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银江技术 (300020)


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银江技术(300020) 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)
2021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302008-12-312008-09-302007-12-312006-12-31
148,965109,00250,773213,818147,316108,94452,561207,950145,291108,85355,865241,328151,855108,16348,219194,222130,05693,50635,255165,530110,76584,40437,599193,500133,769101,11545,695231,905148,78088,94939,789185,466115,45174,21831,322146,09797,21062,27423,784102,98158,64936,65716,62071,30442,04226,36712,33552,46232,06819,79634,91118,72818,82511,130
110,84581,07637,929160,960110,10380,62538,763159,654107,87281,17641,840182,657112,45679,79635,456142,12495,71770,15126,029122,66786,20464,32327,591145,13698,43572,80634,451171,645110,97663,28330,263141,84087,09853,32123,206107,83972,25546,07517,63776,19340,81625,00011,29651,00829,86818,8378,87039,59824,35614,81926,04013,39513,8538,702
10,46010,1435,67017,48013,99912,4216,45915,73715,43514,2447,1144,2241,35710,4235,99915,08913,8779,7973,84615,56626,09822,5924,269-21,50713,09511,6404,41118,40114,4249,5262,63414,4299,1916,1872,13012,0757,5825,0151,8039,4965,6443,3811,4716,6903,9262,2351,0445,0953,2851,8623,5172,3932,3001,057
12,08611,2536,78317,43314,56212,8166,85016,62615,74114,4117,4514,4761,63310,6966,16615,85713,9499,8083,86617,17027,04323,2314,43911,49915,87012,3954,60121,19815,22610,2253,29115,68410,4057,2302,20513,0467,9755,0591,8039,8325,7793,4931,5237,3824,4732,6671,2865,5933,4161,9893,6842,4392,3511,067
1,6962,0411,1072,2961,7121,4491,2092,1362,3662,0281,4892,1696611,6418642,2871,8851,5916092,0843,6433,1608336372,0701,5444132,7182,1011,2214961,5561,6331,1604701,5621,3318053781,519844608233896595410212646486291535357324140
10,3909,2135,67615,13712,84911,3675,64114,49013,37612,3835,9622,3079739,0555,30213,57112,0648,2173,25715,08623,40020,0713,60610,86213,80010,8514,18818,48013,1259,0042,79414,1288,7736,0701,73411,4836,6454,2551,4258,3134,9352,8851,2916,4863,8792,2571,0744,9472,9291,6983,1502,0822,027927
0.160.140.090.240.200.180.080.230.210.190.090.040.020.140.080.210.190.130.050.230.360.310.060.180.220.180.160.680.490.350.120.600.390.260.080.490.280.180.060.340.210.120.080.410.240.140.130.780.490.280.610.400.580.31
34,35343,99233,86769,97250,56636,79551,46263,42227,27334,47432,71667,90445,98362,52382,865120,64085,93889,95297,244107,141115,89889,45493,521123,288105,77923,75036,40440,56831,89127,84344,71448,34018,51226,20730,79547,54241,92822,14523,95832,05120,10421,90125,16036,37531,02732,51735,95745,8765,2388,7418,0737,1891,518
184,137182,546176,843163,503161,066161,876164,614146,642161,177152,437143,467132,314122,687119,707111,337103,178118,494144,549128,028126,883146,667145,075126,831125,767141,081148,673126,605131,769105,75596,40682,57460,42748,00652,70444,98945,06045,09540,12631,30931,74125,60724,27324,30223,46220,27922,90719,40117,3969,09011,8505,7853,141755
14,05816,51913,19411,66323,15125,76019,087176,134205,889191,736186,629168,873184,897192,457174,609155,977147,710138,757107,641116,666116,405120,910114,301104,372125,217143,055138,013118,732127,370120,86595,48787,59773,73982,54373,64170,48162,21862,29756,03250,28048,69843,49641,30141,13822,37622,17220,39817,66621,64413,37213,8726,3432,084
466,995474,009447,603449,284443,399438,109438,330419,593453,586437,785414,437414,888427,570459,468429,692441,688415,886425,727387,094400,090432,908412,610373,300397,234418,134361,345334,553330,262307,172294,681266,594230,018188,893198,456195,234201,299185,181156,182146,139143,077119,871113,248114,735121,21894,69392,83489,20691,01447,64541,25036,07423,2258,963
