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德威新材 (300325)


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流通市值: 市盈率: 52周最高:4.92 52周最低:2.42

德威新材(300325) 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)
2020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312010-12-312010-06-302009-12-312008-12-312007-12-31
15,177115,08386,05357,06924,776219,399185,847129,95158,790178,744142,06385,82037,016158,073139,07889,74443,359156,803113,53070,38830,837137,85192,96154,45722,369112,44069,05239,65618,62777,34054,17231,02613,75665,09153,17323,88645,95240,60327,405
13,75799,38074,14749,86223,551190,101159,587109,65349,163151,729121,45372,96231,560131,775120,83378,28838,716135,72698,59760,57026,696120,43080,55446,89719,43696,47058,18733,03315,75763,82744,65425,15111,31353,13143,70320,04438,35033,72222,676
-3,684-67,628-1,425569-3,668-7,9116,5956,6243,3592,8314,1051,0741,1629,2736,5333,6601,4417,6176,0003,9271,3857,1955,4203,0971,0657,5575,7923,2791,1506,6104,9043,0511,1746,6665,5022,2204,3103,7782,890
-3,562-69,891-175538-3,711-7,8656,7266,6523,4073,2124,4961,4091,2989,3246,5543,6321,4687,8606,3544,1601,5887,3395,5403,1811,0797,6775,8623,3461,1916,9415,0963,2401,2116,7085,7382,4704,7073,8932,898
30-10,5266244911731,0471,8221,3047531,1951,0956493461,4501,2126962611,3521,0527272791,2389495251581,2679204911611,1528255181891,098863372654892418
-3,592-59,365-79947-3,884-8,9124,9045,3472,6542,0183,4007609527,8745,3422,9361,2076,5085,3023,4331,3096,1014,5912,6569216,4104,9422,8551,0295,7894,2702,7211,0215,6104,8762,0984,0543,0002,480
-0.03-0.58-0.010.00-0.03-0.100.020.030.020.020.030.010.010.080.060.080.030.200.160.100.040.180.140.080.060.390.300.170.130.780.600.420.160.900.780.340.680.520.52
10,95616,26820,22853,40254,56273,82274,62682,57487,98585,41078,93683,74252,39165,69855,25486,15396,98444,67649,44535,18536,33439,13837,18434,45034,99139,81536,18838,96040,79148,34751,75451,80918,71521,90417,24014,58314,09110,12510,495
24,02021,85596,21272,269--74,323102,567112,567124,964111,071117,759107,547110,463101,44289,42984,46052,51052,51552,49550,70745,17445,64340,55136,20028,86736,88630,97224,25122,52621,23422,91518,88519,17918,28115,21513,67912,39011,4126,269
17,12212,47636,63232,64839,11518,55248,54355,10542,82242,93233,72534,83841,39336,91536,06622,80331,94619,56825,43027,13129,03419,64220,22721,02215,70712,02714,43515,48714,33012,05913,90211,4439,4899,7836,4525,8585,3902,0302,689
181,022185,858256,869259,727270,048280,824311,174318,494306,805303,394300,323280,216271,479255,261248,537236,445225,450148,662154,501138,923129,738125,996126,238115,458110,453112,222101,78196,09399,499103,077106,94698,57959,96363,50443,77137,47535,45128,10721,863
--72,070--74,738--80,08978,58372,13573,61475,30147,85754,69146,05246,90237,50538,20421,61222,21022,57122,37921,82522,00913,5368,6978,6508,8579,0428,7388,6558,9109,0009,2198,3938,5998,9487,1757,1167,5963,315
325,995333,533393,440398,195411,657425,053458,785464,406451,857450,862393,456374,012340,658325,819319,041306,446291,146214,774212,845196,788185,799180,910171,086155,319146,361144,978133,800121,768119,227122,708125,651112,91473,40677,13657,02450,39946,54737,26229,945
203,604207,503209,095214,075224,061231,231239,235243,632241,531242,786228,600211,524185,429171,475169,930145,525127,917112,171112,86699,26289,78487,72479,79572,30271,22371,21161,05051,55650,04054,55159,01347,02440,40644,55830,05526,20823,85419,97115,105
22,30822,35323,99523,25828,52128,56040,08840,87833,63033,6442,0082,0372,2382,23856714,71217,17117,17116,31116,31115,61114,12313,7337,394450045000000000--0----
225,911229,856233,090237,332252,583259,791279,323284,511275,161276,430230,609213,561187,667173,713170,497160,237145,087129,342129,177115,573105,395101,84793,52879,69671,67371,21161,50051,55650,04054,55159,01347,02440,40644,55830,05526,20823,85419,97115,105
100,083103,677160,350160,863159,075165,261179,462179,895176,696174,432162,848160,452152,991152,106148,544146,209146,05985,43283,66881,21680,40479,06377,55875,62374,68873,76772,29970,21269,18768,15766,63965,89033,00032,57926,96924,19122,69317,29114,841
8,13946,51346,51346,51346,51355,03255,03455,03455,03460,89160,88560,88560,88538,07838,07838,07838,07831,56931,56931,56931,56935,82935,82935,82935,82940,03340,03340,03340,03317,03217,03217,03217,03211,3489,0369,0367,2027,056371
3,526-67,162-46,264-20,7853,4432,198-22,056-10,589-9,298-24,448-2,660-8,207-32,469-35,311-34,259-33,028-20,1925,7409,728-5,137-2,2937,47711,5324,4937166,885-2,685-3,489-3,6678,8453,547-507-469-3,2777,5433,0072,826166,401
-532,7012,0462,2491,771-8,027-10,792-7,239-629-64,419-11,642-6,0464-8,450-18,513-2,167-1,209-11,672-9,231-6,177-1,965-22,111-19,599-12,939-9,738-13,343-11,296-4,559-2,592-10,435-4,716-8260-2,275-3,056-166-2,358-1,472-3,641
-5,65725,92210,21815,650-8,263-3,15515,155-1,9642,93083,73518,72422,78517,94566,00261,14777,28972,65212,3917,9536,2973,92610,3946,2792,2985,0182,2722,5804551524,60526,54028,802-2,74311,198-2,181-4,2071,3651,6033,925
-2,188-38,374-33,644-2,780-3,066-8,519-17,321-19,760-7,049-5,8574,0778,204-14,51022,8078,38642,09651,2206,5098,455-4,950-336-4,259-1,794-6,158-4,018-4,204-11,380-7,573-6,24423,00125,37228,213-3,1525,6832,313-1,3661,8331466,685
5,9518,13912,87043,73443,44746,51337,71335,27447,98455,03464,96369,09046,37560,88546,46480,17489,29838,07840,02526,62031,23331,56934,03429,67031,81035,82928,65232,46033,78940,03342,40345,24513,88017,03211,3487,6699,0367,2027,056
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