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科斯伍德 (300192)


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流通市值: 市盈率: 52周最高:17.45 52周最低:7.59

科斯伍德(300192) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-06-302009-12-312008-12-312007-12-31
69,64044,22521,70295,94871,08747,16823,63047,21334,41322,05310,08848,97435,11022,76010,83349,50836,27923,86111,11852,10237,68124,52811,27548,86635,20622,89211,22239,62827,73214,3836,98429,60820,94613,0115,94423,76110,31018,33113,83211,094
39,73726,36713,15760,11446,26330,45215,20938,34727,64517,6457,81337,48426,70517,1948,22238,79828,82019,0828,79340,86229,70519,1368,65338,13027,21817,5638,95229,61520,99911,3085,52623,71316,77110,2914,66617,8217,66413,10110,6948,436
15,6768,5193,89110,33314,06411,0612,8095921,6201,0348463,9553,2182,0821,0243,6782,3791,3857333,9332,7031,8238813,9863,1962,1188784,8284,0052,1871,1144,1862,9251,7688604,0151,7033,4831,7351,466
15,7278,5013,89710,52714,13211,1262,8648751,8611,2461,0934,3833,5132,2491,1654,0722,6181,5437454,6193,1672,2069404,5263,3312,1378834,9324,1622,2181,1164,5523,2942,0298604,1381,6603,6251,7351,427
2,2501,0814431,5861,8861,29362228733328422578263342227260039418377667452337238684520311135727635302169687489299129611252530290495
13,4777,4203,4538,94212,2479,8332,2425881,5289618673,6012,8801,8278943,4722,2241,3606683,9522,7151,8697033,8422,8121,8267484,2053,5271,9169473,8652,8061,7307313,5261,4083,0951,445933
0.280.150.070.120.350.300.050.020.060.040.040.150.120.080.040.140.090.060.030.160.110.170.060.350.260.170.070.380.320.170.130.560.420.270.130.640.260.620.290.23
30,41727,76928,77627,55736,05025,46533,59136,15721,29120,40719,32618,09517,11417,01417,81316,14417,20817,92717,03917,12220,68219,59119,57421,93124,31128,80529,41930,72133,48437,07937,31438,30138,73639,61241,6913,5194,8985,8422,1992,603
11,81910,82511,47312,52712,25712,02212,92413,14512,53111,9769,55813,61512,46412,76711,58913,13012,80412,83411,52613,72012,67511,75410,63111,84411,22910,2169,5519,11010,3157,5246,4956,8106,7515,3475,3535,5304,0703,7692,1572,727
5,6026,3586,1356,42110,3859,9058,1018,8308,2577,6238,1596,5367,2597,2056,9976,7087,4917,0546,3665,7736,6597,2506,1026,2067,3387,0595,5686,0555,8023,5993,9734,0634,7845,3215,4625,5623,2072,8762,6822,706
69,16255,68170,58863,66969,50562,89373,77167,70349,19046,87346,84446,73343,87443,90645,13546,13545,96746,44345,97547,42949,40150,91249,39151,52653,94655,56055,64255,44962,33158,16756,20855,09054,02451,97353,76516,13813,65213,4977,7298,530
--22,290--23,74626,25827,00828,00828,64728,14128,72829,22330,05030,13330,26230,34730,68528,21824,28724,56724,9629,2089,1479,2955,6865,6635,6235,7625,8424,4033,8823,9383,9683,8063,8353,7823,7933,5993,3972,8602,401
164,498152,104168,386162,380169,308163,588175,341170,23381,31479,59980,02080,94478,62078,45478,82080,29280,11980,24479,99881,41578,30678,50975,38575,13273,45674,21172,70871,85471,08765,26963,17162,03460,79658,77460,51422,90120,20217,52511,38011,564
41,84134,00244,46441,90947,17844,07549,76846,9819,2547,5418,38410,0518,8399,8019,97912,42313,45914,67714,73616,37514,30214,96712,43012,90312,40314,20712,68012,44412,4188,3855,7605,5705,3914,4457,1857,4016,8215,5513,9655,594
25,83827,34130,84330,84534,34734,35037,85237,85456636668000000007000000000000000--000
67,67961,34275,30772,75481,52578,42587,62084,8359,3107,6048,44910,1198,8399,8019,97912,42313,45914,67714,73616,37514,30914,96712,43012,90312,40314,20712,68012,44412,4188,3855,7605,5705,3914,4457,1857,4016,8215,5513,9655,594
96,81990,76293,07989,62687,78285,16387,72185,39872,00471,99571,57070,82569,78268,65368,84167,87066,66065,56765,26165,04063,99763,54262,95562,22961,05360,00460,02959,41158,66956,88457,41156,46455,40554,32953,33015,50013,38211,9747,4155,970
26,98726,98726,98736,13036,13036,13036,15718,09518,09518,09518,09515,27215,27215,27215,27214,36314,36314,36314,36321,19421,19421,19421,19428,79228,79228,74628,74938,24838,25238,24838,2482,8932,8932,8932,8935,4725,4721,7111,309340
25,76113,68110,94528,67121,6597,5487,6542,6804,1242,3041,3205,8685,5652,4831,8644,6493,2613,1067914,2101,6172,4102361,8381,4831,3402061,512-679-466-6471,252-26677-4635031,8162,3121,490422
-3,7844,510-7,081-13,464-6,058-5,926-9,867-47,657-223101-72-2,313-2,458-610-202-2,981-1,837-986-197-10,040-4,932-3,803-2,650-7,716-5,373-2,599-1,449-10,064-7,468-2,867-858-2,046-1,551-189-124-2,901-2,616-435-901-515
-18,995-17,960-2,692-24,435-16,427-12,730-31862,977-48600-898-1,215-1,2150-5185165300-551-551-5510-1,725-1,943-560-1,040-291-557036,14536,14236,23839,165-153151,896-1791,089
2,9892321,169-9,142-817-11,142-2,56618,0343,1962,3121,2312,8231,8418651,6649091,9952,661580-6,831-3,882-1,959-2,377-7,598-5,888-1,348-1,258-9,456-8,366-3,886-1,53435,35534,51236,71938,574-2,579-7973,761402969
29,97727,21928,15626,98735,31224,98833,59136,13021,29120,40719,32618,09517,11416,13716,93715,27216,35817,02414,94314,36317,31219,23518,81721,19422,90427,39827,49128,79229,88634,36236,71438,24837,40539,61241,4672,8934,6755,4721,7111,309
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