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浙江世宝 (002703)


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流通市值: 市盈率: 52周最高:8.35 52周最低:3.93 H股:9.82(10.3%)

浙江世宝(002703) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-312010-12-312009-12-31
68,68445,05121,542113,31088,61759,15828,396115,42678,28254,62328,312113,64077,48253,15825,01183,77262,33244,27220,66881,12458,75039,46818,96567,46048,68831,37516,17654,83844,00131,16562,59254,59436,527
57,07637,28417,78693,88674,06649,80224,27894,93863,03243,07122,33387,86260,05640,86319,46262,06245,63532,61215,43759,39843,25528,68413,80549,63135,62422,82312,10437,98030,15820,81640,38934,98922,873
-4,250-2,303-1,346212-1,017-1,024-8823,2464,5664,6481,7556,9615,6554,5261,9205,4875,1153,8721,6683,9423,4712,5821,2984,3614,4073,6971,3756,1106,4365,52812,16311,5227,269
-4,278-2,330-1,357189-1,004-1,009-9173,2324,5034,5812,0778,0596,3044,8492,0645,9875,5084,1141,9014,2163,9542,9151,4105,0764,6813,7641,4777,9506,7705,81612,58911,8667,665
-127-77-37-71135155586585522661,4601,0928203037949416863335687075703155235774222441,0607579981,5251,432949
-4,151-2,252-1,320197-1,015-1,044-9332,6733,8454,0291,8116,5995,2124,0281,7615,1944,5683,4271,5693,6483,2472,3461,0964,5534,1053,3411,2336,8896,0124,81811,06510,4346,716
-0.04-0.02-0.010.01-0.01-0.01-0.010.040.050.130.060.200.160.120.050.170.150.110.050.160.130.100.050.180.160.130.050.270.240.190.430.390.25
12,61325,36011,05512,95316,82521,88017,53618,43414,71817,92423,23314,51614,70419,18318,53750,33825,39047,21227,46076,0418,29110,8737,6056,6954,5396,0064,7607,8543,5413,2634,3236,5303,861
39,57643,94845,03746,86149,27547,20545,67451,27640,72541,05437,26639,88534,76237,86336,42432,60726,77629,92531,91232,84533,24730,69630,06427,86730,08432,27333,52728,57931,78129,09620,36212,78911,021
28,83428,51429,14329,66229,28830,95429,83627,96328,04326,03825,79724,50024,54223,37023,06025,24023,48320,89220,91520,21520,18418,60018,89718,09117,15416,74713,55213,64710,68911,62912,24213,8019,629
100,668117,522106,900112,404116,304127,303122,933124,425118,832122,501129,454127,963120,445123,406118,798119,259113,821132,968129,543142,61272,00773,34369,55468,47167,39768,18365,56863,96755,73754,06052,42640,32427,884
--64,179--64,84758,49059,17559,95959,26856,88457,91858,94359,91044,58345,20746,06745,18245,54445,56745,20244,91941,27142,32942,97143,60238,72438,89735,15135,22531,12029,89729,03028,23020,734
196,388211,426200,183204,508207,613215,859209,792210,442202,421203,591209,505207,474195,722196,593190,705188,580182,381201,261196,972210,107138,883139,002134,720131,416130,714130,742120,052118,224109,477107,251105,13581,10260,542
45,76258,69147,31250,04054,34162,31455,96855,43946,73248,02852,88352,66143,26145,17638,25639,10833,35053,23947,51862,08956,95957,85652,38350,07048,55649,19641,00740,32934,44833,34833,14520,75112,430
5,7255,9355,1395,4155,3855,6875,8566,1015,6155,3065,4255,4264,1614,3014,4423,2263,4103,5433,6753,8073,9304,0533,6983,8035,0635,1644,4304,5125,4445,5145,7922,6731,062
51,48764,62652,45155,45659,72668,00161,82461,54152,34753,33458,30858,08747,42249,47742,69742,33436,76056,78151,19365,89660,88961,91056,08153,87253,61954,36045,43644,84139,89238,86238,93723,42413,492
144,901146,800147,732149,052147,887147,858147,969148,902150,074150,257151,197149,387148,300147,116148,007146,246145,620144,480145,780144,21177,99477,09378,63977,54377,09576,38274,61673,38369,58468,38966,19857,67847,050
12,02912,02912,02916,04316,04316,04316,04311,73311,73311,73311,73348,60548,60548,60548,60574,28674,28674,28674,2865,8615,8615,8615,8617,6777,6777,6777,6774,0714,0714,0714,8943,2814,905
1,425-714-3,302-1,285-711315-486-3,810-2,779-1,5293,7559,2025,389215-1,2147,5766,3862,6212,4108,8734,3964,9182,1755,8113,5191,382-1,5871,8201,8271,7904,4966,6745,780
-6,269-3,196-1,874-4,581-2,798-2,973-1,21511,2404,7395,4723,402-39,994-35,345-29,522-28,319-4,979-27,957-22,767-37,800-4,890-4,481-3,904-3,025-4,611-5,188-3,146-1,057-4,247-4,298-3,109-12,204-8,066-6,024
4,02915,8432,9531,8541,7275,328-50-3,128-3,07896121-6,079-4,486-1,346-2,516-28,239-28,141-7,508-11,92464,6868552,0771,633-3,041-2,005-443-4746,0321,7643666,8863,005-1,381
-79311,914-2,227-4,013-1,7822,669-1,7524,310-1,1114,0407,279-36,872-34,457-30,652-32,048-25,681-49,760-27,689-47,35468,4256423,055760-1,816-3,673-2,206-3,1183,606-707-953-8231,613-1,624
11,23623,9449,80312,02914,26118,71214,29016,04310,62215,77319,01211,73314,14817,95316,55748,60524,52646,59726,93274,2866,5038,9166,6215,8614,0055,4714,5607,6773,3643,1184,0714,8943,281
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