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海思科 (002653)


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流通市值: 市盈率: 52周最高:25.85 52周最低:9.43

海思科(002653) 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
298,631186,88183,900342,666208,378119,03147,806185,616131,54683,80127,295143,56194,49666,72017,398121,24581,50155,31623,910121,06084,66553,07622,34299,23472,87745,57918,44680,20753,30732,38811,18660,44338,46425,73858,15948,45735,876
107,71168,61033,498148,91675,37144,43216,47265,77939,61616,3685,76537,08826,78019,2415,41339,94225,89817,3576,76436,64524,01615,3956,96826,87019,66711,7164,87020,43114,4949,2493,69820,09513,0119,11319,97014,08710,949
42,71826,3425,68532,39631,09914,9206,97526,59623,44015,0203,89334,78927,12719,1244,61040,50830,68223,69911,17445,45235,09021,4598,82146,13032,49619,9717,09634,88123,22513,0773,56628,73617,05711,06329,06926,93620,734
43,07126,6205,88232,30331,06614,9737,00825,87823,69915,1364,70050,00835,26826,8894,89941,52231,47424,01711,43450,45539,76325,7759,02056,88438,87924,7548,67148,03332,59220,8819,62636,93923,85514,69936,38731,56021,714
5,6563,5771,1655491,8101,2351,4702,9682,3781,2942674,7434,1123,1286954,3063,7152,5421,4815,4014,1072,6108934,9623,3002,0465773,7272,9531,9681,5135,7093,7232,2485,8123,1882,205
37,41423,0434,71731,75429,25613,7395,53822,91021,32113,8414,43445,26531,15723,7614,20437,21627,76021,4749,95345,05435,65623,1648,12751,92235,57922,7088,09444,30629,63918,9138,11331,23020,13212,45030,57528,37219,509
0.360.220.050.310.280.140.060.220.200.130.040.420.290.220.040.350.260.200.090.420.330.210.080.480.330.280.101.120.750.480.200.870.570.350.870.840.58
51,17150,69337,52961,73838,61769,29363,648102,24272,517121,030133,189114,70795,885115,91189,434119,42098,47282,008107,18985,80585,490102,004110,203105,452104,246125,802107,188128,991123,302102,962107,22649,84242,18541,10337,55412,0727,652
58,99855,71862,00074,21440,53945,73641,25544,42940,24426,57521,79419,92818,24116,4312,2412,7831,6721,8081,3332,1561,4291,4871,5651,8271,0969598911,3726197613142161,774----2545,811
16,97314,93114,20614,86914,39713,92413,83614,62013,66113,12514,43312,11510,5898,2208,9907,8788,0537,4777,9916,9036,6966,7306,5916,5196,4045,3224,3013,2812,7992,6332,6642,8012,3862,3482,0673,9191,486
156,574148,050192,479197,660141,375178,052168,526181,354167,878199,757235,696224,620134,108148,857109,689138,614142,198162,981215,252211,730148,081152,417146,932159,421146,963146,569130,690153,411139,108123,482117,30259,37552,26447,13443,13522,71725,207
--75,609--77,45459,71059,40160,99362,08661,13061,86262,38263,52360,38461,52948,36846,59739,13239,69739,74639,46838,33738,32638,14937,23725,89323,96322,22722,15817,73217,68916,80116,96915,77315,49513,6247,6294,128
461,938441,603437,005436,586373,548404,308421,521410,883386,558379,158374,339371,435341,311337,747294,955322,755280,388280,261293,050287,492266,362245,975236,164245,719223,100192,031174,259194,629174,570156,473147,63688,27075,71370,96662,98834,93935,369
231,772223,648200,084204,847142,680158,902199,822203,409146,864156,291100,843101,184102,277106,04676,44899,27966,80165,27867,85772,14260,45252,52730,64948,23342,55224,41921,23619,66514,7747,3919,3597,7786,2867,40912,36421,13713,218
10,17215,71832,93232,30634,23734,63219,47410,44541,73732,11142,68843,79527,28427,4567,4887,8157,7104,3794,4964,6134,4984,5964,6934,7914,1964,1324,1564,1843,6843,6953,6903,7173,7505,5615,315285655
241,944239,366233,016237,154176,917193,534219,296213,854188,602188,402143,530144,980129,561133,50283,936107,09474,51169,65772,35376,75564,95057,12335,34253,02446,74828,55125,39223,84918,45811,08613,04911,49510,03612,97017,67921,42213,873
219,993202,237203,989199,432196,631210,774202,225197,029197,957190,755230,809226,455211,750204,244211,019215,660205,877210,604220,697210,737201,413188,852200,821192,695176,352163,480148,867170,780156,113145,387134,58776,77665,67857,99645,30913,51721,495
60,78360,78361,53882,74782,74782,74782,74798,52895,61395,61395,61368,55868,55868,55868,55855,48555,48555,48555,48543,52343,51443,52343,52355,99155,99155,99155,99149,84249,84249,84249,84237,51837,51837,51812,0067,5852,689
34,65014,66446747,26133,26225,4102,37739,18112,0877,461-2,07242,61117,15717,052-6,48044,30321,98013,98825450,25726,82918,6954,59156,84134,43023,3275,72446,47530,62516,8617,65626,07913,6938,16236,73836,8219,445
-35,305-15,174-33,705-24,493-4,070-3,941-34,717-22,983-20,49412,62422,0651,3372,87218,1884,825-20,93936,04134,79940,781-27,357-5,02225,2535,229-57,728-51,6071,19013,116-94,821-11,692-13,305-1,854-11,764-7,264-5,125-8,041-4,107-3,734
-9,560-10,0609,077-44,660-73,289-38,5379,451-31,611-29,805-16,400-587-17,577-17,080-16,480-19,228-10,611-30,714-22,331-338-10,933-10,750-20,387-13,186-11,582-12,198-25,587-25,09454,49554,52949,56551,581-1,992-1,798212-3,185-28,293-814
-10,013-10,490-24,209-21,964-44,130-17,051-23,019-15,781-38,2913,62119,35727,0553,18018,937-20,91313,07427,46526,45340,70411,96211,05623,561-3,365-12,469-29,374-1,071-6,2536,15073,46153,12157,38412,3244,6313,24825,5124,4214,896
50,77150,29337,32960,78338,61765,69659,72882,74757,32299,234114,96995,61371,73887,49647,64568,55882,94981,93896,18955,48554,57067,08440,15843,52326,61754,92149,73855,991123,302102,962107,22649,84242,14940,76637,51812,0067,585
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