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维尔利 (300190)


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流通市值: 市盈率: 52周最高:10.29 52周最低:4.5

维尔利(300190) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-06-302009-12-312008-12-312007-12-31
112,20947,291206,484131,30289,53433,290141,77784,38854,75729,76777,34755,34235,12416,47996,09161,01240,30614,03465,05931,93218,6648,71727,83116,75811,0926,41235,45223,33616,4036,39626,38016,73512,4616,23920,9759,14211,1654,9401,442
75,50929,711139,26489,74460,73021,28796,76155,45037,08721,41648,59334,49221,7649,37863,29339,33426,1748,69642,13319,45011,4385,21417,5899,7496,7243,78321,18613,5329,6053,48115,3299,2237,0733,61112,0925,1496,1142,472991
16,7937,52328,26918,20312,5045,34118,67311,7677,0742,8808,8687,0375,2152,29314,2538,9355,4061,38511,2364,5822,6081,3432,3652,5161,6611,2027,8784,6293,1591,2045,4433,5532,5381,1095,3222,3023,1491,65180
17,2798,06228,33918,49912,8235,41817,06312,8747,8803,15510,0557,8505,6532,57214,8699,2745,5211,49311,3274,6882,6271,3543,1752,5121,6801,2337,9684,7563,2941,2055,6653,8032,5341,1095,3882,3913,1371,64677
1,9841,0443,6392,3611,5218222,6461,8651,2385986565118683932,1591,3988132781,4535803042523274933021991,16874150019989156437216187440348742335
15,2957,01824,70116,13911,3024,59714,41711,0096,6412,5579,3987,3404,7842,17912,7107,8764,7081,2159,8734,1082,3221,1022,8482,0191,3781,0346,8004,0142,7941,0054,7743,2392,1639484,5141,9882,6491,22343
0.200.090.290.190.130.110.320.260.170.080.240.190.130.060.350.210.130.070.590.260.160.070.180.140.090.100.700.410.280.190.960.620.470.241.140.480.740.400.06
74,32197,586110,26783,40074,24396,352102,355139,067137,618153,185147,601145,773150,17325,09935,43532,12236,55219,09822,36432,58117,12824,48221,23428,59542,33247,31347,75151,85952,25060,90464,86465,39367,23776,0947,6113,9375,7612,444114
129,332108,096106,720100,05297,90789,58289,94072,64264,64148,13854,87551,89847,68046,24844,77412,20431,40932,40737,87330,07427,04128,73929,07430,57929,91029,50728,25319,85120,20316,38616,8399,83210,3718,9226,8214,2193,8663,5571,112
132,042132,366117,984121,240110,685102,33498,28297,10095,97685,55867,66367,60461,71649,15448,99859,53453,81141,24133,67625,84320,07715,50214,57014,80512,52111,87115,90917,14420,37417,70014,59513,69111,6448,5346,9584,5562,117236245
395,021391,621380,888341,244325,615336,273352,345333,783319,995303,823286,311278,842271,589137,596140,445152,653138,445114,180104,920104,59375,76778,83475,09981,11089,90694,15397,60894,60699,904100,53899,45792,25792,28297,76024,45114,60813,8256,6792,379
53,244--55,88857,38742,93942,25943,57943,60344,52834,66135,15926,37623,92022,36322,58521,43121,52321,72622,06221,21021,01114,3553,6853,6233,6923,7003,7013,1283,1173,1593,2163,2653,2523,26629619217011978
741,607732,296721,267657,122619,089607,993613,964584,631565,038471,580449,135432,361424,075279,996277,757271,006250,535207,921197,214189,870121,291121,788117,945110,932110,343111,075113,215107,046106,156106,010104,93098,84097,763102,93628,48917,10114,9047,7913,604
252,585242,711238,164167,603137,276126,898141,868122,220119,160111,846109,903102,33297,99490,11696,19594,17280,38649,08044,98743,82122,29621,68518,94413,47213,82114,03717,40214,06214,67817,36917,32412,81512,84516,58315,5647,2926,2363,7131,749
105,498110,553110,695111,780104,076102,23497,80791,23080,19466,03455,32450,85449,53126,74520,52820,96617,6488,0992,7252,3371,3571,3581,3585475475475471,2821,1921,1931,1641,1171,0871,0871,087497350----
358,083353,264348,859279,382241,352229,133239,675213,450199,353177,880165,227153,186147,525116,861116,723115,13898,03457,17947,71246,15823,65423,04320,30214,01914,36814,58317,94915,34415,86918,56218,48813,93113,93217,66916,6507,7886,5863,7131,749
383,524379,032372,408377,739377,736378,861374,290371,181365,685293,700283,907279,175276,549163,135161,034155,868152,500150,741149,502143,71297,63898,74597,64396,91395,97596,49295,26691,70290,28687,44886,44284,90883,83185,26711,8399,3138,3174,0781,855
76,76076,76094,29694,29694,29694,296141,932141,992141,932141,93230,71330,77330,71330,71320,45620,45620,45620,45620,24220,24220,24220,24246,45546,45546,45546,45563,41863,41863,41863,4186,3026,3026,3026,3023,7313,7311,63879294
-17,093-5,71624,610-10,348-10,776-9,1036,522-9,571-5,255-9463,146-16,367-13,042-7,9995,177-9,241-2,477-6,4844,017-2,712-7793,500-4,942-3,726-3861,742-9,000-9,077-9,194-3,508-7,330-7,187-6,041-3,6972,183-1,1171,710358-900
-25,212-15,615-25,2809,8318,02314,447-77,592-23,489-17,578-7,890-28,385-16,117-14,700-8,901-42,848-25,715-24,043-3,977-15,978163-579-214-20,240-13,612-4,371-2,180-6,619-2,789-2,281-419-2,176-1,802-1,263-759-2,339-799-551-94-30
7,5298,635-16,937-23,258-23,501-11,86423,34624,22413,14914,571136,475141,899142,3166,60547,93243,71839,3976,74012,17613,039-2,964-155-1,033-1,296-86365-1,345-971-75111766,62267,25267,63373,7712,7266769351,295714
-34,736-12,864-17,537-23,711-26,308-6,533-47,636-8,683-9,5465,751111,219109,480114,622-10,37210,2578,75612,875-3,72021410,490-4,3223,132-26,213-18,634-4,844-73-16,963-12,837-12,225-3,81057,11658,26260,33069,3152,571-1,2402,0941,559-215
42,02463,89676,76070,58667,98987,76394,296133,309132,386147,683141,932140,253145,33520,34130,71329,21233,33116,73620,45630,73215,92023,37420,24227,82141,61246,38346,45550,58151,19359,60863,41864,56466,63275,6176,3022,4913,7311,63879
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