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富邦股份 (300387)


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流通市值: 市盈率: 52周最高:8.44 52周最低:5.66

富邦股份(300387) 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)
2021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-312010-12-312009-12-31
51,10533,98018,52164,54351,74034,02319,40958,20349,70533,69515,37557,66549,49829,02615,20353,00437,16025,20712,54449,69238,33226,64113,18639,23526,72217,4289,09530,34522,11415,2027,02630,23121,67114,9156,14228,66226,54121,25617,163
37,04724,39012,69344,67632,45421,25811,94036,90832,50722,64710,32337,52033,91318,9349,99634,11722,63714,5757,83127,44920,90714,3497,22522,46015,46210,4535,68719,05613,7599,3594,12118,61613,3469,0223,45618,23417,81015,02812,117
4,7433,4602,6037,6468,4106,6734,3666,4547,4985,6302,0287,1656,9105,0281,9627,4456,4815,1591,7439,3208,3375,9792,5797,6625,0533,3681,6314,3133,5132,6801,4446,2704,2543,1501,3435,7914,8863,7743,208
4,7903,5032,6357,7638,3546,6224,3256,8537,4515,5962,0247,2357,0695,1551,9687,2936,4765,1541,7489,4158,3755,9862,5977,6915,1563,4511,7005,2263,9773,1661,4496,8954,2823,1691,3486,3135,0524,0253,225
5983953071,0578688212111,1468577972501,2057785672619276258712011,0421,2208544381,086673488265628476418201890655438176850564406360
4,1923,1082,3286,7077,4865,8014,1155,7076,5944,7991,7746,0306,2914,5881,7066,3665,8514,2831,5478,3747,1565,1332,1596,6054,4832,9631,4354,5983,5002,7491,2486,0043,6272,7311,1715,4634,4883,6192,865
0.140.110.080.240.260.200.140.210.240.170.060.250.220.160.150.550.490.350.130.690.490.360.140.520.370.490.240.850.670.570.261.250.760.570.241.140.940.80--
23,93733,65731,31436,77341,56726,30525,90723,5016,39311,00516,01717,63544,64546,54417,73710,43020,68835,01341,76228,79826,11729,08432,95328,78227,69021,51919,47521,86724,19931,1173,2353,4524,2785,7902,6611,870
20,82116,75419,28416,82421,89422,63524,49517,20720,33618,13418,34713,12920,27921,97827,23116,59121,35220,19218,50815,98417,82218,03517,14513,36015,36014,28714,14212,72913,61313,2579,7248,3845,3314,5303,5022,771
12,86311,49211,21111,27511,55510,72811,29511,99211,93510,0729,2269,56110,3138,35714,7049,2019,9029,9357,8367,7227,5316,7546,4865,6626,2486,5927,0436,3966,1774,6885,4734,1923,4593,1903,9902,537
81,99381,60779,45682,72590,04177,77781,43869,40558,91958,85764,54669,97083,56583,52474,59647,68466,02178,20677,39061,78057,43060,14064,16959,79958,52350,60750,82649,51651,70554,45825,74123,94020,37220,17812,4128,942
--19,908--20,449--18,831--18,758--17,477--17,72018,19018,80519,53217,80216,31714,46310,97610,54710,8718,7805,3655,5085,4335,5715,5575,6945,6285,7915,9166,0473,7653,2422,5291,836
171,319171,339168,588173,613175,290162,401165,345151,466140,637136,975140,605147,724158,390156,743149,100120,048143,133141,335137,662119,97287,55188,42291,48886,32284,24664,87563,21662,02263,65766,40337,67635,33829,73126,81016,03511,269
19,56820,06916,55123,10730,49738,40342,39432,21021,71719,82025,56734,02844,45644,95967,16939,53364,18864,15762,15247,26917,99516,16212,0409,7656,4485,1754,5444,7847,53310,0415,6934,6005,2137,8355,5525,739
26,08426,29126,35026,55619,3252302352403083133182992802852902953033083133187,13211,82811,76511,40211,5113523353403451,3501,3551,3601,3801,300----
45,65246,36042,90149,66249,82238,63342,62932,45022,02520,13325,88534,32744,73645,24467,45939,82964,49164,46562,46547,58825,12727,99123,80521,16717,9595,5274,8795,1247,87811,3917,0485,9606,5939,1355,5525,739
125,667124,979125,687123,951125,468123,768122,716119,016118,612116,842114,720113,397113,654111,49981,64180,22078,64276,87075,19772,38462,42360,43167,68365,15566,28759,34858,33756,89855,77955,01230,62829,37823,13817,67510,4825,530
35,49335,49335,49323,50123,50123,50123,50117,63517,63517,63517,63510,43010,43010,43010,43028,79828,79828,79828,79828,78228,78228,78228,78221,86721,86721,86721,8673,4523,4523,4523,4524,2784,2784,2784,2785,7901,9781,8701,087
5,0105,732-59510,080361-961-1,6618,6261,063-859-2,2485,8417,0867,8933,8344,10310,4023,2002,5359,44210,0766,6553,8868,0105,3681,697-1,469-1,206-2,089-34-3901,993-2,518-1,149-1,8344,4101,4051,1131,245
-14,064-5,502-258-12,534-2,838-2,564-2,583-3,739-11,578-5008,089-21,202-1,968-2,515-2,728-18,739-14,267-4,618-1,885-13,887-3,128-2,256-1,058-15,017-13,985-1,874-479-1,830-1,370-1,222-1,149-2,619-1,809-934-783-2,846-3,209-778-684
-2,540-1,459-5,53215,35420,3476,1336,867541-760-5,329-6,95522,69228,86430,9296,478-4,428-4,1607,27612,2584,239-9,195-4,4021,03513,71614,491-168-44521,47924,21528,9371,323-1992,0211,063270-3,1015,639463234
-11,711-2,044-5,46811,99218,0662,8042,4065,866-11,242-6,630-1,6187,20534,21536,1147,307-18,368-8,1096,21512,96416-2,6653024,1716,9155,823-348-2,39118,41520,74727,665-217-826-2,315-1,026-2,346-1,5123,812791783
23,78233,44930,02535,49341,56726,30525,90723,5016,39311,00516,01717,63544,64546,54417,73710,43020,68835,01341,76228,79826,11729,08432,95328,78227,69021,51919,47521,86724,19931,1173,2353,4521,9643,2521,9324,2785,7902,6611,870
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