,01325,31314,71615,530
--62,063--64,20061,81262,20561,76861,74263,02561,13661,02961,72774,22373,63174,52074,10269,83870,47070,53472,02566,68567,67368,42369,56951,06052,14851,47551,66038,18330,77932,53533,28029,94029,66528,24126,91523,197
399,873373,896375,736384,150382,060374,551350,596346,129347,867232,615219,068229,132240,638219,532216,436206,233206,594200,281202,042196,913192,306195,226192,224167,880165,398162,147157,819149,582141,786134,751135,593131,64693,20788,97782,00163,98959,560
84,60599,483112,689127,420124,415121,58699,57696,350109,792101,28387,54698,563104,05187,12284,10976,28676,96274,47774,18270,28366,63271,66667,33345,08042,25040,13034,05734,19731,94026,76024,18424,80233,32331,60627,70726,47735,702
83,36353,61441,97237,12138,90038,38137,29537,35227,29525,45825,77025,94626,75721,56420,83121,13321,62119,27019,59919,99420,55220,67120,42320,36323,37923,69924,44024,85924,32624,55126,61524,66120,98121,10220,53910,66911,687
167,969153,097154,661164,542163,315159,967136,870133,702137,087126,741113,316124,509130,808108,686104,94097,41998,58393,74793,78190,27687,18492,33787,75665,44265,62963,83058,49759,05656,26751,31150,79949,46354,30452,70948,24637,14547,389
231,904220,799221,076219,608218,745214,584213,725212,426210,780105,874105,751104,623109,830110,846111,496108,813108,011106,534108,261106,636105,123102,889104,468102,43799,76998,31799,32290,52585,52083,43984,79482,18338,90436,26833,75526,84312,171
82,16581,60481,604106,995106,995106,995106,99543,97343,78143,78143,78133,06633,06633,06633,06645,44545,44545,44545,44540,57040,57040,57042,07246,18646,40646,40646,40644,60944,60944,60944,60915,08215,08215,0827,8775,7675,549
1,8927,577791-7,287-23,442-22,150-12,7799,4217,9183,73352312,7567,8755,5242,15816,3998,3677,67391318,2057,5746,2661,18216,5195,5734,90085310,0863,9012,6892,03810,6226,5541,9498,9816,03310,391
-6,627804,132-36,615-38,285-54,776-68,805-46,248-17,225-22,445-13,103-17,783-20,735-13,337-4,230-24,280-27,974-25,914-16,137-22,382-32,674-16,763-18,345-9,505-23,748-4,969-3,574-20,176-15,487-10,465-3,845-14,720-7,587-3,538-10,734-7,635-11,447
2,279-9,31488318,51024,41226,57410,11099,84998,8261,712-9,22315,74118,031105,565-4,497-2,488-2,1555,2089,05214,20418,78821,279-12,630-3,305-2,879-32411,3612,0513151,89333,625-1,283-1,1508,9583,7121,274
-2,456-1,6565,806-25,391-37,315-50,352-71,47463,02289,519-16,999-21,80210,7145,172-7,8033,494-12,379-22,096-20,396-10,0164,875-10,8968,2904,116-5,617-21,481-2,947-3,0451,271-9,535-7,4618629,527-2,316-2,7397,2052,110217
79,70979,94887,41081,60469,68056,64335,521106,995133,30026,78121,97943,78138,23825,26436,56033,06623,34925,04935,42945,44529,67448,86046,18840,57024,92543,45943,36145,88135,07437,14844,69544,60912,76612,34315,0827,8775,767
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