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普邦股份 (002663)


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流通市值: 市盈率: 52周最高:3.1 52周最低:2.07

普邦股份(002663) 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)
2020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302008-12-312007-12-31
163,09592,50729,608309,227212,459133,10252,651380,557252,921165,45170,233357,614242,913158,87460,074271,853186,610109,84843,465243,263177,249114,59640,569316,086223,959156,79045,310239,343162,158109,99537,341185,081124,95887,25832,090130,86485,38962,28629,87686,09051,49732,93710,29151,62823,44347,03525,623
142,41483,64127,687280,861179,640110,95446,856337,821218,277137,85161,435306,541203,818130,81149,462226,200152,84686,69534,278192,557135,28685,93831,276233,480169,889117,27634,177177,431121,84881,70427,880136,65293,86564,26723,71895,74663,60145,35122,18863,01542,86024,7368,45338,42320,08035,00923,647
-322-1,803-3,807-102,33611,83610,0611,0114,18715,94411,5701,24017,87615,25711,7422,10511,08312,2028,4871,20620,15220,39915,9233,41847,85529,76023,5273,79936,37622,63018,2594,59228,33017,46214,1703,65320,05811,9589,7154,0397,0614,9385,3421,0547,1561,3465,9632,456
-791-2,054-3,807-102,83211,79510,0469894,34716,07711,6331,28918,37216,39812,4452,26412,18012,7778,6091,24521,68921,02815,9243,43148,08529,86523,6993,80936,69022,87118,2384,60628,80317,63414,1973,67320,10912,0049,7624,0877,0734,9475,3521,0617,1591,3715,9572,468
10314-382-2,5541,124909-126-4821,8141,5241897241,2271,0851171,4612,0601,2833301,7742,4351,6806488,3064,3553,4535326,1703,3982,7147124,7842,4151,8895663,2951,8191,4966162,2061,2371,4882661,8357031,4891,247
-894-2,068-3,424-100,27810,6709,1371,1154,82914,26310,1091,10017,64815,17011,3612,14710,71910,7187,32791519,91518,59414,2442,78339,77925,51120,2463,27730,52019,47315,5233,89424,01915,21912,3083,10716,81410,1858,2663,4714,8673,7103,8647955,3236684,4691,220
-0.01-0.01-0.02-0.560.060.050.010.020.080.060.010.090.070.050.000.060.060.040.010.120.120.090.040.700.460.360.060.550.350.280.140.920.590.810.241.28--0.630.000.400.001.930.000.440.000.54--
54,14671,74363,30294,886112,89578,642100,328103,53583,23293,625135,079193,64592,18682,61046,11791,591103,90385,12287,065112,82384,018106,65799,795157,75928,84481,04081,069111,129109,324137,66387,28997,380104,455118,182131,93416,38210,29316,4347,98613,4278,38511,1645,5724,8732,9986,2332,094
127,940148,041130,546161,695165,373168,031158,426189,244153,282155,462144,435162,094153,329159,293153,035158,250153,318149,541124,583134,244122,015102,78978,63886,03691,25284,55872,34665,21155,61150,89646,92447,25047,79646,20428,45319,07512,73913,9285,48414,1242,9239,02119,10813,5671,8238,9303,922
54,12450,803225,784226,725263,743266,735253,315259,470339,386346,837344,055336,093372,667331,383319,177299,486296,332270,389272,609259,065281,686241,064257,264219,120155,592135,598122,645103,432104,86778,25675,25358,30036,97927,69729,18925,06524,89318,80721,34713,4264,2259,722297,284294,52931
515,168528,618518,765562,402616,175588,238585,781621,991637,393643,589678,672757,968659,667615,147561,778588,826591,642534,331512,963529,041513,116470,586452,405479,200291,437313,749288,631304,711279,712275,275213,918207,808202,890200,473193,29563,32653,30351,61038,05143,11819,57231,16240,08930,67322,34123,87911,238
