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元力股份 (300174)


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流通市值: 市盈率: 52周最高:34.49 52周最低:9.67

元力股份(300174) 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
99,14071,71340,774170,170129,68292,28547,06785,33259,36438,40618,46065,25046,38530,25714,04758,83143,66929,40810,81839,83029,29918,5788,18837,33027,68018,3558,94233,98724,53315,8397,18624,12016,16110,1584,14014,62510,4446,85011,2187,67810,0536,803
75,72156,00632,743126,01894,94769,99435,01060,10041,33226,41012,60750,60236,97324,86111,82448,02035,58324,0818,80631,88223,62914,9646,70529,54022,29214,8687,40126,59519,07212,2155,29216,44910,9006,9713,0779,9087,3584,9327,4625,2467,1044,942
9,1115,2941,30113,04411,0299,5586,3396,3195,0153,9761,4263,8752,6711,1131851,7851,699966-258-1,148-829-591-458-947-716-441-334-3342562644043,6002,5091,3842542,0661,2116731,4167021,166550
8,6665,0031,26513,29511,2779,5096,2786,1594,9873,9621,6066,8014,8893,1311,2514,5164,1143,047887539540496168290374397-182,1412,8382,4744143,8292,6801,5493032,9301,7611,0531,9788271,9311,006
216-494-2832,7641,1991,364732-375410189-135081,09015-436019620982-272-198-113-64-251-165-83-49-175-19-2-27311203103-42561377714118225-18
8,4505,4971,54810,53210,0788,1455,5476,5344,5773,7731,6196,2943,7983,1151,2944,4573,9182,838805811738609232542539479312,3162,8582,4764413,5182,4781,4473072,6731,6249761,8378091,7061,024
0.270.180.050.340.340.290.210.200.140.120.090.310.170.150.060.230.200.150.060.060.050.040.020.040.040.040.000.170.210.180.060.530.370.220.050.520.320.190.380.170.810.93
13,28117,87215,19126,60327,43516,60022,61628,77511,76811,86213,09010,25410,69410,03311,87611,8067,9447,1875,0914,6785,0594,4874,6684,7375,7385,2228,0919,8799,21011,07115,28821,81928,78030,27834,1211,0348191,7711,487749554
8,4887,46011,0629,22312,26213,40312,8168,65010,2109,7079,1087,5308,1206,1036,3935,9626,4336,7925,6915,8496,2515,7525,2485,2635,3514,8924,7454,1553,6923,6683,1212,7161,9512,0401,6981,3671,4781,3631,3281,432549
12,56210,7528,2779,2777,3266,6606,9387,2167,0087,3867,5267,4727,5437,3898,1218,7089,1988,6426,8767,7516,6327,5837,9288,2887,7438,0167,0347,5196,9375,6224,5034,0143,1532,6172,0231,9041,4469891,011397572
42,52441,38355,13263,36155,29649,17050,80950,98537,32336,26936,09931,74433,37829,06331,79833,30130,06628,82022,71823,38623,11022,92424,13023,76323,36523,16824,68426,41225,49226,32331,97534,28438,51538,64540,7576,2235,1035,3314,6672,9982,981
--35,126--33,39733,01633,55132,46832,55631,07131,83832,04533,05733,35732,53333,51634,10333,27133,80729,15229,93228,52728,90328,93829,61425,34225,55823,00623,40120,71121,32513,67211,6988,0658,1464,6044,4904,5564,6074,6912,1412,005
135,743128,340158,936160,627159,786152,126153,863135,042114,894114,613113,049110,249110,53385,10186,23088,78684,68482,76759,82960,63459,44658,80158,47458,47057,48556,87557,22758,20954,86954,63953,38754,09750,88649,81549,75414,04312,09812,11411,2577,8245,573
39,40737,06970,42577,98683,14076,89778,20964,97946,87546,64941,12839,85941,88815,63616,50120,30115,03214,2008,1609,9228,7788,2327,6238,0887,2106,6466,0717,0703,3853,5362,9574,1072,2352,1951,9104,2883,3874,0514,1692,4581,484
11,54811,23511,2006,8784244502,2492,2052,1432,1804,8364,9244,9396,4426,4336,4838,1888,184981829859889868630525539555569371373374376767679798585850430
50,95548,30581,62584,86483,56477,34780,45967,18449,01748,82945,96444,78346,82822,07822,93326,78423,22022,3849,14110,7519,6379,1208,4908,7187,7367,1866,6257,6393,7563,9083,3314,4822,3112,2711,9894,3673,4724,1364,2542,4581,914
84,78880,03677,31175,76376,22274,77973,40567,85865,87765,78467,08565,46663,70663,02363,29762,00261,46460,38350,68849,88349,80949,68149,98449,75249,75049,69050,60250,57051,11350,73150,05649,61548,57447,54447,7649,6768,6267,9787,0025,3653,660
18,43118,43118,43026,80326,80326,80326,8038,8018,8018,8018,80110,17910,17910,17910,1796,9956,9956,9954,6784,7374,7374,7374,7379,8799,8799,8799,87921,81921,81921,81921,8191,0341,0341,0341,0341,4871,4871,487749749554124
2,1021,1131,72311,84417,8834,8193,3249,4534,4061,259-1,4188,9044,6544,8832,0514,6013,5561,963572,1251,545461-433-990-787-1,265-711-1,025-1,740-1,615-2,028-1,015-1,229-1,925-1,3051,7486828451,708-1611,575875
3,1458,2773,970-10,778-16,500-15,627-12,917-8,118-3,114-3,7411,054-23,107-14,503-6641,033-1,668-1,573-828-627-1,797-1,352-894-511-3,023-2,837-2,388-1,503-11,487-8,897-7,169-4,481-11,938-5,540-3,352-1,573-1,992-1,179-515-1,878-1,252-1,349-1,357
-10,438-9,958-12,988-9,617-4,773-3422,99116,6891,4434,8833,49412,8029,055-5,223-1,875178-1,103-1,000948-398123176886-1,031-438-940458605-1,973-1,966-1733,74334,53334,53335,969-186-156-40910839-30913
-5,161-569-7,304-8,372-3,355-11,151-6,62318,0032,7272,3913,126-1,378-788-9961,2113,184949192413-59322-250-69-5,142-4,142-4,657-1,788-11,940-12,609-10,749-6,53120,78527,74629,24433,086-452-667285738-580195430
13,27117,86211,12618,43123,44915,65220,18126,80311,52811,19211,9278,8019,3909,18211,38910,1797,9447,1875,0914,6785,0594,4874,6684,7375,7385,2228,0919,8799,21011,07115,28821,81928,78030,27834,1211,0348191,7711,487169749554
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