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昌红科技 (300151)


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流通市值: 市盈率: 52周最高:10 52周最低:4.95

昌红科技(300151) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-312008-12-312007-12-31
51,93733,45816,63969,36548,74530,35214,98059,88041,12526,85812,62158,83141,63726,76612,30954,87240,67126,24812,12857,86642,92527,42113,35061,73943,74026,86413,05149,36135,13323,33310,45634,28023,29113,4496,72828,61820,41212,65018,43413,6789,109
38,45424,83612,29751,96736,83123,02111,05843,89130,62020,0079,56943,54331,04020,0219,37243,22532,39920,8829,53144,51432,73420,97810,29950,34135,97122,27710,91240,80328,80118,9198,55627,55118,27910,4545,18621,05014,4058,74712,9919,1105,688
5,8623,4861,4655,9764,9292,6021,0193,6092,7391,5413893,9463,3572,1617993,2753,0201,8481,1095,8325,1583,2841,5674,4843,5242,0529933,8013,1842,5021,0383,6542,8951,7108884,7213,8512,5003,1262,4192,012
5,8713,5101,5096,0094,9472,6241,0403,6202,8441,6315134,1053,7082,4678323,2982,9881,7721,0855,9685,2643,2961,5704,4543,5402,0661,0083,9763,3502,3861,0403,8423,0571,8729954,6863,8472,5003,3342,5382,324
8075002364476603341101624563811608568074951843983632181518821,042677326909758441227588542577184469387240158621564351475213113
5,0643,0091,2745,5624,2872,2919303,4582,3871,2503533,2492,9021,9726482,9002,6261,5549345,0874,2212,6191,2433,5452,7811,6257813,3872,8071,8098563,3732,6701,6338374,0653,2832,1482,8592,3252,211
0.100.060.030.110.090.050.020.070.050.030.010.060.060.040.010.060.050.030.050.260.210.130.120.350.280.160.080.340.280.180.090.340.330.220.120.810.660.430.570.500.49
14,87017,33325,63521,39415,36017,36820,31018,49516,51920,75913,61313,76913,00212,29416,48114,25740,75941,37243,84645,78843,99250,98656,52954,15151,51850,54545,42540,54340,95841,96043,41144,12244,15050,97153,76860,4536,5758,3025,4403,709595
15,36513,60713,29417,19015,61213,03111,54713,67710,26711,38511,41113,28011,88012,1359,98210,51212,52312,3789,82411,37311,58010,74610,15313,37612,72310,9489,68913,89610,72710,66510,6099,1107,0034,8924,8184,8075,9855,1855,3513,5133,017
10,1929,5669,76610,2769,9179,0398,9039,83910,11710,2999,5958,5279,0088,3728,5138,4387,6107,8796,9435,7736,3416,1845,7635,5425,9235,6015,4865,2725,4576,1936,1526,3746,8125,7895,2774,8805,7394,4344,6483,4891,566
59,35859,58861,99865,40960,74160,21758,44660,77161,80856,88656,95561,54958,15956,63055,66158,71363,47164,09263,64165,56564,16072,70274,00876,38672,26269,56562,57462,42059,22860,99161,92261,14060,83565,90565,82171,20619,29818,65616,29411,6835,866
--24,164--22,93523,31322,71422,89523,48023,05429,17829,82930,20329,72029,97030,34329,99526,54424,92722,63722,89016,44414,71815,13415,55015,60916,11216,57716,94016,41915,90214,98913,55510,4118,7438,5358,5217,8937,6217,7777,5087,527
106,706102,424102,201103,656101,96597,16595,43197,51794,48195,69397,241100,73198,59296,55895,21896,78099,78099,88993,75195,30990,72192,16993,93495,07891,18988,41981,96682,24579,47379,91081,37980,87178,69977,72376,59681,61228,96027,43825,19419,64413,815
14,73412,83711,63014,00213,45810,6989,40912,12310,50010,18210,46813,98712,12010,7739,24011,33214,53115,85911,02213,54813,78016,82919,16521,55218,42716,8139,19410,2558,0629,4989,91010,2588,7888,8505,16810,72112,62911,94210,9469,4567,921
4474535095715726767107326052,9243,2223,5433,7733,9874,2314,3784,5504,5504,0004,0000000000000000003006009001,5000500
15,18113,29012,13914,57214,03011,37410,11912,85511,10413,10713,68917,52915,89314,76013,47115,71019,08120,40915,02217,54813,78016,82919,16521,55218,42716,8139,19410,2558,0629,4989,91010,2588,7888,8505,16811,02113,22912,84212,4469,4568,421
91,52589,13490,06389,08487,93585,79185,31284,66183,37782,58683,55183,20282,69881,79881,74781,07180,69979,48078,72977,76176,94275,34074,76973,52572,76271,60672,77271,99171,41170,41271,46970,61369,91168,87471,42870,59115,73014,59612,74710,1895,394
18,12018,12018,12016,61416,61416,61416,61411,47912,15812,15812,15812,73412,73412,73412,73444,28244,28244,28244,28245,37945,37945,37945,45140,48340,48340,48340,48344,09544,09544,09544,12260,45360,45360,45360,4465,4285,9285,4283,631595487
10,6268,4514,0106,01310,9166,8762,5535,3123,5721,316-2,1734,4362,8871,106-854,9252,7201,0296056,9235,7363,9931,2589,1257,5196,1695,2603,1202,3312,209-52574-6891991035,7164,3673,2402,7762,3341,130
-13,919-10,3472,813-3,629-11,256-5,629-1852,8903,68310,0302,238-4,351-1,291882,960-33,614-5,461-3,041-1,136-13,040-9,758-4,257-717-2,297-1,035-799-379-3,169-2,356-1,270-641-9,653-8,713-4,370-1,526-2,526-1,860-786-1,893-1,438-1,202
-3,127-3,127-0-1,377-1,408-1,4080-2,564-2,683-2,683-841-2,102-1,714-1,971-232-3,173-1,251-1,164-715,110-777-70194-1,919-3,387-1,9400-3,578-3,222-3,160-20-7,169-6,796-5,280-5,22151,893-1,861-729122,165185
-5,981-4,9206,6231,506-1,303-1091,9655,1354,2728,526-805-1,25530-6712,636-31,548-3,708-3,089-543-1,097-4,733-8726004,8972,8233,1874,835-3,612-3,178-2,172-711-16,358-16,303-9,519-6,67955,0256472,3741,7973,036108
12,13913,19924,74318,12015,31016,50518,57916,61416,43020,68511,35311,47912,76412,06315,37012,73440,57441,19343,73944,28240,64644,50746,05145,37943,30643,67045,31840,48340,91741,92343,41144,09544,15050,93453,76860,4536,5758,3025,4283,631595
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