--25,528------30,122--33,81834,25638,55839,06639,74335,43035,93636,59937,22637,31737,28637,03937,76918,34717,98322,23722,74722,83722,0208,7518,9139,3929,6016,3936,5886,6591,7061,7091,8511,5291,5891,5531,5451,3581,4571,1221,081989913646
715,320731,899720,544764,177903,128869,532864,944898,529907,328917,475935,612998,619868,302822,142755,446769,851713,967653,713628,378643,691623,473541,964523,032548,585355,621358,710328,444339,775308,602303,950232,383225,154210,464203,032195,68765,74555,31753,58240,27445,23021,98733,79042,59232,18824,03025,10811,991
240,936247,498232,995283,223258,184231,205234,471274,082273,743295,749322,389392,033388,815349,197241,028256,719212,721156,925131,865144,000124,77397,23389,056117,45848,69357,03637,12251,76731,56730,87637,96234,62628,73623,34122,59818,02114,22214,4057,15514,3204,57111,49027,14416,39516,43914,5278,363
55,47965,85065,83856,068109,328104,816105,19499,82399,77792,69292,49186,5096,9983,29663,51763,91466,68266,16270,36575,28775,04669,65469,62169,55569,61269,51770,07470,03870,88870,87700002,6002,6002,6002,6002,6002,6002,7222,60018--------
296,415313,348298,833339,291367,512336,021339,665373,905373,520388,441414,880478,541395,812352,492304,545320,634279,403223,087202,230219,287199,818166,888158,678187,013118,305126,553107,196121,804102,455101,75337,96234,62628,73623,34125,19820,62116,82217,0059,75516,9207,29214,09027,16216,39515,97514,5278,363
418,905418,551421,711424,887535,616533,511525,279524,624533,808529,034520,732520,078472,490469,650450,901449,218434,564430,626426,147424,404423,654375,077364,355361,572237,316232,157221,248217,971206,147202,197194,421190,528181,728179,690170,48945,12438,49536,57730,51828,31014,69419,69915,42915,7938,05510,5803,628
83,25783,25783,51492,34092,34092,34092,340185,322185,322185,322185,53189,84689,84689,84689,863111,158111,158111,158111,158154,624154,624154,624154,624109,079109,079109,079109,07996,50496,50496,50496,50415,44315,44315,44315,44313,26713,26713,26713,4274,7643,8733,76405,2306,2332,0941,583
-28,548-22,199-33,48941,588-2,545-7,813-11,65313,996-19,016-20,703-35,25129,005-19,955-22,619-27,891-6,537-27,235-20,903-21,657-40,056-77,314-45,411-55,978-16,678-42,091-9,705-24,453-33,077-40,891-13,366-23,684-25,766-21,120-16,128-14,0823,834-1,2353,264-5,1678,8394,4236,122941-3,175-4,9083,064906
2,099-8,253-14,312-1,133-1,155-2,774-3,025-1,780-3,409-7,157-6,751-45,147-24,016-13,655-16,960-37,742-11,896-4,949-2,166-13,510-12,812-990-1,840-32,307-29,927-10,179-5,312-15,468-9,433-8,674-1,404-14,677-13,075-4,728-51-787-1,807-165-222-1,807-2,447-485-1,106-578-854-420-395
-1,40410,60819,102-49,35516,196-11,23014,663-105,492-88,347-73,212-12,881111,71437,46223,175-5,65822,82927,152-5,673-4,94010,04217,719-5,569-14394,547-10,552-10,274-80761,12061,32362,25915,007121,504122,059122,595129,698-872-351-394-521,4712,5361,6451,8633,2872,527492--
-27,965-19,779-28,647-8,82612,609-21,852-166-92,982-110,418-101,024-55,18095,476-6,708-13,172-50,532-21,312-11,923-31,484-28,760-43,465-72,385-51,981-57,96545,545-82,543-30,069-30,57112,57510,99940,219-10,08181,06187,865101,738115,5652,176-3,3932,704-5,4428,5034,5127,2821,699-466-3,2353,136511
55,29263,47854,86783,514104,94870,48892,17492,34074,90384,297130,351185,32283,13876,67439,33289,84699,23579,67482,399111,15882,239102,64396,659154,62426,53579,00978,507109,079107,503136,72386,42396,504103,308117,181131,00815,4439,87415,9727,98613,2678,38511,04604,7642,9985,2302,094
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