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鸿利智汇 (300219)


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流通市值: 市盈率: 52周最高:9.89 52周最低:5.08

鸿利智汇(300219) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-03-312009-12-312008-12-31
184,52294,270400,316293,804192,47787,373369,926257,978162,56269,211225,811157,13999,40544,043159,232113,45369,34828,773101,76768,66142,58817,71273,54249,23331,84913,59753,00639,57825,72411,03754,90540,26327,27612,00543,7518,87425,65923,217
147,70774,828307,898224,202148,59768,216294,395204,707129,62255,262172,309118,31573,20632,036117,82783,75650,78920,49176,41252,33332,40113,23655,29437,17923,94610,24936,44526,58917,1227,39736,45926,62317,7587,41628,1725,87917,07116,919
-78,5048,55819,19433,93620,0157,73635,26623,14214,0866,27612,50221,05714,7477,73818,40512,8507,3183,6559,5135,5993,0141,0176,4763,7642,4836735,5265,4483,8151,4268,7206,6204,7622,0967,3391,4943,1952,523
-74,89211,88425,25841,41927,39710,91140,77830,93520,6599,56516,07224,00617,0428,00719,68013,7267,7933,87811,1226,5683,7681,5477,5884,8082,8321,0555,9605,7073,9481,5458,9776,8414,9322,1257,5131,5553,3142,492
2,6331,7816,5556,4474,1551,6995,5034,7863,0391,5802,2444,7063,2621,5103,1012,3381,3238311,7259996151211,2158905271519228936262461,5301,6281,1724831,189201605287
-77,52510,10318,70334,97123,2429,21335,27526,14917,6207,98513,82819,30113,7806,49716,57911,3886,4693,0479,3975,5693,1531,4276,3733,9182,3059045,0384,8143,3221,3007,4465,2143,7601,6426,3241,3532,7092,204
-1.080.140.290.490.330.130.510.380.260.120.210.300.220.110.250.420.230.110.370.220.130.060.250.150.090.030.190.180.130.100.670.480.380.180.720.150.410.33
29,34544,78042,43548,13068,07555,40955,67875,05855,96965,68773,94094,26393,74225,66940,51832,31426,29726,88630,37431,92527,59830,76331,14927,23030,09732,76934,02032,78633,50743,20746,24541,25548,4006,8087,3362,4081,806
115,308114,413107,62992,34984,18489,82385,73151,28378,13266,16851,69246,34644,66440,26032,44936,44832,35325,50829,33123,45321,53617,34017,23215,35115,71312,44912,11311,58412,40910,67011,53311,14011,90410,3978,4046,5644,520
45,65039,76542,25144,86747,06750,47442,54443,45743,24939,85229,45727,74324,28324,10017,20117,82120,95517,27913,1909,7749,4237,4657,1219,24110,1838,0287,3449,7808,9077,9197,4049,7809,7809,3247,3943,9583,255
237,931257,820222,044204,427225,203225,041214,948185,414197,532183,694165,225177,954167,45095,44695,85791,61684,78976,04178,59769,64062,59259,68758,61655,39660,03656,19055,82458,20560,75165,25068,66765,75571,79327,75723,79213,9369,975
106,877--111,464105,560109,187109,393107,89386,44386,32086,22686,69971,81759,50559,97859,89656,58651,65749,61450,49839,89138,60837,94638,40736,70136,49536,04036,29834,35512,68212,18011,01911,31011,37510,60210,4996,5315,855
389,517489,781474,514492,884511,497510,536497,195431,806447,511355,295332,790330,767305,171211,637206,269193,632174,213156,523157,176125,813114,233106,676105,53896,508101,00396,76996,47296,86391,89890,37189,66483,82287,88542,48238,03521,16816,549
178,821159,459150,484147,773168,411183,560172,248100,791144,119118,41399,48397,92983,48175,04472,78265,42960,18648,72352,53533,83626,56220,49721,30615,47317,68614,12414,51915,24912,72311,99212,8239,51215,02918,49316,3459,60611,280
17,86327,20130,43136,16647,24641,05645,46767,92444,34439,03943,41242,06637,86230,23825,54924,78314,92112,14412,3352,7672,5852,7302,7474,2914,3554,3484,5604,4444,0944,0943,8553,5563,5563,4242,7663,861893
196,685186,660180,915183,939215,657224,616217,715168,715188,463157,452142,896139,995121,344105,28298,33290,21275,10760,86764,87036,60329,14723,22724,05419,76522,04118,47219,07919,69216,81716,08516,67813,06818,58421,91719,11113,46712,173
192,833303,120293,598308,945295,840285,920279,480263,091259,047197,843189,895190,772183,827106,356107,937103,41999,10695,65692,30689,21085,08583,44981,48576,74478,96278,29777,39377,17075,08174,28672,98670,75469,30020,56618,9247,7014,376
40,43840,43849,09049,09049,09049,94067,86267,86267,86267,86234,16434,16434,16434,16426,45726,45726,45730,37430,99731,30831,14931,14934,02034,02034,02034,02046,24546,72546,24546,2456,6076,6676,6676,6071,9261,9261,8061,011
16,18810,60764,95051,35938,73811,83511,28410,527-5,061-36223,45519,1888,9391,44923,57517,1265,51619020,83010,8421,8991110,8466,0994,0902,1888,5896,9675,9021,5422,765-929-962-2,0999,009-1,6153,7213,257
-18,768-12,458-52,959-46,063-37,730-9,277-54,623-35,040-15,637-8,388-65,206-37,150-35,608-16,044-36,876-30,211-14,437-6,566-26,967-9,126-5,068-756-11,017-9,846-5,170-3,371-18,559-18,040-14,344-4,528-10,807-9,151-3,989-1,400-7,234-1,314-1,239-2,081
-15,4582,367-20,821-10,06811,132-1,98925,56124,1391,81266174,69471,81581,2783,28820,54111,9805,7262,8101,706-1,065-418321-2,889-2,893-2,725-30-2,254-2,889-4,307-5147,70944,70446,5063,2622,9256,527-2,327-357
-18,055438-8,652-4,75811,90134-18,772-978-19,200-8,20233,69854,10854,721-11,3477,707-751-3,104-3,488-4,540617-3,551-385-3,023-6,791-3,923-1,251-12,224-13,939-12,738-3,03839,63734,58841,532-2484,6813,592120795
22,38340,87640,43844,33260,99149,97449,09066,88448,66259,66067,86288,27288,88422,81734,16425,70623,35226,88626,45731,92527,59830,76330,99727,23030,09732,76934,02032,78633,50743,20746,24541,25548,1996,3596,6075,5181,9261,806
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