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雪人股份 (002639)


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流通市值: 市盈率: 52周最高:16.68 52周最低:5.19

雪人股份(002639) 财务报表摘要

下载数据
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)
2019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302010-12-312009-12-312008-12-31
28,923130,34289,72255,41822,82093,65368,62541,65018,08781,11370,82935,3378,39564,13748,59736,98416,90942,23227,15116,9485,29638,56426,57715,9635,85128,64817,86511,0603,10630,38719,47012,88726,59619,95718,992
21,592100,26567,55641,45616,53871,73951,55330,15412,61057,77954,60825,9606,33045,78435,82127,67612,73231,99020,10512,3553,97426,32917,12510,0263,60618,05810,7146,7371,77716,54510,4297,19014,1389,4479,310
4051,2171,2461,039149-7,844-669-23262,6051,134217-1,9781,056996889657-1,246268408-4384,7514,3692,9458016,7704,4232,90178910,0326,5663,7729,0788,0087,266
4101,3011,4611,193393-7,9708519692103,1081,366394-1,8271,6021,287966696-954444527-3195,0854,6613,0798718,0405,5513,93179710,2806,6583,8459,3868,2587,294
279-156382282308-1,605109117193138337212-42126200826-86196142197307424461451,1687325931211,5191,0386161,3821,2161,146
1311,4571,07891185-6,365742852172,9691,029181-1,7851,4761,088884690-868248385-3384,3553,9192,6337266,8724,8193,3386768,7615,6213,2308,0057,0426,148
0.000.020.020.020.00-0.090.020.020.000.050.000.00-0.030.030.060.040.04-0.050.010.02-0.020.270.240.160.050.430.300.210.040.710.470.270.670.590.60
9,97615,8057,94018,39110,09917,02516,19716,85910,39123,05227,06652,15527,23829,14623,74743,6514,30712,55410,72710,48717,76324,34826,40029,14838,09347,05354,46161,48468,80578,4492,8105,1765,4587,15311,512
58,69158,45861,91550,72843,00044,56147,07445,54346,25039,81939,40437,60418,05722,78220,57625,70421,03616,74312,77514,08412,64117,05017,73814,86210,93511,46111,44010,7276,5336,2265,4316,5504,2434,9184,112
56,06156,10556,47653,61655,43253,97353,47852,77748,70741,03836,63236,67039,64336,50636,13732,25628,41227,83221,93817,39313,70812,85214,56013,46211,97311,82013,03512,78812,36511,55112,83312,13612,0076,4314,103
171,122166,794165,674162,566146,643146,346153,944140,314136,838130,162121,070144,720103,775112,206102,204118,88074,22571,12273,61356,38756,97064,77085,67882,49183,82183,22892,85893,50394,21399,42330,89127,98026,23622,44421,433
--87,18886,09785,29485,523102,17180,80281,96181,37283,84579,42280,06480,58281,53672,18470,65771,24671,65163,27849,72214,52914,60514,83312,17211,28111,43711,00811,15211,26711,4008,6148,6918,3716,8783,175
397,554393,610387,867370,319352,675348,174356,045344,578338,702332,938313,300333,220241,948249,895232,285242,643193,412186,521173,666148,224141,938142,988141,011133,239122,116121,150123,109122,163117,694122,73947,62744,44541,49033,05424,834
146,515143,299140,260125,738111,408110,048106,48395,56289,88084,34477,39597,63173,49178,76660,91469,60259,21852,49137,04524,62117,53718,61817,64715,8366,0425,7959,89910,4276,4847,20510,33212,04110,2468,0955,253
18,92118,98116,12613,72111,49510,86115,21414,58414,75914,6203,0623,7104,8175,7986,2238,53312,26412,67217,9056,4716,5635,7694,9973152953022092162305,2302,74424415300
165,437162,281156,386139,460122,903120,909121,698110,145104,63998,96480,457101,34078,30884,56467,13778,13571,48265,16354,95031,09224,10024,38722,64416,1516,3376,09610,10810,6426,71412,43513,07612,28510,3998,0955,253
232,117231,329231,481230,860229,772227,265234,347234,432234,063233,974232,843231,880163,639165,330165,149164,508121,930121,358118,716117,132117,839118,600118,367117,088115,779115,054113,000111,520110,980110,30434,55132,16031,09124,95919,580
13,05115,89615,89615,89615,89622,21222,21222,21222,21228,82831,03931,03928,82811,92911,92911,92911,92923,61223,61223,61223,61246,85646,85646,85646,85677,90677,90677,90677,9064,539--4,5396,55811,470427
-3,842-740-10,453-15,002-14,556-146-3,804-9,306-12,194-15-13,717-3,545-5,059-9,261-20,156-19,794-8,042-3,266-4,413-2,2562111,983-682-838-9065,7552,3932,166-2,0139,0531,9961,5825,2942,9343,841
-2,229-27,129-19,962-3,545-1,765-11,106-23,687-9,237-3,711-54,025-29,164-20,0516,883-34,994-17,380-9,745-9,032-30,147-34,110-16,090-8,232-35,305-26,180-21,888-7,906-25,004-14,161-9,186-2,084---5,023-1,850-5,121-7,493-2,424
45324,69720,03819,0249,2265,06020,40711,7293,05346,76038,12544,448-3,74461,18749,09860,8339,67021,73923,8364,0151,0929,9665,8294,5630-11,880-8,497-9,573-5,051---302-71-2,075-3939,650
-5,710-2,845-10,240472-7,167-6,315-7,216-6,832-12,885-6,616-4,80520,886-1,89716,89811,56231,478-7,398-11,683-14,592-14,234-6,863-23,244-21,134-18,248-8,866-31,050-23,562-16,532-9,10173,367-3,364-332-2,019-4,91211,043
7,34113,0515,65716,3688,72915,89614,99615,3799,32622,21226,23351,92526,93128,82823,49243,4084,53111,9299,0209,37816,74923,61225,72228,60837,99046,85654,34461,37468,80577,906--4,2074,5396,55811,470
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