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流通市值: 市盈率: 52周最高:16.13 52周最低:8.1

同有科技(300302) 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)
2020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302010-12-312009-12-312008-12-31
1,90434,54523,68513,8244,98937,74831,25822,45511,22537,96221,53212,7736,88847,15227,48017,5724,96436,11219,04811,6403,25424,65315,91410,4133,08622,11514,4429,7203,13420,09911,9888,7712,83023,62616,30820,87214,65910,912
1,23319,80913,7187,9003,25325,65321,44115,4617,92424,86414,8738,2333,86126,13315,4119,8572,74321,16510,9416,8181,78015,15110,0376,4741,81014,5979,2656,2001,84812,9877,6605,5751,65915,12510,15714,31110,7668,227
-1,663765106429-9412,1172,7702,0571,4675,6751,5321,0081,11612,3456,1613,7033847,0372,5901,371602,619724602-2391,9311,2151,2202293,3231,8401,4212004,8533,4063,7421,552626
-1,661793106430-9262,1202,7732,0491,4595,8541,9701,3271,34014,9897,6335,1098777,6232,9301,5691262,955963790-1962,2321,3581,3422683,3881,8841,4362044,8883,4203,7441,570625
-317-329-279-145-220982892431837711951361622,1131,057706931,033370187-13627672--270159176324482241651173477255420366
-1,3441,122385576-7062,0222,4841,8061,2755,0831,7751,1911,17812,8766,5764,4037836,5902,5591,3821272,593887718-1961,9621,1991,1662362,9401,6601,2721924,1542,6473,1901,366559
-0.030.030.010.01-0.020.050.060.040.030.120.040.030.030.310.160.100.040.340.130.070.010.240.080.07-0.030.330.200.190.040.520.300.240.040.920.590.710.310.13
7,80713,5799,7409,88612,51115,89416,71512,86620,47125,51819,46017,56624,94954,91126,26331,74852,33862,91027,90526,38028,16930,24925,51426,28126,58829,35529,39532,47232,37436,54536,05236,49537,32812,2299,36310,6824,3893,542
25,56630,88427,98323,88821,92317,06915,79820,97616,56415,89812,59116,36716,39113,3249,5537,3695,9679,35214,47314,00311,08112,89815,81514,51710,54911,73111,2199,6838,0477,4746,7027,4335,9145,5638,2004,1412,8862,832
10,2589,0468,5699,6929,8397,2507,0646,6317,1237,4289,1569,0119,0147,2337,5118,3329,5607,7165,4324,0654,5853,9072,2212,5682,6552,4571,9821,6712,1411,9851,8001,1861,3321,4411,5381,4612,2031,338
51,66559,23753,05050,07250,73145,51646,32745,78645,64149,99373,60971,86077,21777,48569,46368,27168,65480,89249,31846,85045,46048,70844,95345,69342,57445,06643,64244,69943,79647,32148,38448,93148,39822,72522,48617,45710,9478,864
--7,951--8,125--7,5917,6377,5277,5787,6917,8558,0268,1288,3218,3688,5028,6238,7637,9308,0847,9628,1177,8677,9688,0318,1247,4791,1121,101739770653346364377386270267
147,821155,460148,550145,604145,98990,22190,22188,61088,42491,96583,30381,84487,43387,96280,12679,13979,64992,14060,02357,69756,04859,53554,82955,32851,89154,48852,37652,16350,95453,79549,44749,83248,97823,33123,23217,93211,2689,167
17,02223,37417,04214,03763,6027,9009,8469,4649,51314,15510,4839,51313,02314,76615,18316,42419,69933,1715,3304,3813,8147,3704,4005,7952,9295,2874,2654,0443,2456,2883,1983,9553,5766,0377,1795,3155,1985,363
14,99715,05615,10315,1751,3486567047558068649651,0391,1191,2001,3511,4341,5171,6011,6361,7171,5951,6531,6228979409826556967377707918088128168203200
32,01938,43032,14529,21264,9508,55610,55010,21810,31915,01911,44810,55214,14115,96616,53517,85721,21634,7726,9656,0985,4099,0236,0236,6923,8696,2694,9204,7403,9827,0583,9894,7634,3886,8537,9995,3475,1985,363
115,802117,031116,404116,39281,03881,66579,67278,39178,10576,94771,85571,29273,29271,99663,59161,28258,43357,36853,05751,59950,63950,51248,80648,63748,02248,21947,45647,42346,97246,73745,45745,06944,59016,47715,23312,5856,0703,804
13,57915,89415,89415,89415,89425,51625,51625,51625,51654,90654,90654,90654,90662,91062,91062,91062,91030,24930,24930,24930,24929,35529,35529,35529,35536,54536,54536,54536,54512,20212,20212,20212,20210,65510,6554,3893,5421,787
-2,516-1,590-2,506-1,251-1,241-3,108-5,609-9,810-3,7975,228-3,059-8,534-4,826-6,959-10,559-9,941-10,39528,064-1,336-2,722-1,6562,995-2,184-1,928-2,074-3,636-4,898-2,471-3,727623-2,477-2,316-2,6344,3229393,1965011,930
-102-23,054-23,028-22,863-6,376-5,482-3,006-1,957-1,082-32,191-30,146-26,670-25,114-59-25,116-20,248-176-1,566-1,021-758-423-1,801-1,357-1,146-694-3,074-1,772-1,158-444-3,302-715-484-139-2,606-2,118-641-29-146
-3,15422,31719,38318,1404,289-1,119-207-872-40-2,225-2,060-2,0600-1,080-972-97206,16314-3890-300-30000-480-480-444027,02227,04227,09327,898-168-1403,712374-29
-5,772-2,315-6,154-6,008-3,382-9,622-8,801-12,650-5,047-29,390-35,447-37,345-29,961-8,004-36,647-31,162-10,57232,661-2,344-3,869-2,080894-3,842-3,075-2,768-7,190-7,150-4,073-4,17124,34323,84924,29225,1261,547-1,3196,2678461,755
7,80713,5799,7409,88612,51115,89416,71512,86620,46925,51619,45917,56124,94454,90626,26331,74852,33862,91027,90526,38028,16930,24925,51426,28126,58829,35529,39532,47232,37436,54536,05236,49537,32812,2029,33710,6554,3893,542
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