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亿利达 (002686)


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流通市值: 市盈率: 52周最高:7.7 52周最低:4.87

亿利达(002686) 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)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312010-12-312009-12-31
56,67918,119148,122100,13266,61030,483151,144109,25573,66928,672136,65196,29060,64521,56598,70470,22243,09215,77779,98156,93534,90513,12669,02250,33930,28811,17266,28148,33630,02311,02756,10940,20024,58810,11055,32644,76231,653
41,46113,588110,46273,84649,40623,614109,78278,06551,49420,11690,87364,04039,79214,58363,76244,67627,2459,63052,08036,86022,8338,60944,43232,51619,6447,39742,23530,87219,1267,02336,30326,22416,1396,64137,54030,15421,467
1,408-1,465-53,088-2,100-1,225-2,188-4588,0768,5412,23917,71913,8458,5872,36515,34711,5886,9712,07212,80410,1705,7781,76310,8268,4704,7181,38110,5178,3754,6221,5888,3456,6163,8621,6297,2467,4285,097
1,571-1,343-50,9461,3061,344-2,0772368,3948,7912,44219,41614,2088,9062,37617,33113,2428,5703,53213,49910,4766,0391,91011,0268,5254,7561,41511,0028,7374,8621,8059,0636,7003,8791,6447,4067,5395,230
167-100-1,34242146-226-1555501,2191942,6491,9381,2123562,5872,0511,3875192,1711,8261,0254031,9161,5008103611,8721,5739443421,6381,2316982841,1601,178750
1,404-1,242-49,6051,2641,198-1,8513917,8447,5712,24816,76812,2717,6942,02014,74411,1917,1833,01311,3278,6505,0141,5079,1107,0253,9471,0549,1307,1643,9191,4637,4255,4693,1811,3606,2466,3614,480
0.03-0.02-1.010.050.04-0.030.060.170.160.040.320.240.150.040.290.230.150.060.240.180.160.050.300.240.140.070.650.510.280.160.930.720.470.200.910.930.62
42,61828,71629,92230,43738,95426,99135,96433,18020,08322,16018,70720,16722,13624,29322,72020,47624,56018,83516,87822,02418,66916,76319,78121,37522,24620,53823,74622,71225,64228,81231,52629,94735,9214,2144,7805,3962,478
42,58138,56948,20347,74050,24553,44153,53055,46958,03650,13749,54348,11348,66235,97829,92031,23929,66822,16524,45026,63623,55619,22019,24420,23619,49415,56715,10516,92517,05313,10513,70214,05614,92110,4968,0106,4755,749
38,02438,47934,30243,26840,31437,90239,25639,16936,36135,63329,19729,66924,41922,96813,96413,24713,17213,65312,79213,55112,45914,27013,68111,92511,60012,30711,06411,46412,24312,06910,61710,4329,2238,4018,8038,5706,485
151,381136,403141,890156,378160,991159,847173,492182,998168,864150,186125,607125,128121,754103,69489,05184,41785,12976,02674,41075,65263,52458,09163,24367,89765,17059,80461,44060,57463,39162,11063,69761,67766,16626,23728,37733,94919,097
65,958--68,405--72,990--70,81259,75660,34958,66843,76443,65342,92243,44043,24543,41943,81743,94644,61335,69619,10019,69019,18820,90612,91813,16813,35213,29913,34113,23913,39610,84210,94710,88410,2319,86210,134
309,467295,823308,183361,195366,258364,007372,209354,686336,638328,184258,425253,960249,717231,292166,632163,195161,278142,585141,418139,943121,141114,590116,604117,290100,30093,79994,99691,64092,64888,80890,40582,43086,08645,70247,55345,48730,831
168,715154,906154,719148,573146,729144,581150,386110,190113,711103,02175,04479,04279,57964,38052,13953,54455,67344,11746,02945,71929,09626,04230,03732,48921,21015,53417,80217,95122,20417,72022,32217,81723,76217,67719,76721,22714,482
19,02621,58625,07229,15036,27137,34337,81262,39541,31241,55115,21812,17011,91411,0642,5702,2462,3123493511,9871,9881,9681,9831,7831,7861,8141,7962572571,8162731,5501,5501,5501,5501,5500
187,741176,493179,792177,723183,000181,924188,198172,585155,022144,57290,26291,21191,49375,44454,70855,79057,98644,46646,38047,70631,08328,01032,02134,27222,99617,34819,59818,20822,46119,53522,59519,36725,31219,22721,31722,77714,482
121,726119,330128,392183,472183,258182,083184,011182,101181,615183,611168,164162,749158,224155,849111,924107,405103,29398,11995,03892,23790,05786,58084,58383,01877,30476,45275,39873,43270,18769,27267,80963,06460,77326,47526,23722,71016,350
13,91313,91330,38630,38630,38630,38614,22414,22414,22414,22420,33620,33620,33620,33616,02716,02716,02716,02710,33119,78119,78120,01722,27324,94023,74623,64331,26931,52631,52631,5264,5364,5364,5364,5365,3472,4783,096
3,290-1,31019,35026,00810,649-2,9041,463-1,436-623-2,7493,0184,104-1,58592118,32913,5607,8763,4639,0063,8294,4271,23411,1408,0763,440-8258,1185,5011,3215895,571922286-955,7193,6975,290
-3,076-3,479-14,900-15,227-10,058-5,213-24,184-20,692-16,213-13,539-39,783-36,415-25,341-24,262-7,899-6,440-2,171-2,725-9,646-8,737-5,444-3,731-20,558-12,422-4,892-2,161-12,508-7,786-5,372-3,101-5,423-2,740-865-271-3,151-6,346-2,148
2,2654,800-20,958-27,892-9,845-6,30638,62036,95517,03521,68630,84526,62625,46823,202-6,281-4,2881,6391,2056,0986,996-158-783-2,545755-68-121-4,524-6,476-1,799-18726,59826,99431,772-120-3,3455,554-3,751
2,53430-16,472-17,033-9,264-14,57616,16215,0661685,294-6,112-5,783-1,476-1374,3102,9027,3901,9365,6952,243-1,112-3,254-11,942-3,565-1,500-3,105-8,996-8,814-5,884-2,71326,73325,18831,199-486-8122,870-619
16,44713,94413,91313,35321,12115,81030,38629,29014,39319,51914,22414,55318,86020,20020,33618,92923,41717,96316,02722,02418,66916,76310,33121,37522,24620,53822,27322,71225,64228,81231,26929,72435,7354,0494,5365,3472,478
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