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东方电热 (300217)


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流通市值: 市盈率: 52周最高:3.81 52周最低:2.22

东方电热(300217) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-03-312009-12-312008-12-31
177,063124,02566,589223,937181,594117,21049,336173,020120,54479,88335,64492,96858,18736,21817,03394,21770,88748,48323,639101,90174,28049,31623,43382,74754,53633,69816,50666,09449,04033,01515,64471,58854,61735,97916,89059,22715,02937,97524,290
149,172102,74155,981174,729143,69193,12540,875137,94695,61764,35429,45370,70945,07428,16313,65870,85653,82637,33218,46375,86156,13437,28517,24161,87641,33725,42912,27748,55935,21423,60510,86149,84737,29324,23811,36742,15210,98427,75518,488
5,6336,6953,77417,46117,62610,9673,08012,2288,3575,0881,5215,6004,7302,8941,2058,6297,6324,7072,50012,4688,5945,5483,21110,8136,8864,3472,17210,4359,3006,7423,99614,02411,8938,1333,87410,5602,3395,6601,222
5,7486,9603,97818,54917,75110,8873,13412,3599,3875,8591,7636,0245,0032,9941,2319,4747,8294,8372,54712,5568,6745,4993,20610,6886,8144,3732,15111,66010,3587,6614,27214,59711,9808,1613,89810,9542,4056,3321,361
1325575952,4512,7601,6854652,0361,6621,1283321,4319035831831,5021,0816834071,9901,2428205201,5449726662811,7791,5141,0825682,0731,7181,1625691,456351376442
5,6176,4033,38316,09814,9919,2022,66910,3237,7254,7311,4314,5934,1002,4111,0487,9726,7484,1542,14010,5677,4324,6792,6869,1435,8423,7071,8699,8808,8446,5793,70412,52410,2636,9993,3299,4982,0545,956919
0.050.050.020.110.100.060.020.070.050.030.010.040.030.020.020.190.170.110.050.260.180.230.130.460.300.190.090.480.420.310.361.361.140.830.431.150.250.710.14
16,72517,85520,91536,34013,37116,06816,32323,65822,78514,23714,78317,33224,38626,76532,03023,81917,60323,35916,99415,67021,43520,87323,42126,54831,34337,95337,91043,70347,07444,93849,83146,53754,21361,9923,3895,6084,947547
60,10362,53668,54647,94159,96065,03551,87949,68657,74551,61448,35448,52433,03627,17226,26826,12224,99832,92736,43030,37534,00226,69225,01628,02128,41025,12523,66719,74726,03522,72518,04613,45219,70517,56513,5149,8408,3953,605
61,31668,38266,61178,88674,98569,01455,90459,07250,01239,44738,80537,87527,57924,64926,14125,47627,74928,23525,59928,20627,29327,14627,27425,77524,24221,55618,39517,92718,62216,39016,45418,34719,44417,37315,96515,99216,09010,027
246,712231,514253,825253,771249,038230,369200,555199,663189,282179,734175,997186,527166,658160,162166,223174,748122,972119,938115,071115,899112,141115,640123,878120,547116,630114,258112,822109,691112,128106,001110,692113,175114,146116,15755,70250,66442,11920,615
--78,449--77,24159,80063,10153,46054,45454,44355,08655,88056,47142,25740,63941,30441,72929,69828,36128,64329,10827,72926,26525,81226,05520,31720,50519,30019,35916,99116,95217,08716,19512,17011,92311,52211,61011,2899,553
364,013349,467371,481370,140359,019338,577304,898297,237281,575270,713264,537273,715224,348217,797224,151231,674177,361173,788167,950167,048160,502160,564161,271157,634151,130148,045142,777138,865139,112131,908133,439135,239130,449132,10371,28366,25557,43132,656
123,494108,570131,128133,091121,719107,19387,07382,10265,14157,57952,58063,42734,95829,91933,47542,06048,19646,29542,52143,75841,01843,81943,50642,54539,54737,68432,29430,26631,50126,41927,93333,31031,77236,65935,41133,22934,76316,654
15,26314,56914,67714,77717,20117,1377,8577,9356,8306,5257,3457,4053,8963,9363,9603,9833,4984,4192,3032,3141,6341,6451,6591,6701,5191,5291,5651,5471,5961,7772,4332,5601,5691,6001,6231,6235150
138,757123,139145,805147,868138,919124,33094,92990,03771,97264,10459,92570,83138,85433,85437,43546,04451,69450,71444,82446,07242,65245,46445,16544,21541,06639,21333,85931,81433,09728,19630,36635,87033,34138,25937,03434,85235,27816,654
225,256226,328225,676222,272220,100214,247209,968207,200209,603206,609204,612202,884185,494183,943186,716185,630125,667123,075123,126120,976117,851115,100116,106113,419110,064108,832108,918107,051106,014103,712103,07399,36997,10893,84434,24931,40322,15316,002
32,93932,93932,93917,88417,88417,88417,88415,28215,28215,28215,28221,38821,38821,38821,38812,37912,37912,37912,37925,26625,26625,26625,26642,45242,45242,45242,45243,73343,73343,73343,7333,1363,1363,1363,1361,5231,5234051,059
-4,954-35,237-20,645-20,892-28,546-24,866-14,881-6,316-10,060-14,587-17,5337,86810,47012,5358,88312,9076,72412,4703,3136,8725,1415,397-1,545-3,665-502475-3,2427,4778,1805,4497,415-5,566-4,3551,420-2,4066,6704724,0435,747
-13,9867,4992,876-19,479-13,709-2,1531,85312,83817,1419,82817,543-5,761-5,731-5,408-626-60,575-4,986-5,502-1,958-15,592-12,436-8,199-1,584-10,017-8,444-4,528-2,592-5,193-3,474-1,921-1,247-10,608-1,610-978-1858121,526-5,315-2,015
-1,8546,1491,00655,36332,92919,8487,069-3,858-3,8671,412-2,755-8,428-2,770-3,23051156,6331,1321,267666-4,161131-4,537-280-3,492-3,444-1,237605-3,564-2,360-2,925-1,81756,77854,41753,961929-5,861-4912,423-4,385
-20,712-21,569-16,79415,055-9,251-7,304-6,1002,6023,070-3,400-2,774-6,1062,0073,9258,7599,0092,8878,2352,024-12,887-7,161-7,344-3,407-17,187-12,395-5,293-5,229-1,2812,3456034,35040,59748,44654,402-1,6601,6131,5081,118-654
12,22611,37016,14532,9398,63310,58011,78417,88418,35211,88212,50815,28223,39425,31330,14721,38815,26620,61314,40312,37918,10517,92221,85925,26630,05837,16037,22342,45246,07844,33648,08343,73351,58257,5381,4763,1363,0321,523405
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