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森远股份 (300210)


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流通市值: 市盈率: 52周最高:7.08 52周最低:3.26

森远股份(300210) 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)
2019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312009-12-312008-12-31
4,92337,33233,50021,8319,78940,66434,38220,47712,35545,77228,06516,7948,56540,44226,44218,7069,23648,31133,55524,67212,02745,52231,54621,55910,64030,52117,41611,0556,78920,28915,85610,0015,18413,32510,1438,143
2,94324,06022,43913,3915,61122,53718,46010,6426,76025,00114,9078,3683,81422,35314,07610,8104,70727,39618,04614,1826,82626,43118,39312,7456,09816,5649,0265,7283,7949,9817,7134,1702,2806,3194,8613,317
-1,857-10,7982,5863,0021,9536,9595,7563,1092,4478,2245,2483,4952,7007,9855,0582,6462,1279,4187,6655,0062,8909,6216,6784,6112,7238,8745,8713,9092,1886,6975,2233,8671,9664,1482,9322,011
-1,857-10,7992,5893,0161,9416,9156,3043,5712,6899,1786,0373,9372,76110,1886,1383,5732,53811,1988,8655,7813,27012,2748,1735,7832,79110,1297,0135,0122,2487,6936,0064,4422,0034,4963,1302,186
-397-1,1681413011391,2531,1461,0895401,6101,0266884821,216334-103602812,2731,3738681,9561,2488584721,5731,0197193391,1351,4341,038501688479329
-1,459-9,6312,4482,7151,8035,6625,1582,4822,1497,5685,0113,2492,2788,9715,8043,6762,47810,9176,5924,4082,40210,3186,9264,9252,3198,5565,9934,2931,9096,5574,5723,4041,5023,8082,6511,857
-0.03-0.200.050.060.040.110.110.050.080.280.190.120.080.360.240.150.100.450.270.180.180.770.510.370.170.640.440.320.260.960.690.550.270.680.470.33
16,42119,54923,35019,79724,91042,50622,71523,59232,18826,93427,11925,56023,13332,86832,06510,35614,00121,12317,84719,30724,19727,82929,43333,11135,53034,69037,81039,51741,12041,09141,13041,4978,1198,0026,0183,577
39,53944,77448,09443,77044,76144,36649,47748,43247,94344,53947,31640,89242,42236,26538,83340,74436,50432,83526,54133,80933,72527,50633,14832,64727,11121,1209,8547,2026,6066,3468,2466,4555,4044,3204,0064,227
41,25838,23439,46138,01434,89733,23137,15526,57025,66425,52320,28521,34020,07417,82819,18117,78319,94222,42419,30015,22618,00119,46513,11614,03410,26612,5247,1626,6306,1457,9734,6903,2962,8942,8841,7051,677
120,465120,893138,309123,442126,432137,017122,604118,498118,877112,028120,719105,912109,119105,185104,22882,38981,92087,96375,37477,44583,38380,90580,68586,45678,03273,43958,30357,47656,03757,26655,92953,12417,76216,63013,26611,034
--30,35929,27529,83829,33629,31029,15629,11527,48427,45127,47627,95028,43429,19718,19917,34115,26715,45816,40016,62010,21410,15610,51910,89511,23611,2468,0137,7417,5697,3846,3526,3976,1046,1192,1192,230
224,701224,294237,624221,312227,638236,163233,687228,692223,963207,356193,632182,187182,823174,373168,365142,286138,211143,432126,574123,832123,944121,333108,869112,503101,92597,33969,64967,70466,00366,99865,46562,28026,68125,44020,14717,432
94,79191,85993,06978,53686,12399,97199,54997,24092,02077,75164,25954,56954,43348,34143,09043,10339,02445,39836,57035,93336,56936,38627,11232,68525,09422,8163,6143,3292,4765,3405,7703,7148,0987,7633,3013,003
11,65012,37512,41810,3319,1235,5984,8194,7124,8614,8397,2457,3098,4328,33610,83110,87211,78611,9428,2688,4068,8068,8499,0689,1127,3967,4001,5271,5671,6071,6471,6691,7081,7751,8134,4564,689
106,440104,234105,48788,86895,246105,569104,368101,95296,88182,59171,50561,87862,86556,67753,92153,97550,81157,34044,83844,33945,37545,23436,18041,79732,49030,2165,1414,8974,0836,9877,4395,4229,8739,5767,7567,692
118,260120,060132,138132,444132,392130,594129,319126,741127,082124,765122,127120,309119,958117,696114,44488,31187,40086,09281,73679,49378,56976,09872,69070,70669,43567,12264,50862,80761,92060,01158,02656,85816,80815,86412,3919,740
4,69424,34224,34224,34224,34221,69121,69121,69121,69128,15028,15028,15028,15017,36417,36417,36417,36423,55923,55923,55923,55934,69034,69034,69034,69041,09141,09141,09141,0917,7538,0028,002--6,0183,5774,843
2,089-6,280513-3,495-6,450-4,397-4,6041,4225,866-3,353-15,071-16,560-11,753-264-4,698-5,175-5,715-11,838-8,797-9,911-5,605-3,668-6,213-7,078-3,7653,3771,8762,0273324364082569184,3254,9621,714
866184-3,032-1,657-270-4,824-21,420-20,001-9,288-22,700-9,128-2,561-368-11,757-3,967-2,929-1,135-8,374-4,825-3,292-795-8,492-4,911-3,039-253-8,249-3,660-2,105-303-1,331-1,264-748-186-2,273-674-2,604
-5,021-13,552-16,717-11,961-8,19311,87215,5977,8625,36619,59417,17812,7682,38722,80720,109-1,967-42514,0174,7406,7043,2051,0295,8688,5394,858-1,530-1,497-1,497034,23333,98533,987-614-317-1,847-376
-2,066-19,647-19,236-17,113-14,9132,651-10,426-10,7171,944-6,459-7,021-6,353-9,73510,78611,445-10,071-7,275-6,195-8,881-6,499-3,195-11,130-5,256-1,579840-6,402-3,282-1,5752933,33833,12833,4951191,7352,441-1,266
2,6294,6945,1067,2299,42924,34211,26510,97423,63521,69121,13021,79718,41528,15028,8097,29410,08917,36414,67817,06120,36423,55929,43333,11135,53034,69037,81039,51741,12041,09141,13041,497--7,7536,0183,577
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