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荃银高科 (300087)


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流通市值: 市盈率: 52周最高:13.19 52周最低:6.2

荃银高科(300087) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-03-312008-12-312007-12-31
21,49014,00791,03227,01120,22412,65094,74727,73120,4119,39975,72227,66618,2069,47860,74528,38517,3328,94046,90223,28216,3138,20546,60720,57113,4417,09840,67522,76615,2668,43927,90911,9097,1054,37218,0256,7865,3333,43016,3626,6603,37112,2268,775
12,7198,56951,78917,39412,3787,73756,06216,83811,7926,25748,50616,94210,8655,78437,55218,32710,4885,28531,02015,33410,8175,08130,41214,0008,2374,06026,20414,5539,4865,28518,4578,3774,6822,82310,7303,8712,7222,0729,3483,7281,7386,8234,931
-1,4189089,803-6,353-2,08187510,495-4,081-8033674,263-1,691-8931553,905-913-516381,521-754-2035952,653-1,469-5644072,7909079119332,578-1351574462,8978421,1424683,1107736072,4341,688
-1,4458869,400-6,734-2,39780910,199-3,754-5804775,440-1,103-5183954,385-703-156492,658-598-596672,637-1,439-8774343,6471,4671,0039512,9061544025113,5581,0201,3166443,4909235842,5631,701
511351107342507354482001801923398110371224018914131569092--881157363255969998679292807511488107268
-1,4508869,265-6,844-2,4717689,692-3,789-6244705,241-1,283-7113624,287-813-526372,417-786-2006632,481-1,529-9684343,5591,3529298882,651573034133,4919281,2245653,4148094962,4571,433
-0.010.020.16-0.10-0.040.010.15-0.07-0.030.010.10-0.03-0.020.010.07-0.04-0.010.010.03-0.06-0.020.020.07-0.13-0.090.010.210.080.050.050.200.010.040.090.690.190.290.140.880.220.140.680.40
26,13025,53745,89740,39333,35224,44340,57442,66630,21334,45741,48641,63531,71424,27427,78823,54217,52319,11626,04922,51624,09725,17425,33919,11719,17422,71427,92729,92428,50635,18132,74131,13236,89441,86741,71740,02644,8373,1166,9234,5482,007
5,5405,4988,1735,4688,2108,4767,4903,5775,7547,3136,3772,9864,9634,1964,1002,7303,2533,6893,4893,2494,7763,1573,8223,4453,7363,8133,4024,4683,8454,0312,0104,3591,4101,9691,4071,5848071,4771,618406272
59,06861,01866,19844,42438,47043,02249,10044,43641,48838,64842,14436,81330,01833,12035,14232,76731,15034,05636,63532,36232,87937,01437,91534,71433,58836,45339,40325,65425,13827,25231,39614,6989,38510,52512,1847,0735,5415,8907,3445,3203,094
110,072119,288147,163131,16499,369100,254117,960118,49197,80194,940105,10398,13978,55675,19173,91776,68170,42169,33973,80569,40168,54772,73073,58668,51265,92373,35780,88772,14465,69475,39674,92663,44451,96956,11056,06853,03952,14212,34216,54910,7375,940
19,605--21,03721,21620,25119,66220,16219,02119,56720,04420,29821,38321,63221,91922,28920,17720,32918,74217,88111,78911,96512,18112,3246,1096,3716,0696,0475,5475,0824,2374,3213,2072,7732,8722,6442,0471,7941,2781,2961,2741,035
150,247162,387190,618175,792144,126140,719158,756155,743134,990132,700143,046134,767114,986111,718110,780109,475103,541101,468104,83298,23396,153100,313100,24192,08289,76293,627100,20988,41979,86989,45488,78573,74561,12261,81161,90356,57555,47415,13919,42612,7757,287
51,80757,66081,36782,73542,85839,03257,72569,88738,42537,97047,22046,85126,72829,48729,74133,90528,49925,96730,81426,93824,22126,61726,34123,42319,86423,63230,58622,51514,93823,75323,97213,7223,9654,0635,5344,1372,7415,74910,6007,1534,120
3,9544,0793,7243,7363,7693,7213,7623,4008,2018,2518,3318,0028,0893,1982,4412,1652,1441,8741,1561,7151,7151,7031,6131,2101,2101,2101,2101,2786373933930000000001
55,76161,73985,09086,47246,62742,75361,48673,28846,62746,22155,55154,85434,81732,68532,18136,07030,64227,84131,97028,65325,93628,32027,95424,63321,07324,84131,79623,79215,57524,14524,36413,7223,9654,0635,5344,1372,7415,74910,6007,1534,122
94,486100,648105,52789,32097,49997,96697,27082,45588,36386,47987,49579,91380,16879,03378,59873,40672,89873,62772,86169,57970,21671,99472,28767,44968,68868,78568,41364,62764,29465,30964,42160,02357,15757,74856,37052,43752,7349,3908,8265,6223,165
45,76245,76240,56640,56640,56640,56640,36040,36040,36040,36027,39527,39527,39527,39524,97724,97724,97724,97724,64124,64124,64124,64127,39327,39327,92727,92732,74132,74132,74132,74141,71741,71741,71741,7176,9236,9236,9236,9234,5484,5364,5362,010335
-19,442-13,65114,56817,147-13,788-14,22513,57512,739-10,676-9,39318,12511,504-982-2439,8913,837-6241,2679,7244878401,1801,030-7,187-5,568-3,3175,0465,0788652,554-7,588-10,831-1,371-532-2,450-5,272-708-1,8831,027-4,590-3443,0712,875
8,352-988-8,922-17,3652,952-1,679-9,250-5,711-1,5974,253-12,244-5,073-1,995-3,865-8,931-8,626-8,972-6,043-6,630-3,442-1,763-1,196-6,294-3,667-4,374-1,817-9,232-5,743-3,052-984-3,449-1,647-2,913688-2,302-855-632-560-1,178-1,433-113-678-192
-8,776-5,812-432-7263,021-668-4,035-5,2571,469-1,7866,8556,8366,8796191,4532,2411,227-1,996-2,76182-575582,5421,825730-232-1,165-2,164-2,0558702,0591,909-478039,54639,22939,254-1,3642,5262,848-794145-1,011
-19,865-20,4805,196-939-7,837-16,6402061,711-10,848-6,98012,96613,2943,926-3,5142,418-2,500-8,362-6,768336-2,843-1,48543-2,752-9,053-9,228-5,376-5,348-2,817-4,2342,441-8,976-10,585-4,82315034,79433,10337,914-3,8072,375-3,174-1,2512,5381,672
25,89725,28245,76239,62632,72923,92640,56642,07129,51233,38040,36040,68931,32123,88127,39522,47616,61518,20824,97721,79823,15624,68424,64118,34018,69922,55127,39329,92428,50635,18132,74131,13236,89441,86741,71740,02644,8373,1166,9231,3623,2854,5482,007
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