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东方国信 (300166)


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流通市值: 市盈率: 52周最高:17.32 52周最低:10.6

东方国信(300166) 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
110,54364,66228,462199,61895,19857,88923,064150,59979,76354,72622,473127,77567,10644,91018,41093,11147,16729,49312,32061,52732,28721,7659,57646,81630,15219,6528,84331,30017,81411,3685,94617,88110,2597,4093,81812,1257,1785,7177,8994,9423,140
55,19533,18814,098101,10251,16331,82012,38675,65343,18029,59411,12468,63037,11126,0279,14049,30824,84015,5556,35431,78217,60911,2754,17625,92817,81911,3934,70916,83810,0265,9582,9138,4474,8943,4591,4235,1873,1402,6203,7592,5561,753
18,9958,5485,00359,60721,41212,1094,24545,97218,10812,1115,59230,54111,6186,6173,35121,8637,7365,0822,18213,8094,3043,3542,2288,8654,2102,8911,9848,1534,2663,0631,8015,8603,3312,4611,5273,9161,9381,6462,1001,003140
19,4058,7994,92558,60821,62012,3214,23449,64618,50412,4505,87636,61613,1887,6013,69224,7399,4066,2702,64614,7455,3143,8082,3679,7214,7623,1652,0298,3764,3843,1131,8016,7413,6462,7691,6074,8742,5152,0492,9021,471473
1,4084598435,5612,8921,5116865,7082,4421,9711,1183,2301,2327123721,9419707722731,2603092102387295722822571,30163249423498446237621165728627140515738
17,9968,3404,08253,04618,72810,8113,54843,93716,06210,4794,75833,38511,9566,8903,32022,7988,4365,4982,37313,4855,0053,5982,1298,9924,1902,8831,7727,0753,7522,6191,5675,7573,1842,3931,3964,2172,2291,7782,4971,313435
0.180.080.040.500.170.100.030.410.150.100.080.530.200.120.060.410.150.100.090.520.200.140.160.730.340.240.150.580.310.320.291.450.810.620.341.390.730.591.200.660.87
62,19776,89864,038118,08568,72046,94752,97191,15483,19579,24834,08456,89544,30098,56922,81945,62820,38123,28921,45924,13521,73228,47433,37028,17323,00026,02027,90834,70535,75938,17650,29153,85155,09055,52157,6175,2484,4063,9564,0921,285144
169,487164,044163,995166,781134,888136,061126,710120,467105,409109,867101,97091,38466,97667,41770,85769,01152,04350,43147,85247,79731,76230,72229,34730,53322,24619,72318,21615,16811,02911,44911,47710,1407,3567,7017,8216,5723,7594,4292,9222,0801,938
39,32234,12228,44520,63030,80927,74424,12717,24324,34021,31017,88812,50422,88218,76514,15510,38412,8117,9094,9033,0684,2642,5712,3181,7082,0402,2552,0491,5271,305524229145602811253776282835306527
303,776305,792315,157328,285284,948274,555287,053305,490273,063275,490314,554316,609290,225308,650118,709132,62594,71090,86183,01082,49768,37870,82871,62266,18262,87962,88362,70763,36360,63961,60564,04566,41563,94164,23965,95212,3729,0728,8957,7403,9122,238
--29,011--28,29323,03521,75021,34121,36622,61422,23821,46821,1152,9252,9722,8322,9942,9292,9482,4942,4201,7981,8161,8411,8881,8601,8781,8861,8051,6751,5931,5291,4831,035867340342302318323240158
619,615610,523610,360610,626538,203504,467505,089514,655468,345464,694494,996493,963464,755470,444281,951282,994218,974196,699186,555181,680126,540123,727119,895113,52081,14680,09779,30477,89971,59570,79172,11073,58766,16165,31566,71512,9539,6249,4818,3444,3802,400
64,61782,46991,94695,95264,60039,59750,97763,73346,98252,71886,16389,68782,40581,39592,18496,50847,03427,70418,80030,76318,69517,88816,15111,9042,4622,7204,1674,5341,5531,8824,2526,4871,6341,5791,9512,2939531,2601,9021,487836
21,6134,3283,9384,4019249491,2731,79834937339842244747152052052952952952938383838383838383838383838383838383838110
86,23186,79795,884100,35365,52540,54552,25165,53147,33153,09186,56090,10982,85181,86692,70597,02847,56328,23219,32831,29118,73317,92616,18811,9422,4992,7584,2054,5711,5901,9204,2906,5241,6721,6171,9882,3319911,2981,9401,498836
533,385523,726514,477510,273472,679463,921452,838449,124421,014411,604408,436403,854381,903388,578189,247185,966171,411168,467167,226150,388107,808105,801103,707101,57878,64777,34075,09973,32870,00468,87167,82067,06264,49063,69864,72610,6228,6338,1836,4052,8821,564
116,058116,058116,05890,15490,15490,15490,15456,51956,51956,51956,51946,07346,07346,07346,07323,97023,97023,97023,97027,16627,16627,16628,17333,96134,70533,96134,70553,78253,85153,78253,8515,1955,1955,1955,2484,0924,0924,0921,285144288
-14,787-22,705-20,09123,925-29,264-36,285-26,49121,905-16,883-22,434-14,1279,023-2,309-3,427-11,4408,839-8,525-5,558-5,1668,579-177-318757-4,207-8,298-7,407-4,350-1,078-5,431-3,185-1,0821,599-29109-6381,232347-1132,0041,405-51
-56,151-35,978-52,378-33,298-25,268-18,686-15,93134,09765,38966,744-8,563-174,830-167,327-11,192-14,082-30,208-25,670-16,270-12,336-12,953-10,080-5,345-2,586-7,828-4,393-1,628-2,447-16,931-10,849-10,679-1,217-3,733-866-614-222-105-32-23-227-270-93
15,36717,77519,02435,29331,75610,5154,816-22,425-22,370-22,188-306176,191167,928178,6272,21043,42530,55321,07514,8661,1794,7566,9047,0265,2409871,0240-1,811-1,811-1,811-1,26050,72150,72250,76153,229-23001,03050
-55,579-40,909-53,41825,905-22,707-44,493-37,57333,63526,24322,204-22,97110,445-1,828163,941-23,30922,103-3,638-753-2,635-3,195-5,5011,2415,197-6,795-11,704-8,012-6,797-19,821-18,092-15,675-3,56048,58749,82650,25752,3691,103315-1362,8071,141-144
60,47975,14962,640116,05867,44745,66152,58190,15482,76278,72333,54856,51944,245210,01422,76446,07320,33223,21721,33523,97021,66428,40633,37027,16623,00025,94927,90833,96135,75938,10750,29153,78255,02155,45257,6175,1954,4063,9564,0921,285144
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