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金轮股份 (002722)


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流通市值: 市盈率: 52周最高:17.13 52周最低:8.8

金轮股份(002722) 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)
2021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-312010-12-312009-12-31
234,077152,22261,602236,681162,766101,82935,831241,378174,832111,96248,255228,061173,519116,10547,841209,499151,59396,56441,296173,814130,55379,83732,95553,05632,95221,2188,75139,79229,91519,8169,29941,26030,27421,0468,97742,15842,50734,97529,209
199,167128,75350,924199,101136,48685,99329,972199,114142,89791,35939,598186,250141,72195,39639,273169,616121,50776,76632,783137,557103,24461,48525,36833,15318,43511,5525,00724,63418,26911,9215,64424,49517,60812,0285,08125,48324,63020,56519,391
17,16811,1845,4586,0694,5815,0055408,38112,2437,4352,68816,10213,2557,9382,80212,24013,0398,7083,38416,12312,8838,5242,9317,9045,8123,6881,1064,1573,2601,8864765,4844,2993,1411,0045,9047,0924,9631,984
17,10211,1165,4086,0004,4914,9385008,49912,2347,3882,68116,06413,2157,8802,80012,00012,9098,6003,42717,00013,5858,5563,0437,9715,7873,6581,0914,6363,5661,9945045,7324,4833,2861,0176,1787,0654,9282,283
4,6353,0681,5432,6602,5471,6193422,8133,4102,0868114,2553,7752,1348443,7033,6722,4299654,5233,5892,2368011,7991,3447872111,241900339499037565651581,0111,179745298
12,4678,0483,8653,3411,9443,3181585,6868,8245,3021,87011,8099,4395,7461,9578,2979,2376,1712,46212,4779,9966,3202,2426,1724,4432,8718803,3952,6661,6554554,8293,7272,7218595,1675,8864,1831,986
0.710.460.220.190.120.190.010.340.510.310.110.690.560.340.120.490.540.350.140.730.590.380.140.460.330.210.070.260.200.130.040.470.360.260.080.500.570.400.19
17,86123,05330,81248,78336,17134,22528,74623,36820,48322,25514,95828,50919,98426,06120,15816,2979,72916,58814,87318,82013,99915,12138,19520,93210,44315,4937,1267,8256,77411,44611,1335,0613,3683,9316,1186,2825,2844,320
54,84960,21541,43940,66645,04851,12440,23246,85651,57850,08240,27536,63245,79548,81736,05133,10942,96046,15937,89731,55336,48936,66728,41123,82117,98117,90213,9129,74316,63015,80513,37110,15914,98915,6489,0485,6195,2405,100
62,26350,74959,49451,63658,39152,17556,91453,84055,38051,65752,79050,01349,72449,21755,28043,83844,74939,30840,98137,07836,02434,19131,27929,08311,45510,34210,32410,20610,97011,12510,7329,79110,5719,4209,27510,8809,7827,539
181,004186,364178,310178,773182,053186,367189,661179,076163,863158,887157,610158,115157,187159,821152,335142,143149,728136,916133,132131,216118,576111,373123,844109,43353,17850,96547,74046,49046,70544,72144,87836,86637,25835,75533,45629,52924,98021,741
--43,303--46,423--48,338--48,856--40,811--42,69233,07232,76932,40931,98028,14828,59128,94829,57729,33130,09330,56331,30221,30521,46722,08522,71522,50323,03223,50824,04623,34323,81524,33223,43015,63515,185
302,787306,546297,970299,732304,810311,904314,704306,269294,242289,219283,320282,544278,622278,931267,064254,583258,336242,351238,196233,931220,531207,781219,717209,84479,30777,16474,60073,80273,44371,77472,06264,45164,24163,11161,51456,62546,55239,493
81,49690,07285,03690,96597,206102,902105,88297,853103,600102,14496,18797,34495,63999,55189,96380,29382,96871,01768,27766,52755,62246,45760,81391,17819,83819,25717,87417,94718,34717,67118,07129,09229,99029,85729,99629,36223,66720,751
20,52120,10218,99118,69018,68818,47617,94117,5561,3631,4181,3991,3351,4241,4891,5531,1501,1379991,0371,0331,0641,0721,1081,115214222230238209216223229236243171000
102,016110,174104,027109,655115,894121,378123,823115,410104,963103,56297,58698,68097,064101,03991,51681,44384,10572,01669,31467,56056,68547,52861,92292,29320,05219,47918,10418,18518,55617,88718,29329,32230,22730,10030,16729,36223,66720,751
200,771196,371193,943190,077188,916190,526190,881190,859189,279185,657185,735183,864181,558177,891175,547173,141174,230170,335168,882166,370163,846160,253157,796117,55059,25557,68556,49755,61754,88753,88753,76935,12934,01533,01031,34727,26322,88518,741
48,28348,28348,28323,06823,06823,06823,06828,40728,40728,40728,40716,29716,29716,29716,29717,26818,47117,26817,26818,86218,86218,86218,8627,8257,8257,8257,8255,0615,0615,0615,0616,1186,1186,1186,1186,2825,2844,2583,749
-3,4051,308-2,73928,14418,80213,1175,3255,950-1,004-394-8,71410,5792,157-1,912-7,1262,410-9,047-2,581-3,411-5,752-5,516-567-2336,7624,8924,147-2965,3792,444955-1,0984,700543426-1,8254,2396,0185,1502,593
-14,542-21,941-8,5097,945-3,339-6,907-9,723-26,103-6,804-5,387-9,047-6,337-9,291-3,620-1,165-12,971-8,047-595-3,121-45,951-42,246-35,895-11,1377,363-1,0254,589-339-7,345-6,569-629-654-2,083-1,603-731-719-3,280-6,432-5,858-2,032
-13,264-5,373-6,241-10,676-2,8064,3959,52514,806-462-6504,0807,76110,59915,23412,2089,6867,8081,2792,54550,02442,21031,64729,897-3,164-1,267-1,081-744,7275,8346,0537,824-3,637-1,664-1,862-511-1,1121,4531,751-44
-31,222-26,030-17,47125,21512,60410,6575,178-5,340-8,224-6,453-13,74912,1113,5849,7443,861-971-9,359-1,942-3,997-1,594-5,524-4,79118,52311,0372,6187,668-7002,7651,7136,3856,072-1,058-2,750-2,187-3,059-1649981,026509
17,06122,25330,81248,28335,67133,72528,24623,06820,18321,95514,65828,40719,88026,04120,15816,2979,11215,32613,27217,26813,33914,07137,38518,86210,44315,4937,1267,8256,77411,44611,1335,0613,3683,9313,0596,1186,2825,2844,258
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