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雄韬股份 (002733)


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流通市值: 市盈率: 52周最高:36.5 52周最低:17.6

雄韬股份(002733) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302012-12-312012-03-312011-12-312011-03-312010-12-312010-06-302009-12-312009-09-302008-12-312007-12-31
216,177136,00858,879295,616225,273158,34874,220265,643197,616132,63055,677250,086179,174117,38554,274241,773160,945102,75048,128197,540144,69293,23340,470165,039121,181178,60444,805163,66834,931129,35158,45088,39656,474120,433113,650
179,432114,11152,033257,886196,557138,38865,582231,817169,472113,53347,078214,571152,090101,17546,305207,034137,23787,36941,290166,613122,74179,17234,110138,823102,048150,13637,998138,93830,086110,11549,51973,76949,009103,359100,238
15,5908,1682,3797,0145,9371,366-1,7474,7056,7345,6192,11511,2849,3135,9582,56314,5579,0465,4392,04111,2098,1425,1281,8089,5446,43910,0772,4229,3911,8806,8523,6305,6652,0766,2206,624
16,1179,0282,62310,1657,4242,833-1,7904,6097,9416,2942,38913,58210,7736,6632,66815,63510,8055,6062,12611,4828,2715,2161,8389,9966,72810,3302,3999,7761,9136,9103,7985,8302,3016,0576,879
1,0587901671,3979617371781,2699484711391,4791,3158834232,2981,5478452611,5199926453191,4941,2871,6393471,4333041,096603965145854873
15,0598,2382,4568,7696,4632,096-1,9683,3406,9935,8232,24912,1039,4585,7802,24513,3379,2584,7601,8659,9647,2794,5711,5198,5025,4418,6912,0518,3431,6095,8143,1954,8662,1565,2036,006
0.440.240.070.270.210.08-0.040.100.200.180.060.370.300.190.070.430.300.240.140.940.700.440.150.820.530.83--0.79----0.000.000.000.000.00
133,613117,484106,403102,211116,226107,89993,51568,491143,567112,10682,13781,040107,58530,62333,57545,74048,87231,26545,28459,67720,05026,47517,34821,29912,14122,33615,4937,10617,51519,50414,03513,7497,165
82,14183,88170,63591,27796,165111,66595,26876,96375,82482,73477,07379,33177,89371,74564,54270,02551,33351,22941,95842,83640,93238,49431,34830,41329,28230,34025,76831,66731,58629,52318,60021,05728,910
51,16546,10243,99546,49253,17146,84947,27750,73851,13343,33147,65742,15943,61141,56543,68834,22243,90441,08642,02344,01239,05134,12629,87433,43136,61626,72825,71225,32319,45618,53513,54212,39412,675
326,269298,686294,200285,973331,758331,040290,550259,272320,398282,583249,061240,656245,962163,147160,056163,778167,770164,338142,371160,684114,410118,18594,97495,55890,77387,91476,61671,85978,23981,79451,39553,06856,725
--49,389--43,85529,77629,26028,78028,47829,52530,32229,43028,86225,28824,38123,35223,17322,41121,82921,80421,92521,78419,92019,97320,84518,50618,03616,83217,26714,67714,28710,57711,37611,684
477,487441,867418,582419,676437,218428,935385,136352,274407,047363,846327,434320,163323,382235,000223,553224,456214,326195,935172,085189,928143,714145,585120,942121,234116,136111,01398,43794,19299,617102,28670,36871,51072,738
213,366184,397164,749168,080188,353203,952164,490127,747177,209134,36295,21389,77396,181104,12192,62395,74091,34578,19353,96774,19270,67273,84553,66062,04157,64458,31051,56548,94354,57864,16331,44635,80044,684
5,2905,0415,1705,6235,1705,3665,5405,7806,8596,8036,7606,8957,1296,4236,1016,1874,8024,5994,7354,3604,2433,5873,7683,5496,4403,3273,8964,1135,7205,8535,5425,3924,595
218,656189,438169,919173,703193,524209,318170,030133,526184,068141,165101,97396,668103,310110,54598,724101,92796,14782,79258,70278,55274,91577,43257,42865,59064,08461,63755,46153,05660,29970,01636,98941,19249,279
258,831252,429248,663245,973243,694219,617215,105218,748222,980222,681225,461223,495220,072124,456124,828122,529118,179113,143113,383111,37668,80068,15363,51455,64452,05349,37642,97641,13639,31832,26933,37930,31823,458
83,52383,52383,52359,60359,60359,60359,60368,18868,18868,18872,69537,39537,39537,39539,14551,15151,15151,15151,15113,24813,24813,24817,34818,93118,93116,65516,6553,700----9,1738,676--4,7963,969
25,75011,09221,74625,8636,86212,4084,087-18,0559,1709,4396447,7581,609-2,151-2,6281,0556,6685,355-1,1649,58911,2269,250-4,8244,3075,0401,113-2,20022,752873-4,647-7,9242,2973,23310,792324
-19,135-2,695-21,382-14,246-15,777-2,982-638-13,298-13,726-4,78963-38,046-15,654-10,462-3,464-25,385-13,473-13,8893,363-11,412-8,554-8,632-593-1,852-970-4,886-460-3,653-1,2481,1373,657-4,223---3,984-4,081
20,2901,5072,84610,42532,75812,62620,29527,45666,75823,34284757,61272,567-4,371-6,7969,155-2,132-20,418-31,60839,6584786,3459,381-6,200-9,0736,377-2,857-4,6774,0203,7672,4683,162---1,8135,739
29,59610,3173,37523,92030,09823,35820,323-8,58560,04326,5191,26930,79360,469-15,358-12,622-13,756-7,378-29,035-29,33537,9032,4707,4773,972-5,683-6,3192,275-5,51512,9563,645-795-2,244497--3,880827
113,11993,84086,89783,52389,70182,96179,92659,603128,23194,70773,96468,18897,86422,03626,52237,39543,77222,11521,81651,15115,71820,72521,32113,24812,61218,93111,14116,6553,645-7956,9309,173--8,6764,796
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