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首华燃气 (300483)

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流通市值: 市盈率: 52周最高:28.4 52周最低:11

首华燃气(300483) 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)
2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312012-12-312011-12-312011-06-302010-12-312009-12-312008-12-31
106,38049,766182,356127,64289,21047,301152,554104,18769,42032,551153,065108,17076,09140,63733,86218,32114,0648,85138,49223,92319,20811,87732,06620,25016,17611,01438,49324,78319,22011,65538,78825,19219,85610,60937,19529,79525,97612,92820,05213,95812,794
77,19533,858135,61886,01260,53829,48597,22363,41942,16917,22278,74549,56334,66018,32026,82714,42811,0026,74129,41917,93714,4668,75924,03915,03912,0188,00928,67818,28914,0908,22427,79418,49814,3777,44127,07620,81418,5129,24014,1359,9319,249
14,5188,50519,24118,96713,54610,60036,52527,68321,20215,59142,41634,86126,07614,8103,9952,7842,1831,2591,1743691,0001,0941,4621,1051,3471,0442,4811,5891,9411,5533,5611,6042,0061,6744,0263,9273,0221,5462,6131,7171,124
14,5468,53419,27918,99813,55810,58835,30727,69121,20215,58638,89031,45823,47814,8114,1442,9182,3181,3801,2821,1601,6231,1412,1451,7321,6791,3572,8601,6421,9971,5534,0291,7152,0451,7444,5884,1883,6451,6403,0011,8491,279
4,1731,8625,4224,6823,0702,1606,4954,6903,2022,5627,6045,9554,7972,7871892942942386274004663557215104362906244904723068484914933801,052900763414700434329
10,3746,67213,85714,31610,4888,42928,81223,00118,00013,02531,28625,50318,68012,0233,9552,6232,0231,1426547601,1587861,4251,2221,2431,0672,2361,1521,5251,2473,1811,2231,5521,3643,5363,2892,8821,2262,3001,416949
0.240.160.240.270.200.190.850.670.580.450.720.590.460.380.090.060.110.090.090.120.180.120.240.210.210.180.430.240.340.280.720.280.360.310.780.750.760.320.590.360.30
38,87245,246139,04534,31330,32725,18529,07444,69526,46850,53061,27872,21929,72124,92927,1471,5521,0513,64122,64920,49617,00211,90811,81212,22414,74821,49117,48819,49026,7037,3287,5667,1446,3364,8304,7152,6841,6302,878
15,60518,70610,83912,75516,53422,27711,76419,66715,45425,65423,04021,82529,765--30,957--8,69810,50713,82210,84511,96121,45017,88811,39011,98014,35918,22911,01712,05215,33814,0869,6148,7285,2052,7633,8953,4802,618
4,5124,5554,3925,3865,0094,9665,0155,1314,2505,0895,4084,6204,0483,7674,5206,0317,0496,5365,9085,6775,7216,5157,5737,2396,9156,8867,0837,1706,2436,7757,2146,9894,5313,5432,9592,9001,9371,630
165,843172,722170,62365,92070,06470,32868,83681,30663,41596,357109,323112,62481,45170,65275,84516,93818,39823,05845,78539,11236,11642,75539,60431,99234,68344,33744,89138,74045,71232,43731,23326,87221,17015,38511,75110,7517,6838,131
75,920--80,303--78,424--80,087--74,895--74,314--48,368--41,9026,3996,7916,6136,7897,0287,0667,1617,3277,2977,5397,6287,6677,3517,5247,7237,9078,2407,8166,7966,4486,5475,8441,602
806,015818,273822,072710,407710,453705,673712,985711,387676,733688,513710,345682,075660,029628,483645,540156,633156,896159,32858,53350,67448,37054,27550,71642,32344,92954,57955,12548,74855,84742,76041,62337,77031,26423,88620,13619,04015,32014,079
118,903139,137151,354145,234149,230137,728153,218196,599144,883157,606189,611185,329197,883165,326204,756111,856112,719115,84618,58210,6167,83613,62210,8482,8635,48315,62216,18310,97017,68019,76418,49416,44212,21213,6429,8489,2175,8685,793
229,911225,651223,961133,197133,110128,942129,25389,65894,90498,308101,23084,88557,204108,605102,4040026363142142142000000000007001,3002,5002,800
348,813364,788375,315278,431282,340266,671282,471286,257239,787255,913290,841270,215255,087273,931307,160111,856112,719115,84818,64510,6807,97713,76310,9902,8635,48315,62216,18310,97017,68019,76418,49416,44212,21213,64210,54810,5178,3688,593
457,201453,484446,757431,975428,112439,002430,514425,129436,946432,600419,504411,860404,941354,552338,38144,77744,17743,48039,88839,99540,39340,51239,72639,46039,44638,95738,94137,77838,16722,99623,12821,32819,05210,2439,5888,5236,9525,486
134,895134,89525,50625,50625,50625,50644,50244,50244,50244,5026,1676,1676,1673,65722,64922,64922,64922,64911,61111,84011,81211,84017,48817,48817,48817,4887,3527,5667,5667,3527,1447,1397,1447,1446,3364,8302,6842,6841,6302,8781,228
29,3666,50383,84650,72529,1476,73762,80549,99132,69816,75367,77748,27625,00527,592645-3,9066121,0338,1053,0224,350-4,1591,8861,1341,9951,1811,0162,5242,208-1,9582,123468511-1,6133702,2372,3451,7611,0851,5021,283
-120,788-103,892-103,795-40,393-14,533-6,459-137,542-84,074-34,844-19,006-66,068-35,358-21,994-27,275-50,426-50,217-51,085-47,085-2,203-1,610-1,498-733-1,574-297-214-118-367-351-171-123-196-395-234-61-1,354-2,156-1,179-867-1,099-1,592-3,083
-8,5310129,500-19,803-10,720-3,07856,40230,368-24,015-7,53337,15528,191-1,99869433,91733,36529,6707,3585,3177,3412,3754,964-6,314-6,164-4,5752,9429,1539,43716,8761,823-1,721-1,270-5338351,8121,4299981,1731,125-1,1483,531
-99,655-97,394109,389-9,5203,833-2,810-18,995-3,843-26,220-9,85338,33540,786756771-16,483-21,097-21,598-19,00811,0388,6565,19069-5,877-5,264-2,7414,00310,13711,92419,138-88208-997-251-6308071,5062,1462,0311,055-1,2481,650
35,24037,501134,89515,98629,33922,69625,50640,65918,28234,64844,50246,9526,9224,4286,1671,5521,0513,64122,64920,49617,00211,90811,61112,22414,74821,49117,48819,49026,7037,2647,3526,1426,8936,5147,1446,3364,8304,7152,6841,6302,878
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