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智云股份 (300097)


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流通市值: 市盈率: 52周最高:17.3 52周最低:7.69

智云股份(300097) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-312009-09-302009-06-302008-12-312007-12-31
22,73117,0632,76097,59077,69650,74517,85791,29968,96034,2176,13160,20330,65518,9003,05742,10218,7819,8193,05621,90314,38211,1182,54222,11215,05010,2072,44416,23510,0967,4933311,7629,7876,1102,67815,1608,4466,80412,3798,2484,52610,5206,477
17,78613,8722,12660,48246,93930,56810,78148,99533,28117,8563,17540,04919,41310,9131,51828,11113,1486,6172,29815,1919,3567,3741,72914,2589,5416,2671,54311,5047,6995,89447,5546,5564,1561,5759,1245,0184,0967,3384,8722,3106,3093,118
-9,164-6,395-4,32314,55615,9089,3373,89020,08819,8707,012-7699,3144,4404,774-8356,190562954-1242,1822,1041,9071683,2322,6201,93751291322260-3651,3011,5711,2134132,7411,8631,6293,0301,9551,0652,4112,140
-9,162-6,394-4,05314,58416,3019,6983,88920,13419,8726,999-76910,3694,8535,181-6996,609757984-1282,6972,4392,2461633,5092,8551,97664341317217-3681,6351,7931,2314043,2842,0661,7123,3472,1131,1992,5222,255
-70-66-592,5112,2471,5136853,2753,4501,4971411,8941,010860948151441986440439435549685540443-15775751025320910164579369318496317206448587
-9,092-6,328-3,99412,07314,0548,1853,20316,85916,4225,503-9108,4753,8434,321-7945,794613786-1922,2932,0451,8901142,8252,3151,53365284242143-3781,3811,5841,1303402,7041,6971,3942,8511,7979932,0741,668
-0.31-0.22-0.140.430.490.290.110.620.600.21-0.060.630.310.34-0.040.430.060.06-0.020.190.170.150.010.230.190.270.020.050.050.03-0.060.230.260.190.060.530.360.310.630.400.220.460.00
8,13110,50620,11517,58232,24630,14650,08511,45246,03414,18015,02413,40114,29017,55019,65328,8169,13611,54415,50817,58717,84618,82417,54319,29718,87018,62518,81520,14120,95722,47824,30221,83321,51423,18323,60924,70126,8721,2962,117708718
42,77950,94751,04867,98868,85172,60650,96057,85562,12754,58344,23146,40234,44634,93933,06634,22519,22115,83015,46112,52413,29812,8079,3539,7389,6319,6768,5929,0219,2059,2248,6488,97410,86610,8229,32510,2475,9236,4674,9664,7532,283
57,46450,55549,75542,02244,72542,66242,68739,88042,68649,57050,80130,76131,40327,78633,91023,62121,43720,90518,02910,85813,43412,90215,65914,57013,95813,82115,04312,75413,06410,87412,66310,2237,2226,9377,1775,0764,6582,6464,2136,7994,675
122,162125,446135,557137,023158,244159,167154,933145,555161,456125,891122,23999,85186,82885,53795,31792,56356,83554,47553,24043,90947,46945,86945,16146,18345,55844,77345,43445,07646,22646,20747,62743,52843,50343,06741,85942,33240,23812,92114,94813,6689,049
--10,748--11,32710,81111,04811,20811,43910,93510,9697,4677,4486,9666,9539,3079,4769,3109,4159,5307,3677,2687,4157,6947,8142,3462,4382,3172,3931,8251,6141,6561,6881,7411,7701,8221,8921,9511,9972,1322,3561,758
249,944250,168260,606262,427279,446269,999265,813256,281269,858234,450230,495206,865192,339191,092202,932199,46673,31671,17069,76355,07058,43256,96656,55957,81755,98954,93855,30654,50554,25953,57554,56749,94248,94548,54347,08547,55845,48118,20218,48817,31412,306
63,99463,01967,67765,54668,93863,05663,67657,47761,52684,14986,27362,07838,98736,80952,39148,23223,15220,62519,9167,61510,0968,82710,64212,24611,98911,81713,64612,91012,72812,13313,3718,3557,9788,0527,0567,8775,6614,4215,7719,0588,186
30329332937719322335543810,17810,26810,23710,33523,46123,44925,82825,7382,3886282,2702891,0841,1001,0991,097125110111111909974871351141421331,8631,9861,88711938
64,29763,31268,00665,92369,13163,27864,03157,91671,70494,41696,51072,41262,44860,25878,22073,96925,54021,25222,1867,90411,1809,92611,74113,34312,11411,92713,75713,02212,81712,23213,4458,4428,1148,1677,1988,0117,5246,4077,6589,1788,224
185,647186,856192,600196,505210,315206,720201,782198,365198,154140,034133,985134,452129,891130,833124,712125,49747,77649,91847,57747,16647,25147,04044,81944,47443,87643,01141,54941,48441,44241,34241,12241,50040,83140,37739,88739,54737,95711,79510,8308,1374,082
17,25817,25817,58211,27311,39911,45211,45213,31713,40113,40113,31727,00827,00827,00827,46817,55820,44120,44117,58718,64519,29719,29719,29720,01720,06020,01720,14121,83321,83321,83321,83324,70124,70124,70124,7012,1172,1172,117708708708718469
-983-2,8083,4174,6898,2245,93512,446-4,817-4,367-618-2,955-14,150-7,317-12,349-8,2094,434-4,835-2,921284-1,565-1,819-1,029-1,48484990-626-8473,7293,6643,9422,627-1,698-1,182-824-918-3,175-852-2442,6691,4461,446-2,3201,258
-4,408-709-5325,43513,36119,96326,991-45,300-14,769-1,065-802-11,689-13,140-2,566-1,194-32,621-6,124-5,731-5,456-602-17215-1,310-1,503-1,229-792-380-3,060-2,335-1,092-454-1,753-1,689-416-14-266-243-203-1,804-18-18-613-1,376
-4,691-4,247-352-4,153-738-7,203-80448,07351,7692,4625,48012,1487,6095,33723937,619-346-2442391,0825405400-718-291-258-100-2,486-2,205-2,205297584-316-278-16026,02425,849-374545-1,168-1,1682,923367
-10,082-7,7642,5335,98520,84718,69538,634-2,04432,6337791,706-13,691-12,847-9,578-9,1649,451-11,305-8,896-4,933-1,088-1,451-473-2,794-1,372-1,430-1,675-1,327-1,816-8766452,469-2,868-3,187-1,517-1,09222,58424,755-8211,410259259-10249
7,1779,49420,11517,25832,24630,14650,08511,27346,03414,18015,02413,31714,16117,43018,30527,0089,13611,54412,65417,55817,84618,82416,50318,64518,62918,34118,81520,01720,95722,47824,30221,83321,51423,18323,60924,70126,8721,2962,117967967708718
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