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智慧松德 (300173)


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流通市值: 市盈率: 52周最高:8.44 52周最低:3.96

智慧松德(300173) 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
13,92810,2676,32035,06427,39518,5455,09462,68128,11724,9575,61773,23329,17622,9905,40651,18634,63723,0386,24019,48016,32512,5066,04620,31318,23012,9322,85724,45619,98314,1775,50323,82617,41511,0134,40225,11817,88310,07120,16512,31514,64613,124
10,8298,4134,58521,61819,15812,2923,78442,53619,24717,2563,80751,82119,46014,9633,21334,37123,65015,7644,06714,53111,8559,1134,35114,91711,1807,8582,01916,15213,4579,4423,80514,86311,4517,1422,84416,15111,1496,28512,8788,1589,1098,623
431594322-82,2193,3673,6311,29110,6084,5964,903-3915,1742,9723,2271004,5473,4151,831178-1,316382361390-2,6682,4362,377122,4282,8912,3377724,1973,2071,9957024,6023,5171,8983,5191,7922,6592,331
874801277-82,6563,3613,6311,29110,4816,7006,3413599,0185,8855,6851,2418,3935,0812,575534772372342385-2,6382,5212,393292,4682,9192,3617954,5023,5172,2857024,6563,5221,9033,6061,8162,9212,383
5112921707446975382673,7511,3961,2802231,5781,0529992081,03480228815125746150-3813873658265448361111574547340105719511284511270382349
362509107-83,4002,6653,0931,0256,7305,3055,0611367,4404,8334,6861,0337,3604,2792,286383747298281336-2,2572,1342,028212,2032,4722,0006843,9282,9701,9455973,9363,0111,6193,0951,5462,5392,034
0.010.010.00-1.420.050.050.020.110.090.090.000.130.080.080.020.130.070.040.020.070.030.030.03-0.190.190.180.000.200.220.180.080.460.350.230.100.790.600.320.680.310.620.52
8,19214,97014,82921,21224,08131,10738,85645,59852,41766,77848,30647,74527,70726,14027,10336,29131,78531,42037,59738,27414,45615,06316,25917,79216,75720,48321,47120,83919,66023,81527,67231,01030,92326,58137,4518,1526,7905,6647,1641,6991,517
42,70639,07742,03247,432--59,26849,84451,97235,72138,23152,54254,56535,11239,71126,87525,57823,40026,03119,40618,34711,83412,78812,5839,79312,83712,80611,42711,98713,87714,42111,66611,19213,25511,28712,9458,8597,6477,4507,0376,1383,657
15,52113,33921,30729,49341,64324,05719,36816,49022,09713,23022,24020,39045,24535,10429,23022,99828,56728,37431,99429,64022,21319,66119,58320,37419,51416,39216,91516,84415,46714,57014,50914,0859,0139,0899,0458,1667,7278,0126,8765,2194,242
100,799107,258120,394137,310160,478155,198160,504154,510156,158163,355140,720143,952121,803112,586103,732104,86192,08792,22795,76994,37250,62351,33452,22852,88055,14856,75854,69953,08152,73156,79856,56858,64459,65952,41263,73727,93625,99824,19523,73016,95211,040
--1,121--1,1731,0811,0851,0661,0171,0731,11613,63013,86514,10614,26214,50014,74517,05117,13414,58614,74215,54715,75715,96316,17214,66111,58511,66011,82711,34711,23511,2515,6034,6894,7454,3914,1543,3103,3663,3221,9071,822
155,914161,661174,830191,626289,010283,967270,622261,809262,676255,727241,533245,170223,092213,723205,345206,916199,117194,792198,664196,99377,90978,31778,33278,88579,64080,87978,07776,33377,10980,41079,37079,23974,56666,68576,36339,34536,97235,00434,06619,46113,347
53,69252,55161,76778,06190,94584,86370,43661,88767,40855,68546,86253,40649,19741,06135,94543,54240,89738,53843,26542,32122,95223,37723,33924,22620,23121,93520,00718,28519,05522,82921,37821,90718,18011,34515,33913,13112,94412,10815,24911,6267,771
17,37724,11928,48529,09428,46829,07930,45331,23128,02030,69130,24727,47512,21411,1279,1384,1812,1072,1343,1822,8378258258238251,1838258258255605605605705605606,7007,2606,0006,2603,80000
71,06976,67090,251107,155119,413113,942100,88993,11895,42786,37777,10880,88161,41052,18845,08347,72343,00440,67246,44745,15923,77724,20224,16225,05121,41422,76020,83219,11019,61523,38921,93822,47718,74011,90522,03920,39118,94418,36819,04911,6267,771
84,84584,99184,57884,471169,597170,025169,732168,691167,249169,350164,425164,289161,682161,535160,262159,194156,113154,121152,217151,83454,13254,11554,17053,83458,22658,11957,24557,22357,49457,02057,43256,76355,82654,78054,32418,95418,02816,63615,0177,8355,576
18,55618,12418,12439,38239,38239,38239,38243,82343,82343,82346,04532,54632,58532,54632,58536,82936,83036,82938,27417,71317,71317,71317,71320,52620,52620,52620,52630,20930,20930,20931,0108,0568,0568,0568,1527,1647,1647,1641,6991,6991,517510
2,202-307-2,214-10,1711,4896,442-4,619-4,128942-1,794-3,838-2,314-8,342-5,571-5,224-2,780-1,099-1,14680-1,542-899-1,215-9614-1,677-264-1,882-3,403-4,419-2,828-2,632-6,448-6,516-4,324-4,2251,358557-1,0963,5361,1531,041-273
-9,383-250-316-11,031-20,667-20,528-9,959-16,315-10,8454,231-121,9142,451-1,773-30-5,771-11,460-7,034-602356-1,726-1,028-343-4,160-4,275-2,189-812-2,771-2,645-2,062-792-8,164-4,803-3,312-1,299-1,077-987-501-6,746-5,086-1,494-130
-4,777-4,190-4,058-571,1332,2709,53916,00912,70912,1404,41211,647-3,843-2,905-2284,265494-349-15520,301-690-466-2101,3931,8592,0573,326-3,502-3,485-1,5048636,78934,18526,16134,823610561038,6867,6996471,418
-11,958-4,747-6,588-21,258-18,044-11,816-5,039-4,4412,77914,57556111,277-9,734-10,248-5,482-4,282-12,065-8,529-67619,116-3,314-2,707-1,515-2,813-4,093-396632-9,683-10,549-6,394-3,33822,15322,86618,52529,298892-374-1,5005,4653,7661821,007
6,59913,37711,53618,12421,33827,56634,34339,38246,60258,39846,60643,82322,85022,29827,10332,54624,76528,30037,59736,82914,39915,00516,19817,71316,43320,13021,15820,52619,66023,81527,67230,20930,92326,58137,4518,0566,7905,6647,1645,4651,6991,517
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