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博腾股份 (300363)


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流通市值: 市盈率: 52周最高:36.5 52周最低:8.49

博腾股份(300363) 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)
2020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-312010-12-312009-12-31
39,057155,130108,15062,45225,249118,48683,66950,99721,232118,40982,96459,32535,727132,66391,41361,28328,539102,12174,14453,68127,77398,72657,36936,78919,31173,43658,91836,28020,47468,98855,25745,58328,854
24,23996,42867,56339,25217,23478,83755,31733,17114,02574,90050,00536,41121,60480,04457,04336,01517,09268,87250,83438,00919,56662,47535,74722,70711,82544,77636,41522,27511,95444,98736,67331,83018,398
5,65419,46915,9907,7582,15215,3969,8723,8462,25411,4568,0957,0326,51320,75915,24911,8715,49612,9079,7116,6043,85914,2717,7495,1533,43511,58911,4956,8995,0369,9847,4735,9044,562
5,52419,34216,0377,6152,15613,2879,8213,8302,24911,4748,4307,2446,62620,53315,18411,5275,30313,17610,1916,7653,89814,7858,0215,3143,49112,04912,0056,9595,02210,0317,9056,1614,711
8121,3802,4651,0835052,1425486574342,0242,2561,7191,1944,2883,5412,4968632,6122,1891,4578632,5271,4811,1525511,9712,3311,4001,0631,9211,7151,4461,340
4,71217,96213,5726,5311,65111,1449,2733,1731,8159,4506,1745,5255,43216,24511,6439,0324,44010,5638,0025,3083,03512,2586,5404,1622,94010,0789,6745,5593,9598,1106,1904,7153,371
0.090.350.250.120.030.260.230.090.050.250.170.140.130.410.290.220.110.270.200.200.111.160.620.400.271.040.990.570.410.830.650.540.43
122,218117,468127,302129,091111,677149,055170,770171,82623,08230,65610,29728,60668,88045,85627,21325,11511,27310,92519,52019,42825,74429,08517,87823,37030,1248,88310,23313,78412,26710,8815,337
33,05834,93336,34934,36321,25225,25532,11233,45623,33526,57121,56014,28823,71330,02620,18930,69824,71226,29418,78220,32316,04729,30317,51313,3649,7538,8778,39211,6937,2015,9741,491
37,83534,28736,96037,68232,35726,96428,95231,09028,45526,99032,87829,15326,43329,21733,74932,58632,21028,13725,03816,84914,70415,21918,38316,16816,57118,84714,19413,1269,8387,7715,536
198,699192,652208,139215,106230,497275,965249,385245,77580,58089,14071,53578,300125,365111,31692,26198,78077,68277,22176,15766,75666,26981,17262,60862,14466,02243,87636,00743,97132,57126,56213,115
--124,469--119,258--119,628119,189144,209144,679147,495138,801138,611138,436139,862106,02489,64993,13493,06087,99283,91464,24765,22836,28729,49424,39823,90619,37718,72516,47214,92115,223
403,101395,548404,861410,541424,672437,444410,771441,405277,427284,807264,631271,303301,578287,145263,376266,072243,109237,940228,610187,570179,873185,496156,345150,834124,93294,80978,81479,10857,43246,04130,455
62,68664,71988,540100,780116,179123,34275,525100,63480,04097,52090,70297,482129,086131,780113,068116,49292,06589,00288,71276,43378,03788,71968,46864,52644,65048,66236,11138,53327,09024,42220,110
28,66124,39716,15517,24618,77625,78145,58747,42951,04142,36631,78832,33932,57218,35722,12724,09730,18630,98430,24320,47513,2729,3346,1096,3337,1743,3054,5397,7995,7415,2982,185
91,34789,116104,694118,027134,955149,123121,112148,063131,081139,885122,490129,822161,657150,137135,195140,589122,251119,986118,95496,90891,30998,05374,57870,85951,82551,96740,65046,33232,83029,72022,295
311,755306,432300,166292,514289,717288,322289,659293,342146,346144,921142,141141,481139,921137,008128,181125,483120,859117,955109,65690,66288,56487,44281,76879,97573,10842,84338,16532,77624,60116,3218,160
107,138134,570134,570134,570134,57027,73027,73027,73027,73044,61644,61644,61644,6439,3889,3889,3889,38827,48527,48527,48527,4857,7347,7347,7347,73412,96012,96012,96012,96011,93810,0614,587300
10,06135,13716,72610,9091,07419,362629-3,4773,07428,94619,89527,65915,20828,53320,80610,3443,95911,23113,78614,21016,58912,192-8,948-5,236-1,57211,40511,5017,1195,64411,4216,5433,5753,199
-5,28717,45523,18018,488-28,524-65,592-4,193-9,284-5,632-31,769-28,714-26,357-6,241-19,777-14,103-8,467-4,232-50,417-35,475-26,617-14,515-34,071-26,152-16,166-10,383-18,404-11,765-7,200-4,178-13,858-8,197-7,347-741
5,524-80,481-61,279-45,071-11,865152,014143,142154,742-4,200-13,751-27,887-18,439-4,25425,6579,80512,80899221,38812,4323,707-4,68142,02645,03236,42933,2091,784379-3,5404,3733,4053,5789,6331,812
9,419-27,432-22,011-15,668-39,665106,840139,830141,843-6,859-16,886-36,381-16,8074,71235,22816,99414,852828-18,097-9,359-8,687-3,36019,7519,61015,02921,287-5,22675-3,7185,6601,0221,8775,4744,288
116,557107,138112,559118,90294,905134,570167,560169,57320,87127,7308,23627,80949,35444,61626,38224,24010,2169,38818,12618,79824,12527,48517,34322,76329,0207,73413,0359,24218,62012,96011,93810,0614,587
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