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王子新材 (002735)

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流通市值: 市盈率: 52周最高:30.99 52周最低:16.96

王子新材(002735) 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)
2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302012-12-312011-12-31
82,85935,518173,514119,39277,05335,975154,163100,11258,95123,824132,56086,28249,37023,26191,16957,19128,32313,33459,81941,46626,15511,86447,35032,05920,3699,29144,10332,24720,85110,50347,99233,77821,19210,29547,65834,53549,81248,391
71,67230,577137,67396,56062,79729,803121,91579,60246,59819,710104,48468,66439,14318,34068,96043,74021,64910,24044,90431,07419,6169,03835,70924,73516,0047,31735,22926,23017,0958,69239,04827,47617,3798,62137,938--38,64037,426
552-3709,9387,2104,6511,73812,1576,9483,5637668,7115,1992,4571,6178,3964,8612,4231,0525,6784,4362,7281,1495,2203,0671,7286693,8462,4031,5347164,0952,8701,6245914,6573,7216,0225,959
4,5563,67210,3777,0464,6681,74712,5486,8783,5167708,6695,1782,4501,6218,3764,9112,4251,0555,6994,4202,7671,2045,2293,0821,7196813,7692,4441,5727494,4432,9431,6596025,4564,1035,9306,091
-2-1749592,1751,4626842,3351,7518723811,8781,3646953722,6241,5438974471,8011,1947483421,3357544401811,0306724211891,1447794531581,438--1,6211,487
4,5583,8469,4174,8713,2051,06310,2135,1272,6443896,7903,8131,7551,2495,7523,3681,5286083,8983,2262,0198623,8942,3281,2785002,7391,7721,1515603,3002,1641,2064434,0183,0584,3094,604
0.230.190.400.230.210.080.600.310.160.050.390.240.120.140.590.370.210.080.480.380.240.100.460.280.150.060.330.210.140.070.530.350.200.070.66--0.690.63
12,71219,28616,86712,33417,90916,07712,29419,21514,26214,24810,14711,34714,01114,54411,29810,27621,61915,36713,37915,63111,33314,60314,53812,59013,92523,95721,36319,68919,75820,55020,329--7,4416,1716,2764,786
59,04660,69965,23656,15251,89652,56861,14445,97836,73833,01644,70636,03232,60328,95434,88834,77017,99918,86123,42118,67417,06115,94419,37415,76713,57612,92215,63414,22812,40914,23117,645--13,71016,32519,34314,532
25,70025,43115,47918,19817,26116,04815,11615,46312,72513,75611,70515,20314,0349,8938,57212,7648,5578,0037,7118,2906,8126,4005,7575,7544,4534,7684,8055,4245,3555,5636,154--5,9985,6546,4126,552
113,987121,132109,38998,755101,03299,118100,68192,02976,26475,34681,01878,01177,15868,27371,11973,00157,25259,88864,31762,46252,41951,64649,68349,08246,66344,20244,77443,36041,19742,89446,59132,04730,15831,25734,61527,924
34,702--26,025--25,170--24,530--21,448--21,895--15,871--15,49014,39410,8569,9149,6548,5958,3028,1558,1028,3228,3708,3918,3138,5746,3626,4316,514--6,5166,6924,6004,004
207,231213,020177,817163,205164,740162,599159,400134,862116,043114,544120,271115,120112,701101,465104,078104,14174,74974,82479,24875,29964,41963,20661,40960,67458,29955,83856,32754,00151,46853,39456,94141,20138,76140,02543,19833,465
71,39475,92768,54758,88963,56863,01567,45753,35239,32137,64643,57837,23240,10428,64832,51842,69318,98819,26024,35014,40712,63911,62610,68811,2069,8817,5418,5318,2956,9098,77012,87713,39511,91213,96120,51514,891
14,24316,2774,8736,7806,2296,613452002,1882,4067,5207,3317,2847,3171,6001,2101,2101,2101,3601,3601,3601,3601,6731,6731,6731,673550000--1200
85,63792,20473,42065,66969,79869,62867,90953,35239,32139,83345,98444,75247,43635,93239,83544,29320,19820,47025,56015,76713,99912,98612,04812,87911,5549,21410,2048,8456,9098,77012,87713,39511,91313,96320,51514,891
121,594120,816104,39797,53694,94292,97191,49181,51076,72274,71174,28770,36965,26665,53364,24359,84854,55154,35453,68859,53250,41950,22049,36147,79546,74546,62346,12345,15644,55944,62444,06427,80626,84826,06222,68318,574
16,81216,81211,91612,43511,91611,9169,8249,8249,82410,14711,29811,29811,29811,29813,37913,67313,37913,37914,53814,53814,53814,53810,44710,44710,44710,76020,01620,32920,32920,3275,8585,8585,8586,1716,032--4,7865,050
3,9603,3999,3773,6493,202-4248,3084,4617,1402,8477,5422,1972,8353,181-11,300-3,2933,3601,5729933,2072,3742,5112,0062,4214,0432,8955,1873,5532,7191,5493,6701,6982,3541,3495,8665,5053,1324,608
-8,734-7,538-8,564-7,301-3,336-1,782-15,984-5,034-2,681-1,582-6,563-3,341-1,363-9103,164-1,1345,616511-9,360-8,915-4,488-2,4102,392-2,019-2,276-280-13,437-2,496-1,617-310-2,265-1,382-637-363-1,972-1,245-2,269-2,244
3066,5934,2223,6635,8745,97310,0889,992-1422,765-2,4771,1301,2481,0065,9871,056-665487,5486,946-9600-711-656-6560-1,606-1,696-1,672-1,01612,724-554-506-45-3,808-3,714436-2,606
-4,1552,4194,896-1015,6153,7842,0929,3664,3884,101-1,474502,7133,247-2,081-3,3968,2411,988-1,1601,093-3,205654,091-1701,1652,593-9,569-639-57122314,158-1851,270941-1753351,246-264
12,65719,23116,81212,33417,53115,70011,91619,19014,21214,2489,82411,34714,01114,54411,29810,27621,61915,36713,37915,63111,33314,60314,53810,27711,61213,35310,44719,68919,75820,55020,0165,6737,1287,1125,858--6,0324,786
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