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永高股份 (002641)


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流通市值: 市盈率: 52周最高:7.19 52周最低:3.7

永高股份(002641) 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
440,458280,176118,924535,378371,715231,93792,718456,972321,646196,16382,854376,738257,076157,52667,929353,344248,359150,90563,294332,560230,142144,44357,005291,842209,022130,90251,955251,428181,804114,46546,132232,445170,144105,482181,416152,447143,713
330,047210,85091,671409,066283,143176,61271,545352,040247,856152,63664,847272,973179,013109,54348,015250,476176,545106,28946,341249,185173,419108,67943,352217,801154,18296,36738,711185,821133,73884,66734,861185,367137,50385,016142,629117,814121,200
37,46522,0467,10530,01121,42211,7931,93422,50513,5746,34281723,61424,23314,0553,03430,15722,23614,8942,98326,05418,52211,4412,37528,04422,70013,5614,22931,75023,15113,2204,36718,93413,2558,30218,93919,5088,513
37,92522,6196,97427,89119,91010,4001,27422,64516,0838,0101,14326,31826,25414,9723,41632,02123,41915,4063,30827,21619,39011,8802,53329,10423,51014,1034,41132,21223,52513,4904,33620,41314,6519,65219,08719,6609,210
5,1722,8121,1593,4243,6752,0925213,3803,0851,6935364,8344,6502,7598036,0805,7503,4417144,7123,5412,1656404,8083,4522,1467335,1045,3572,9671,0213,3512,3811,5313,0174,4322,109
32,75419,8085,81524,46716,2358,30875319,26512,9986,31760821,48521,60412,2132,61325,94117,67011,9652,59422,50415,8499,7151,89324,29620,05811,9573,67827,10818,16810,5233,31517,06212,2708,12016,07015,2287,101
0.290.180.050.220.140.070.010.170.120.060.010.250.250.140.030.300.200.140.060.520.370.220.050.670.560.330.181.360.910.530.171.140.820.541.291.520.71
69,60665,83978,55992,14847,67856,64556,55355,82635,70744,05040,94250,61441,63736,75647,84143,52744,50143,64545,27741,76038,95449,87242,16949,70355,08468,62365,40478,761100,27690,11695,257109,03725,90118,17326,38317,52417,835
100,12499,675--94,52999,07286,56367,51072,43267,46765,68662,16463,59264,75258,44054,77462,31258,15250,29843,93145,41441,44537,44833,03926,45434,49929,82124,15821,75518,74519,92016,69112,90413,39711,6076,6066,8936,030
111,603110,627105,622101,502111,367102,60595,18378,35785,19582,86777,38270,93072,97170,89064,17053,55763,61459,68955,29652,14153,68946,71046,24742,00639,15840,27139,50937,26835,36636,22837,00832,14433,00130,54524,03115,97117,135
335,529329,372340,087321,923290,739269,474265,515240,668232,943221,122223,861209,089201,225182,907192,121181,151192,557177,306175,126162,784159,342155,316147,446140,010154,036157,858148,716149,793171,160156,874158,133161,82383,05373,71963,27951,50646,195
--171,392--174,019172,927175,307178,568177,060175,567176,822178,605160,890158,982157,614154,998150,825126,457115,925108,159108,70099,15497,56391,89586,76873,24270,61564,51665,29645,47145,51141,74042,03541,51141,61641,24831,10831,584
564,647552,862558,306542,213510,079490,490488,428463,250457,488446,366449,717434,767425,873405,348411,825397,472404,915375,108366,780347,224334,200325,876310,754298,358298,394289,781275,025272,328249,276231,973232,121235,372153,786143,641127,54198,40989,698
227,214232,547248,225239,051213,756202,363204,424181,851180,064177,304181,553167,545152,613138,626145,598123,861137,377115,511118,379108,139102,282100,25387,25972,49276,56277,07076,65382,54569,65259,93363,54370,95675,99168,46064,25344,78855,192
16,94812,59013,18212,30613,98313,71414,22612,37414,66612,98613,47613,14319,06121,91526,69836,69638,89432,63924,80018,07817,56617,40418,41822,68322,88721,86612,2067,2966,1266,1887,7346,88710,92512,4618,6884,00012
244,162245,137261,407251,357227,739216,077218,650194,225194,730190,289195,029180,688171,674160,541172,296160,557176,271148,150143,178126,217119,847117,657105,67895,17499,44998,93688,85989,84075,77866,12171,27777,84286,91580,92172,94148,78855,204
320,484307,725296,900290,856282,340274,413269,778269,025262,758256,077254,688254,080254,199244,808239,528236,915228,643226,958223,602221,008214,352208,219205,076203,184198,946190,845186,166182,488173,498165,853160,844157,53066,87062,72054,60049,62134,494
58,80358,80358,80335,54635,54635,54635,54632,70732,70732,70732,70731,07431,07431,07431,07423,89623,89623,50523,20522,28222,28222,28222,28219,56519,56519,56519,565100,353100,353100,353100,68717,38317,38317,38311,7446,6125,190
30,57914,69911,87741,704-1,0486,5953,07520,6065,28110,131-5,59254,93825,99611,3056,61550,36628,87910,8126,05821,0453,8825,342-1,92120,4266,1244,631-6,18327,64521,2454,854-8,33713,2172,835-5,01831,22212,16920,373
-18,062-10,310-1,828-19,387-11,482-7,953-4,936-17,141-11,853-8,821-5,303-28,524-18,652-12,585-7,209-43,927-25,326-13,954-6,419-23,125-12,581-10,005-8,560-11,609-5,9273013,526-90,116-15,168-8,847-2,743-12,113-6,377-4,098-24,692-9,011-10,875
-26,816-26,905-21,9161,365230-1,263-1,522-850-9,026-8,963-2,923-24,904-12,701-7,0163,7556792,54411,4757,8913,0297,26410,0412,103-6,0371,8533521,316-18,392-14,885-13,861-2,07181,8503,8031,097-8551,976-7,994
-14,229-22,533-11,95023,256-12,207-2,605-3,4302,840-15,623-7,629-13,8141,633-5,272-8,2483,1137,1786,0808,3687,535922-1,3995,422-8,3672,7182,0125,249-1,355-80,788-8,801-17,854-13,15082,970221-8,0005,6395,1321,422
44,57436,27046,85358,80323,33932,94232,11635,54617,08325,07818,89232,70725,80222,82534,18631,07429,97631,87330,74023,20520,88427,70513,91522,28221,57724,81418,21019,56591,55282,49887,537100,35317,6049,38317,38311,7446,612
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