--9,268--9,685--51,214--52,330--19,358--20,07648,59916,90117,21317,50917,77819,39919,86820,27020,62120,4228,0018,2588,3688,8218,6939,2147,7288,0047,9497,1196,7895,2625,1155,1935,3185,1945,0195,0725,9704,8365,5434,3884,4614,5383,6253,4933,2453,3013,421810791
650,676658,940668,609671,358673,304655,880647,496631,399626,263629,404612,429607,845605,527618,659596,282581,941562,080594,325539,760546,878569,381520,410460,641472,962512,951441,231413,219409,049383,014360,210331,208255,310204,318211,719206,714212,749196,172166,780155,693152,686128,020119,398122,035126,41199,70597,91793,32795,01151,30845,06039,89924,3239,842
299,434305,746310,289320,483304,281303,367308,744297,763289,660292,671274,883278,969275,085274,357272,420267,576246,043281,119233,761242,437242,991210,932181,168197,440215,522241,437219,598218,251200,206180,671157,155153,742108,854120,499120,707129,795118,86992,25082,44681,41360,84755,31857,51064,07439,96739,80134,79435,55132,08826,07223,60914,3446,518
5973203203205,9552,1983493493945831,5161,2991,0651,9363,1482,5833,1413,1412,8373,0327,3567,4426,5736,4658401,0401,4251,42551751755155200000000000000--2,00001,0000270
300,032306,066310,609320,803310,236305,565309,093298,112290,054293,254276,399280,268276,150276,293275,568270,159249,184284,260236,599245,470250,347218,374187,741203,906216,362242,476221,023219,675200,723181,188157,706154,293108,854120,499120,707129,795118,86992,25082,44681,41360,84755,31857,51064,07439,96739,80134,79437,55132,08827,07223,60914,3716,518
350,644352,874358,000350,555363,069350,315338,403333,287336,209336,149336,030327,577329,378342,367320,714311,783312,896310,065303,161301,408319,034302,036272,900269,056296,589198,754192,196189,374182,291179,022173,502101,01795,46491,21986,00782,95477,30274,53073,24771,27367,17364,08064,52462,33659,73858,11758,53457,46019,22017,98816,2909,9523,324
63,38563,38563,38556,10456,10456,10456,10460,43160,43160,43160,431112,865112,865112,865107,55398,74898,74898,74898,194118,243118,243118,243118,24335,57636,02836,23735,57644,99644,99644,99644,99642,94942,94942,94942,62629,60629,60629,60629,60634,38634,38634,38634,38643,59843,59843,59843,5987,0737,0737,0736,5826,5821,387336
-42,989-38,843-39,639-9,149-19,393-38,135-20,491-12,008-96,968-76,713-52,8431,329-56,367-41,478-21,938-21,537-41,735-13,934-13,217-13,713-41,568-26,765-11,3909,903-12,068-17,615-4,654-25,909-20,957-24,623-15,653-953-21,254-12,228-6,7213,678-5,965-5,936-5,701-5,001-12,764-10,808-8,623-2,489-8,662-8,331-6,9085,096-2,6581,836-4,540-5,4002,0601,276
23,59523,84819,61315,864186171-20-29,35217,5884,559493-44,787-50,600-21,187-21,1516,357-7,710-21,639-7,780-34,542-14,975-17,006-13,404-29,816-19,545-956-639-13,762-13,940-9,000-1,852-6,016-2,547-4,042-458-2,003-1,548-1,057-158-3,970-2,652-1,616-898-2,275-1,268-1,254-1,006-405-162-29-1,074-880-405-269
-15,254-12,966-15,6345618,63114,53812,54037,03342,85441,55519,522-8,98233,5396,21511,96629,29721,99023,07911,71228,75649,5929,596-4,370102,57997,9312,959-7,35330,25319,44313,87915,9579,015-2,816-2,935-7,09511,66815,795-6,608-1,8874,191-868-1,085-592-4,447-4,282-4,181-2,00531,834-352-1,1236,1052,9523,54044
-34,649-27,961-35,6617,281-10,575-23,426-7,971-4,327-36,526-30,599-32,828-52,434-73,428-56,449-31,12314,117-27,455-12,494-9,286-19,495-6,951-34,175-29,16482,66766,318-15,613-12,646-9,420-15,454-19,743-1,5482,047-26,617-19,206-14,27413,3438,283-13,601-7,746-4,780-16,284-13,509-10,113-9,211-14,213-13,766-9,91936,524-3,173684491-3,3285,1951,051
28,73635,42427,72463,38545,52932,67748,13356,10423,90429,83227,60360,43139,43756,41676,430112,86571,29386,25488,90898,748111,29284,06789,079118,243102,34620,62422,93035,57629,54225,25343,44844,99616,33223,74328,35242,94937,88916,00621,86029,60618,10320,87724,27334,38629,38429,83133,67843,5983,9007,7577,0733,2546,5821,387
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