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成都路桥 (002628)


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流通市值: 市盈率: 52周最高:7.34 52周最低:4.34

成都路桥(002628) 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
192,218123,90046,775272,561189,515107,35635,659198,727113,92068,54323,808206,204139,25398,45837,169144,49892,77252,27418,635149,800114,53079,60036,833427,148341,406257,79997,086394,048233,734129,84346,539255,218188,480114,524170,917115,680112,795
182,121118,12845,051268,414188,904107,09634,166188,956104,25361,12420,924196,199136,25889,17432,870127,05481,19945,14516,179125,74596,02267,19131,126363,175288,785219,75483,480336,008200,300111,49539,238215,592159,12898,719146,287102,19299,941
4,1093,0068313,3952,8252,0831,2904,7303,1872,1837915,9222,0711,7221,1141,5662,77168491112,1228,8374,5881,67342,01135,17023,3976,69334,50220,96211,1343,98924,82519,63610,18915,4868,5436,832
4,1143,0168653,2652,7081,9741,1784,3622,8322,3831,0055,2732,1401,7091,0862,2383,4491,36291212,0438,7144,4661,60442,33035,40423,6146,93034,82021,24511,3753,99525,65019,70010,21715,4908,4456,650
938524-271,1691,0798725402,1271,132925275881500279185363757249171-1,747-2,3201,16842810,8359,1336,2401,8268,7855,5632,9211,0196,4864,9332,6623,6891,3771,021
3,1772,4928922,0961,6281,1026392,2351,7001,4587304,3921,6401,4309011,8742,6921,11474113,79011,0343,2981,17731,49426,27017,3745,10326,03615,6828,4542,97619,16414,7677,55511,8017,0685,629
0.040.030.010.030.020.020.010.030.020.020.010.060.020.020.010.030.040.020.010.190.150.040.020.480.420.520.150.780.470.250.091.451.180.610.950.570.45
114,209139,322137,480103,16570,72887,460120,407118,71277,33389,94698,171105,10482,29568,86358,61199,19769,63271,33270,467104,67590,411127,557102,087198,84794,17365,71792,07785,01373,00476,80259,39275,69119,93151,77131,08112,5918,616
46,13948,13460,35760,81253,81053,36949,34479,91589,63661,85260,49588,31377,08096,88175,87192,11667,14894,11363,97870,41179,59076,42076,12083,19464,41246,56945,21149,51730,32136,63428,92126,47825,00619,42320,2355,3006,281
97,710103,43386,795112,239109,762104,11974,02579,23170,74886,46486,296100,19194,21985,87077,75086,77099,48886,39476,23386,87898,21294,80383,96983,48170,62283,65168,50771,92463,84465,54337,29947,81851,40840,34932,55324,58619,112
374,947397,414389,604393,702363,550369,590368,491404,264361,644356,268374,259424,975403,112368,093365,090415,167392,023420,337375,151430,551412,272422,170396,952559,208397,057333,970282,833261,495262,841264,168229,853238,858180,401184,373133,561102,95678,333
--4,693--5,0364,0544,2794,5044,7274,8324,8314,9715,3335,6085,9556,1686,5166,9247,3487,7668,1888,8699,4359,77710,14010,20410,87111,52912,11910,08410,60410,43510,7859,6327,9136,7963,9894,327
663,839656,361616,899593,700539,358530,104520,437560,020522,300526,344533,000578,291563,923562,030530,995567,693576,863605,128575,983629,815636,672661,554645,308790,827680,132622,520564,266523,000427,375381,268273,275287,660222,906208,408165,249131,114113,133
287,775283,925248,053278,970263,639249,987236,433276,019239,380242,033229,092271,303263,315262,043232,044264,646263,894298,567258,016306,934285,503318,042316,381465,569380,932398,488351,143343,030261,813230,062134,636149,996166,738159,181123,33686,79676,672
96,79796,79696,89643,9785,31910,32016,32016,32016,32018,46635,76639,82038,07137,42936,32041,47050,36645,89953,91959,62990,61690,61671,31368,87148,00149,32745,63517,77914,0007,0000000013,99012,000
384,572380,720344,948322,948268,958260,307252,753292,340255,700260,499264,857311,124301,386299,472268,365306,116314,259344,467311,935366,563376,119408,658387,694534,439428,933447,816396,779360,809275,813237,062134,636149,996166,738159,181123,336100,78688,672
279,267275,640271,951270,752270,401269,797267,684267,680266,600265,845268,143267,168262,538262,558262,630261,577262,604260,661264,048263,253260,554252,896257,614256,388251,199174,705167,487162,191151,561144,206138,638137,66456,16849,22741,91330,32924,461
97,08297,08297,082111,443111,443111,443111,44396,56296,56296,56296,56294,63094,63094,63094,63098,80098,80098,80098,800151,675151,675151,675151,67582,86382,86382,86382,86375,69175,69175,69175,69130,92130,92130,92111,4318,6169,160
-54,298-28,473-22,143-4,317-9,997-7,6052,05222,533-12,6234682,25458,35348,5105,138-1,14138,04714,106-9,168-13,064-1,776-15,871-2,961-24,969-42,393-76,854-54,757-44,426-70,175-42,241-26,652-15,997-19,093-13,56112,675-1,18011,497-4,893
-9,181-7,462-8,423-1,249-3631,2039997,6261,0704,878-2,111-18,747-46,244-22,793-29,3179,927-9,498-11,0973,11760,73654,49743,07751,8517,8647,4254,6343,414-42,602-44,242-44,975-1,820-7,588-13,023-2,2377,9581,779-5,155
71,25671,15865,688-8,795-35,709-35,551-549-15,278-14,427-19,284-4,879-37,673-26,776-19,422-11,947-52,145-42,962-11,589-23,071-111,835-105,284-69,638-77,382103,34179,82431,58848,025119,94883,79672,7381,51871,45215,59410,25212,712-10,4619,504
7,77835,22335,123-14,361-46,069-41,9522,50114,881-25,980-13,939-4,7361,932-24,509-37,077-42,405-4,170-38,354-31,854-33,018-52,875-66,658-29,523-50,49968,81210,394-18,5357,0137,171-2,6871,111-16,29944,771-10,99020,69019,4902,815-544
104,860132,305132,20597,08265,37469,491113,944111,44370,58282,62391,82696,56270,12057,55352,22494,63060,44666,94665,78298,80085,017122,152101,175151,67593,25764,32889,87582,86373,00476,80259,39275,69119,93151,61130,92111,4318,616
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