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神农科技 (300189)


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流通市值: 市盈率: 52周最高:5.15 52周最低:2.8

神农科技(300189) 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)
2020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302009-12-312008-12-312007-12-31
2,12611,24611,13410,6812,91817,19014,00011,4406,63745,144104,64071,223137,048115,94195,37551,13310,12933,27524,92320,50810,36635,56621,39820,08313,78345,43730,21425,49617,29443,15229,43425,23415,88142,76031,31927,85215,65439,50329,53628,45818,31214,952
1,54213,67310,7447,6711,77215,84011,3718,7984,73628,76492,00560,611131,22299,17587,98344,5987,99025,18917,68115,3138,50029,62516,25914,3498,94632,29621,21518,03711,25729,31920,88917,67110,91730,06121,81319,26810,67627,96421,18420,58113,63111,254
-439-33,267-9,067-3,574-1,2071,9122,878-6701,4741,2204041,9501,2382,804-2,719684-509-3,559-874-490-1,279-11,427-4,478-601,7993,2912,4363,7113,5086,7804,4535,0233,4956,3044,7675,0563,4486,4574,7984,5882,109762
-436-33,705-9,280-3,631-1,2071,9852,983-6281,4741,2001,1372,4221,5363,975-1,8421,268-17462-373-248-1,143-11,527-4,7131841,9463,8392,6443,8583,6297,2874,7275,0943,5556,3554,7985,0623,4556,4794,7844,6492,147862
--97------2828484681,0749666913391,1295644292473532106952463633313913155471142137492322162126119524817100
-436-33,802-9,280-3,631-1,2071,7032,899-7121,4061261711,7311,1972,846-2,405838-17616-408-279-1,153-11,595-4,7651381,9113,5072,5053,7273,5746,8164,5854,9573,5066,1234,5824,8503,3946,2844,5364,4782,147862
-0.00-0.32-0.09-0.04-0.010.020.03-0.000.01-0.02-0.010.010.010.02-0.020.01-0.000.010.000.00-0.03-0.22-0.080.030.070.150.130.170.130.230.180.310.210.390.310.340.270.510.370.390.230.09
11,35210,40512,75712,60915,83918,44312,2729,8709,3599,90123,74311,92212,30023,17127,57026,92553,85153,21426,82625,25725,50432,25729,12530,57433,33840,09443,93257,76657,49468,24472,36284,78880,34086,97890,59594,26599,96912,90114,10511,81112,373736
5,3244,62912,76214,83015,18015,52010,32315,06730,89742,06748,55314,98218,86117,89412,11615,55812,83510,50910,14012,04211,2847,5786,71110,22712,49010,1195,4179,22710,2168,1283,6795,4156,1374,8333,8345,5164,9933,6991,8204,5912,9473,102
3,2614,52610,33011,93310,85810,24111,09521,29422,08222,87221,44921,77025,18523,30325,59526,68027,93729,06030,75630,98234,80637,01442,89941,87040,85441,49738,31134,44931,00733,50318,21815,91616,09418,13016,54813,19812,90314,84711,38411,6877,6858,933
24,17925,24841,80246,09847,93948,80949,94659,366151,426154,958166,160162,962236,453232,442191,499168,803140,728143,49175,47074,53578,05282,30189,00593,14896,29399,935112,063122,198120,829123,922105,236117,978120,672119,058118,481121,382126,68037,04534,13436,52125,14615,209
--17,462--19,347--20,07620,37029,43331,42731,77529,93929,73930,06730,57530,83631,33831,91932,45529,41331,68029,91029,31316,04416,12516,48716,64111,2849,4048,7978,9043,5803,6303,6103,208--3,3063,1563,2133,1452,9752,7382,616
110,486112,218140,728145,706148,142149,755150,876170,591248,530249,138260,142255,788328,287323,755280,494255,555226,012228,151159,396155,466155,405158,383162,531165,738166,376168,359161,535164,309160,873158,671135,876137,488136,238133,870131,228130,815134,80844,84341,02041,08528,61718,715
5,6276,8578,5917,8367,7598,0876,48816,15234,43135,83743,35636,195109,808105,48568,55139,91912,51314,38116,63213,33614,77216,64315,69413,72312,97817,00512,99214,42310,62913,0483,6353,6223,6064,7093,8422,9738,3998,9966,76811,5255,23112,606
8108755516347238011,0716,4266,6837,2938,4538,5878,0088,9967,9208,1658,4498,5447,8378,0647,4417,4925,5714,8114,6684,8473,3813,5023,1152,067000000001535000
6,4377,7339,1428,4708,4828,8887,55922,57841,11443,13151,80944,782117,816114,48176,47148,08420,96222,92524,46921,40022,21224,13621,26518,53417,64621,85116,37417,92513,74415,1153,6353,6223,6064,7093,8422,9738,3998,9966,92111,5755,23112,606
104,049104,485131,586137,236139,659140,866143,317148,013207,416206,008208,333211,005210,471209,274204,023207,471205,050205,225134,927134,066133,192134,247141,266147,204148,730146,507145,162146,384147,129143,555132,241133,866132,632129,161127,386127,841126,40935,84734,09929,51123,3856,109
10,50418,44218,44318,44218,4429,7039,7039,7039,70320,15220,15220,15220,15224,99424,99424,99424,99430,53932,25730,53932,25738,98040,09438,98040,09468,01668,24468,24468,01686,97886,97886,97886,97812,90112,90112,90112,90112,81112,81112,373736844
-745-11,122-4,241-4,174-1,54348,76445,60147,42724,65039,07426,1401,870-25,999-85,391-41,729-16,407-5,0257,6576,9262,685-2,8264,524-620-3,563-3,6241,3551,44818-2,624-3,2861,7711,054475363882282261,5291,5904673,277420
1,6933,004-1,445-1,659-1,061-24,581-27,662-32,088-24,946-17,5132,30413,15415,67237,3587,880-5,4865,739-84,018-12,049-7,533-2,435-11,206-8,387-5,941-2,573-33,016-28,021-14,149-10,637-8,876-15,760-4,229-7,686-10,143-6,075-2,215-516-699358-5,268-300-209
080000-15,444-15,370-15,370-247-32,021-27,250-25,652-54443,19234,78812,687-7870,815-308-1,235-1,492-1,760-1,960-599-5622,6272,2633,6542,739-6,804-6289841,00083,68483,38083,35087,358-739-6535,2398,660-319
948-8,039-5,686-5,834-2,6048,7392,569-31-542-10,4481,194-10,628-10,871-4,842939-9,206637-5,546-5,431-6,083-6,754-8,441-10,969-10,101-6,756-29,036-24,312-10,478-10,522-18,962-14,617-2,190-6,63974,07777,69481,36487,067911,29543811,637-109
11,45210,40412,75712,60915,83918,44212,2729,6729,1619,70321,3459,5249,28020,15225,93315,78825,63124,99426,82624,45725,50430,53929,12528,87933,33838,98043,93257,76657,49468,01672,36284,78880,34086,97890,59594,26599,96912,90114,10512,81112,373736
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