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科恒股份 (300340)


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流通市值: 市盈率: 52周最高:24.88 52周最低:11

科恒股份(300340) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-312010-12-312010-09-302009-12-312008-12-312007-12-31
82,34838,215220,229164,551118,49660,860206,060131,98374,69632,51578,69941,67925,46611,27039,13327,76218,4508,34738,97028,99019,0148,42637,96728,99519,8378,96152,72940,71330,329108,84336,20427,96625,54322,47427,150
70,04032,081185,735140,445101,09951,965168,898106,54660,13226,93267,88737,59923,00710,05338,03926,26417,2197,89136,26126,10316,4927,34933,68726,77117,9947,93641,96031,32123,03979,28029,09822,55519,49818,53723,556
3,0162,4436,3145,3043,9063,05914,63514,6086,0572,2783,1571,054813219-9,651-2,340-1,241-607-5,442-1,8769235122243683724,5855,8634,71821,7463,8913,0313,0171,9822,118
2,9572,3565,6125,2563,8703,01913,62515,0826,3782,3463,521730487214-9,740-2,309-1,203-616-5,609-1,854112624986963833774,9256,4775,36922,0024,1123,0973,1132,0522,145
469124-2111301241671,3501,50828127313312474-8-1,400-37-25-701-142142110818253566651,5431,2203,238567466405429434
2,4882,2325,8235,1263,7462,85212,27613,5746,0982,0733,388605414222-8,340-2,272-1,200-621-4,908-1,71298413905143293214,2604,9344,14918,7643,5462,6322,7091,6231,712
0.120.110.270.240.310.241.041.150.520.180.330.060.040.02-0.74-0.19-0.10-0.05-0.48-0.160.010.000.030.050.030.060.971.231.115.000.950.700.830.500.57
25,50431,58135,67033,07929,06836,26237,27332,83726,64916,71922,5647,93212,39024,51730,05330,19029,44633,34934,67838,29343,44546,77140,25641,31546,99652,71356,19356,9361,6603,4451,5801,7613,624563586
93,54090,322100,842100,763104,88094,26382,08867,81648,96543,99542,79828,83826,76723,19422,24124,09222,06021,11621,23221,10121,61918,96217,37317,70820,12219,90520,70019,30020,89421,7219,54011,1619,1466,6518,922
91,67792,03475,40876,28686,292100,65188,03294,06072,90065,10944,59410,68910,31312,77410,30511,89814,01214,47412,35115,06515,70217,37016,91517,91716,05414,77513,66813,45920,50412,7254,7805,5354,3242,557781
228,138232,187227,555228,643235,121253,708229,753223,414177,676150,744130,16055,80256,76868,27770,46974,84874,87879,28979,31088,41790,02892,48187,26588,79291,670105,964100,707102,03753,15641,00216,55118,86717,3139,89910,860
34,215--35,13728,47028,00527,87527,79118,36518,36618,66518,97816,35616,38316,18016,58315,99315,94014,78715,1178,6258,6828,6798,7866,6126,2005,2955,1364,9275,0125,3274,2724,2804,0303,9442,206
364,075368,107361,558360,897364,096374,883344,528332,344274,779240,258216,36697,76897,853103,49694,99897,48697,429100,575100,834108,030109,284111,041105,600102,650101,846113,427107,655108,16459,39647,44422,07024,15422,34614,28814,172
191,652192,930187,869189,019193,919210,824186,477183,363138,682108,24086,44217,03017,30623,24014,96412,05710,92813,49513,13317,13316,57718,19212,79110,3729,80620,08914,60814,89122,26914,2997,52610,85311,6769,05510,562
25,92028,49429,39927,69624,84615,69615,7823,7451,2381,2381,21857757757757754754754754754754754754754112419447001653300--00
217,572221,424217,269216,715218,765226,519202,259187,108139,920109,47887,66017,60717,88323,81715,54112,60411,47514,04213,68017,68017,12418,73913,33810,4269,91820,50715,05514,89122,26914,4657,85610,85311,6769,05510,562
146,503146,683144,290144,182145,331148,364142,269145,236134,859130,780128,70780,16179,97079,67979,45884,88285,95386,53387,15490,35092,16092,30392,26292,22491,92892,92092,59993,27437,12832,97914,21513,30110,6695,2333,610
11,54611,54614,34814,34814,34814,34820,83520,83520,83522,56424,18224,18224,18224,18234,67834,67834,67834,67840,25640,25640,25640,25656,19356,19356,19356,1933,4453,4453,4451,5803,6243,624563586165
11,7051,5314,162-12,908-18,361-11,800-9,976-3,567-8,314-2,944178-3,059-2,112-3,248-6,204-613-1,510-1,245-1,203-3,317-1,5213932,577252-1,417-3,076-4,447-3,750-7,696612-437-8451,985628995
-2,157-1,300-24,950-17,622-13,823-3,907-22,548-15,304-10,284-5,919-28,736-18,119-15,593-2,293-2,231-1,723-1,488-983-5,015-4,704-1,555-583-8,528-5,822-2,543-784-2,212-775-740-1,306-1,046-1,002-1,616-1,344-1,573
-17,809-5,25717,98524,94224,28910,14826,03815,14913,3153,01825,2104,9285,5132,165-2,060-2,152-2,2348996406,0596,2656,706-9,986-9,308-5,23638059,40758,0156,6512,558-560-152,692692998
-8,261-5,027-2,803-5,585-7,895-5,559-6,486-3,727-5,288-5,845-3,348-16,250-12,192-3,376-10,495-4,488-5,231-1,329-5,578-1,9633,1896,516-15,937-14,878-9,196-3,47952,74853,491-1,7851,864-2,043-1,8623,061-23421
3,2856,51911,5468,7636,4538,78914,34817,10815,54716,71920,8357,93211,99020,80724,18230,19029,44633,34934,67838,29343,44546,77140,25641,31546,99652,71356,19356,9361,6603,4451,5801,7613,624563586
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