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安控科技 (300370)


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流通市值: 市盈率: 52周最高:5.17 52周最低:2.28

安控科技(300370) 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)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302012-12-312012-06-302011-12-312011-06-302010-12-312010-06-302009-12-312009-06-302008-12-312008-06-302007-12-312006-12-31
15,3174,680128,67870,14840,94220,108137,10575,36140,92811,852176,63778,34229,36910,23193,46531,38612,5773,15254,76526,02713,1741,54342,83923,60910,0584,12233,77917,6588,85025,9806,61420,5526,23315,7352,31711,2481,5227,5841,4644,3304,040
13,2444,24793,20949,20526,58812,955104,26348,68126,6517,045125,66756,65021,2518,04560,86118,5627,0141,81932,33216,7959,21994924,03314,2966,7673,37917,9899,4294,37212,5423,42910,0583,5467,5358455,3357634,0427862,6512,884
-11,503-5,451320-298160-162-56,4212,020-1,619-1,78119,1824,805-1,295-2,51711,26118-1,906-2,1278,780371-1,251-1,4626,3761,328-1,658-1,6995,8511,5673104,871-5884,3603063,609-6182,102-715483-628492-8
-11,991-5,44416-24192-158-56,1852,122-1,612-1,77019,1724,866-1,228-2,43212,207373-1,818-2,0589,385555-1,109-1,4346,6151,380-1,622-1,6556,0851,6924465,301-5444,7953894,065-4682,447-633636-620637143
-1,284-255-157-90186-30-550456-206-2362,718577-252-3311,900-71-414-3221,248-13-171-191923199-248-24283932094686-78655895583329561805922
-10,706-5,189173656-127-55,6351,666-1,406-1,53416,4544,289-976-2,10110,307444-1,404-1,7358,137568-938-1,2435,6911,181-1,373-1,4135,2471,3723514,616-4664,1403003,507-5012,153-639618-620578121
-0.10-0.050.000.010.000.00-0.57-0.01-0.03-0.020.110.02-0.01-0.030.160.02-0.02-0.060.330.03-0.04-0.130.580.12-0.14-0.291.170.280.081.04-0.110.940.070.81-0.110.49-0.140.14-0.140.140.05
6,4934,67011,5478,32114,53324,07336,95026,04131,31332,50735,20626,75352,35930,50263,08131,2938,4058,86312,0886,9629,3048,04414,2197,7777,95914,9658,3313,2986,22012,1643,2796,7711,2892,186158271937263294682721
63,37173,72881,677103,290104,346103,914109,336120,289119,392108,590116,69278,42960,71657,92870,52856,63348,75241,74147,14734,27329,06026,71731,34630,30924,56822,26721,47121,42617,45718,12514,12511,97410,24511,0195,9057,6903,7655,2462,5902,8182,555
32,43162,24160,80777,01772,27771,39168,23967,27654,37857,02051,38255,73646,63639,47430,54233,27327,88823,68421,16124,61327,36730,68117,83217,70718,49814,23812,28713,70010,4376,9477,8886,3107,6834,4943,1122,7752,9752,5563,1202,4612,596
164,955187,863204,946244,046241,450253,150268,297275,941251,892244,552241,598203,184184,274150,454185,558138,80898,67485,03390,88871,01571,22172,28969,94162,64154,13055,23255,77051,03442,69042,81130,83030,02520,75718,96010,20411,5528,4168,6577,2976,6256,400
30,271------33,274--35,02735,01232,82532,43533,11329,84427,80127,95628,42323,48816,89917,09217,37316,38816,03516,03716,28710,48810,5892,1671,9541,9011,9451,7001,6641,6121,5061,1271,033867714745769661761
314,859348,018365,178388,988393,231412,635428,981468,268444,412429,645424,772368,255298,931256,719285,351229,872169,899150,363154,211102,83092,16292,20989,76778,58170,22867,45758,54753,59245,39145,03632,87531,89422,37820,22011,25112,5669,1299,4298,0757,3007,170
210,715223,929234,444251,701225,261210,344222,073209,458190,161175,898171,632147,293106,41387,662114,532102,82786,10565,64168,24158,63450,20849,19945,54038,92233,12329,17633,76028,13025,19925,19618,11716,67011,0679,2093,3915,0103,8213,5463,4091,9923,208
16,63728,02329,47033,08165,303100,274104,806102,216100,88397,16695,26779,39161,10237,36737,3763,5383,3193,2103,171279114845800004,2500000000000000
227,352251,952263,914284,782290,564310,618326,879311,674291,044273,064266,899226,683167,515125,028151,907106,36589,42368,85171,41358,91350,32149,28345,59838,92233,12329,17633,76032,38025,19925,19618,11716,67011,0679,2093,3915,0103,8213,5463,4091,9923,208
87,50896,066101,264104,206102,667102,017102,102156,594153,368156,581157,873141,572131,416131,691133,444123,50780,47681,51382,79843,91841,84042,92644,16939,65937,10438,28124,78721,21220,19119,84014,75815,22411,31111,0117,8607,5565,3085,8834,6675,3083,962
10,17410,74518,16718,16718,16718,16729,33229,33229,33229,33261,51661,51661,51662,37310,94810,94810,94810,94814,00814,00814,00814,0088,0098,0098,0098,00912,04412,04412,0446,7316,7312,0262,026271271263265682682721923
-2,379-1,77834,86920,11715,544-485-22,595-34,997-23,852-14,447-43,002-38,163-18,837-12,621-7,148-9,489-6,134-1,884-160-2,435-4,642-4,477-3,455-12,940-10,598-6,717-2,072-11,535-7,5121,469-5,7812,110-3,9111,538753-256153-404-280-983-940
6531594,3462,7532,229-196-18,909-22,628-16,254-6,381-52,377-42,568-16,184-7,380-33,027-16,076-3,075-3,889-25,017-13,551-4,686-1,869-7,729-4,726-4,113-1,582-5,503-5,044-476-512-174-4,598-1,294-404-216-276-16-153-82-130-367
-3,507-6,042-46,638-32,990-28,212-10,87930,38637,59228,42117,52763,37343,76224,059-13,35290,72945,2306,2422,56622,1048,7944,49022417,18317,40914,64615,0483,5407,8062,0664,3562,4697,1944,468622-649540537138-251,0741,104
-5,234-7,661-7,423-10,118-10,440-11,567-11,165-20,085-11,743-3,368-32,184-36,981-10,967-33,35250,56819,665-2,967-3,207-3,060-7,190-4,840-6,1225,998-257-656,748-4,035-8,772-5,9215,313-3,4854,705-7371,756-1138674-419-388-39-202
4,9403,08410,7458,0497,7276,60018,1679,24717,58925,96429,33224,53550,54929,02161,51630,6137,9817,74110,9486,8189,1687,88614,0087,7527,94414,7588,0093,2726,12312,0443,2466,7311,2892,026158271939263294682721
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