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利德曼 (300289)


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流通市值: 市盈率: 52周最高:6.86 52周最低:5.05

利德曼(300289) 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)
2020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-06-302010-12-312009-12-312008-12-31
5,58351,51436,18225,15611,68265,48052,35734,29717,15757,59838,89725,60311,32153,33938,46625,70612,52368,16844,80429,94314,69853,69730,31019,4927,68134,36327,33717,5497,81831,72722,48614,1516,45925,20811,27818,56214,32710,381
2,98123,34016,31511,4395,96133,20426,72017,6569,48625,83317,67111,6515,13123,90917,02411,3565,39328,78819,00713,8027,37120,49611,7207,7282,73312,6619,9416,5852,82811,9628,2585,0412,5529,6704,0716,5405,7194,194
-1,2673,1403,1562,0451,1557,2799,3995,9112,86611,7158,4935,8082,1159,5636,5514,9962,50019,85111,3137,2332,18516,1747,8085,1021,44812,52711,1817,4172,88111,1058,2525,4252,0898,3153,9486,1904,7803,456
-1,3673,1523,1782,0431,1577,2619,5466,0312,86811,9128,7135,8562,32210,7787,2805,2952,51020,90712,2157,9672,20516,7808,0165,3151,46012,82611,3967,4982,88911,4828,7965,8132,1118,3493,9496,2784,9483,509
-133558824072091,0451,3819625231,8101,4598763481,6151,1268513543,0952,0981,2653342,4081,4349102271,8191,8221,1605351,6541,3558933291,164607838806893
-1,3542,7972,2961,6369496,2168,1655,0692,34510,1027,2544,9801,9739,1636,1544,4442,15517,81210,1176,7031,87214,3726,5814,4051,23311,0079,5736,3392,3549,8297,4424,9201,7827,1853,3425,4404,1412,616
-0.040.020.030.020.010.100.150.090.040.170.130.100.040.170.110.080.040.400.500.320.100.840.430.290.080.720.620.410.150.670.510.350.140.620.290.470.360.23
29,08329,56827,45127,80327,53426,97224,82529,54124,35030,53722,25723,18419,61719,97017,29416,27816,77617,77712,38314,88613,82210,50928,81026,66929,92032,77736,23637,29441,29043,22044,29545,10452,4234,9566,07610,0764,2802,820
25,53529,37328,72929,90529,38729,01425,35827,28927,75128,35930,76129,69035,57139,24534,22335,39432,52134,02432,44431,89731,88533,41024,09221,66316,14413,34614,60114,00612,17311,98410,4789,0028,4677,4406,1843,8083,0402,214
9,8337,8098,9189,0668,5249,89910,05910,42710,1009,8099,8577,5507,1737,3588,4488,3288,3007,14910,5079,9689,3049,4765,2544,8084,8394,6304,1374,0133,2043,0481,9162,2742,7082,8552,6111,7972,7982,078
74,15574,86077,06078,86878,97383,90487,38990,43486,83389,30082,84180,20577,77476,04369,24469,74069,44272,68662,62567,07762,30966,42361,68157,12353,72653,69557,92658,34959,38860,00958,23757,57964,05116,68416,00416,57710,7777,317
--58,851--60,808--60,48060,80361,20461,45262,09162,25862,97463,43964,33265,07065,17865,94266,62865,94266,83967,81268,67263,73064,35265,34965,8318,9438,9757,9547,5376,5966,2186,1836,1736,0764,1093,5953,477
170,126171,416166,412168,108168,479172,924174,765175,095172,057175,389170,248168,233166,756166,284160,512161,113162,062165,868154,491160,846156,101161,617132,147126,758124,132124,398121,534118,475113,841113,01999,95791,08290,12936,56628,15325,87115,30011,391
17,16117,05819,45921,82221,97826,45924,10425,29323,87327,84324,54922,72923,69822,95919,44314,69716,64935,51133,19740,10332,61941,86929,09524,12123,47916,72813,46213,63810,99212,5243,8042,8075,1884,8897,9187,8993,2683,001
9,3229,3592,6092,6022,6662,7213,1682,9953,2145,0305,1187,3547,4149,65410,22317,08817,1914,3653,2335,24412,11910,4798,53415,27014,30822,55824,39324,39324,39324,39322,43817,08215,3509,6002,0002,0001,5000
26,48326,41822,06824,42324,64429,18027,27228,28927,08732,87329,66730,08231,11232,61329,66631,78533,84039,87636,43145,34644,73852,34837,62939,39137,78739,28637,85538,03235,38536,91726,24219,88920,53814,4899,9189,8994,7683,001
143,644144,998144,345143,685143,834143,744147,494146,806144,971142,516140,581138,150135,644133,671130,847129,328128,222125,992118,060115,500111,362109,26994,51987,36786,34585,11283,67980,44478,45676,10273,71571,19369,59122,07718,23415,97210,5328,390
28,51926,90226,90226,90227,04230,41130,41130,41130,41219,82519,82519,82519,82517,77717,77717,77717,77710,49710,49710,49710,49732,74632,74632,74632,74643,08443,08443,08443,0844,1734,1734,1734,1737,8357,8354,0252,8201,760
-84112,4659,0614,9954,2978,1024,0083,927-1,28212,0974,9615,049-4058,1786,9413,05546317,78214,3338,9564,732-1,321-2,379-2,332-4439,0455,7102,5602425,7866,6014,2761,8282,9344145,3463,1262,198
-390-2,588-4,098-1,808-1,302-1,613-2,010-1,260-1,012-1,081-722-680-161-2,331-2,420-1,640-443-2,472-2,838-3,589-3,176-13,802-676174-1,073-14,531-9,322-5,646-1,715-23,250-21,204-13,168-6,040-11,307-992-3,832-1,464-589
746-8,260-4,562-2,263-2,134-9,999-7,683-3,636-3,892-429-2,063-1,263194-3,799-5,014-2,915-1,020-8,030-9,610-9841,753-7,126-1,026-4,070-1,363-4,851-3,412-2,872-46856,34054,67549,40552,1984,712-1,3042,298-457-550
-4851,617520901835-3,509-5,685-969-6,18610,5872,1763,106-3732,048-493-1,499-1,0017,2791,8854,3823,309-22,249-4,082-6,228-2,879-10,337-6,867-5,812-1,90538,91040,05340,50947,987-3,662-1,8823,8101,2051,060
28,03428,51927,42227,80327,87626,90224,72629,44224,22530,41122,00122,93119,45219,82517,28416,27816,77617,77712,38314,87913,80610,49728,66526,51829,86832,74636,21737,27141,17843,08444,22744,68352,1604,1735,9537,8354,0252,820
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