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雷曼光电 (300162)


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流通市值: 市盈率: 52周最高:9.2 52周最低:4.34

雷曼光电(300162) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302009-12-312009-09-302008-12-312007-12-31
68,90443,59521,67973,35252,64634,78015,21864,45147,28531,10713,95056,25040,38025,07210,80238,07925,60516,7817,19940,50531,37620,0687,65935,04423,25115,8316,46631,63523,91314,7875,50826,37518,72612,1704,07820,61014,3718,76810,1646,8897,5657,160
51,46833,27716,54056,17640,76427,36611,95845,21732,67121,2079,54836,59926,55216,5586,97324,75216,37411,0084,71228,04121,38413,5105,17624,05315,59810,4684,15722,85317,33910,6753,89418,91113,2478,4052,87413,0738,8315,3306,1654,2044,7234,262
4,6262,2351,483-3,6181,7691,120-1552,5333,1132,6181,1643,0074,4133,0311,2861,6422,6221,6535932,7422,8381,8074858401,0761,2645041,7682,8302,0214563,4872,6782,1144844,2893,3982,0512,2711,4301,1261,657
4,7912,3131,627-3,6251,8511,297492,6933,0852,6601,1743,4824,7373,0101,1842,3713,0382,0247643,8283,1092,0176362,0861,9451,7766472,4873,0412,2846103,8852,9192,2896084,3713,4352,0872,3451,4741,1611,661
2661561821193151451352662646923843155836713554141126520862023311533349314306101270365273825744043318147434320420312390-26
4,5252,1581,445-3,7431,5361,152362,1672,4602,1919363,0524,1792,6431,0491,8302,6271,7595563,2082,8761,9036041,7381,6311,4705462,2172,6762,0125283,3112,5151,9585273,8973,0921,8832,1421,3501,0711,686
0.120.050.04-0.100.040.030.000.060.070.060.030.090.120.080.030.060.090.060.050.190.190.140.050.130.120.110.040.170.200.150.040.250.190.300.080.780.620.380.460.290.230.36
15,86424,02818,83620,33419,64821,37515,11711,1239,76310,25112,25911,78311,92819,6958,09919,52327,65626,40728,19230,13126,14028,62830,37231,98332,72434,19038,46342,69845,16648,84450,54251,50253,89154,84756,0122,8712,2062,6452,823829994
24,81123,84322,65820,63525,51226,58423,02322,26622,41622,03819,35917,85117,73817,46617,30515,03614,77814,86813,88913,77114,96314,43612,96314,98211,20711,07710,7138,2888,4966,6394,6156,6906,1495,9903,3423,6262,7602,8471,6301,153396
21,77920,53316,79016,92414,27312,02411,42112,40211,63611,46010,7008,6069,2129,5759,9409,93510,0049,73610,0418,42310,89311,3329,9409,94610,5819,0648,9158,34710,0118,8959,64710,01510,0099,6717,5655,7795,8374,0972,0761,3951,102
81,42379,35590,13170,53068,67766,49865,60470,26870,76068,83484,43580,49754,05753,81967,87865,49956,58854,88656,33056,19154,74556,85257,30760,20859,69756,16160,76461,84466,90766,01866,45670,56171,42172,83968,21513,52411,53510,4776,8903,5393,182
--20,657--21,33718,97918,93517,52417,92618,44919,16219,70220,28320,21320,84121,53822,41422,81623,36623,91524,45624,47724,56422,96123,19323,50123,88421,90721,92910,80811,19011,4388,2337,5536,5636,6136,7204,3384,2252,5501,949987
132,341144,348135,655136,499137,633133,885130,910135,591136,069135,459152,303149,959162,100129,257125,066123,72490,42689,63091,85091,50592,09392,93085,83587,20886,89183,22687,08488,26686,09683,25482,78582,79181,82781,43976,68522,07120,08515,0479,6685,7694,211
33,84734,99327,73129,76725,58822,96318,77822,85122,70921,87219,95718,65220,26616,24414,07113,83410,78710,82512,83813,43412,31313,8729,32211,97912,5068,79810,78412,25110,7148,8378,5818,9478,8958,2655,08311,49410,4886,5813,1511,7961,279
1,6101,1781,1851,0851,1101,2011,0999609701,04617,13717,05128,4241,1411,1611,1061,0941,1261,1707842,7763,0272,3731,6929551,1591,2681,38931419716729620230819020529107426999
35,45836,17228,91730,85226,69824,16419,87723,81023,67922,91837,09335,70348,69017,38515,23214,94011,88111,95214,00714,21815,08916,89911,69513,67113,4619,95712,05213,64011,0299,0348,7489,2439,0988,5735,27311,69910,5176,6883,1931,8651,378
96,884108,177106,739105,647110,935109,720111,033111,781112,390112,541115,210114,256113,410111,872109,834108,78578,54577,67877,84377,28777,00476,03174,14073,53773,43073,26975,03274,62575,06774,22074,03773,54972,72972,86671,41210,3729,5678,3596,4753,9042,833
14,42214,42214,4228,9698,9698,9698,96910,57910,57910,57910,57918,02818,02818,02819,52323,65223,65223,65230,13131,98331,98331,98331,98342,69842,69842,69842,69851,38851,38851,38851,3881,6101,6101,6102,4742,4742,4742,474503503994307
4,3083,115-2,0785,094-978-3,516-3,201112-1,086-2,331-5659,8876,4723,808-4094,735-937-1,950-1,7587,061266170-944-3,469-3,816-2,940-1,8845,7581,5081,398206-1,726-890-2,2759342,126452-2122,8031,4946361,188
-7,9174677847,26612,20116,0217,39918,29617,94219,946607-15,704-26,72214,588-11,001-29,282-254-448-164-7,703-4,818-2,252-686-4,284-3,203-2,655-2,185-13,410-6,694-2,692-1,238-4,244-3,081-1,810-628-7,419-6,673-2,748-897-457-1,118-474
694-1,120-2,375-6,988-5,154-3,532-80-19,579-19,162-19,938-307-2,09012,311-18,571018,4063,9203,920-93-7,734-1,365-1,3460-2,827-2,827-2,827-140-1,026-1,072-1,272055,70055,90656,25253,0014,4574,8352,78876-1600
-2,7822,367-3,8785,4536,1658,8753,835-1,610-2,633-2,458-312-7,450-7,835-106-11,424-5,9182,9071,657-1,938-8,331-5,843-3,355-1,611-10,715-9,974-8,508-4,235-8,690-6,223-2,544-1,03149,77851,89252,15353,304-863-1,402-1781,9711,002-491687
11,64016,78910,54314,42215,13417,84412,8048,9697,9468,12110,26610,57910,19317,9228,09917,73326,55825,30928,19223,65226,14028,62830,37231,98332,72434,19038,46342,69845,16548,84450,35751,38853,50253,76355,7781,6101,0722,2962,4741,504503994
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