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光电股份 (600184)


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流通市值: 市盈率: 52周最高:14.47 52周最低:9.35

光电股份(600184) 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)
2019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
92,27762,69221,642242,231115,50387,65054,370188,60381,88849,19022,405221,14273,82949,78416,586274,691146,83992,72716,674183,60490,18371,32114,625174,29171,55043,30614,444188,70599,27363,37221,244196,159108,63876,97228,472180,919112,25433,63413,83651,95732,20420,5275,78375,01557,86831,85510,64842,73526,55515,5065,01119,73411,9967,8783,770
75,67651,79517,662214,68899,97877,94050,368160,15967,55140,96518,980194,54460,67440,85814,067246,746131,93981,99413,487154,46975,52260,73211,562147,96457,13733,64410,274151,29479,09451,17016,071164,26487,58559,68922,940147,51993,37428,37311,58144,65627,55117,3485,08566,93451,51127,8159,30037,00423,54113,7764,22516,3489,6586,2613,041
4,4532,8714096,0014,8042,7993234,3132,2199241162,783916927524,8891,5021,5931226,4571,3121,45568-3,1243,9654,519971-46-5,250-5,1475911,4453,0555,1936678,9915,8631,0702531,545625404-450625732335-224118-1,308-1,141-248-338-143-36-119
4,8083,2684136,0014,7902,8073234,6032,2679441163,1181,048957665,1451,6501,7272516,7131,4081,54266-17,9574,0924,6201,062512-4,911-4,8126082,3563,4155,5301,03410,8786,2251,3963271,906885599-430916763355-208544-1,088-921-1276322068-100
201200--2163323311167162162--6720918213431931911250717817315-1,217395269622,028765737601,1951,5741,5841701,4458892265930710495--48212212---3653530-55----0
4,6073,0684135,7854,4582,4763224,4372,1067821163,052839774644,8021,4571,5362396,2051,2301,36950-16,7403,6974,3511,000-1,516-5,676-5,5495481,1621,8413,9468659,4325,3361,1712681,599782504-430868551143-208580-1,141-974-1276872068-100
0.090.060.010.110.090.050.010.090.040.010.000.060.010.010.000.110.030.040.010.300.060.070.00-0.790.180.210.050.01-0.21-0.210.030.110.090.190.040.420.240.090.020.090.060.03-0.030.070.060.03-0.010.07-0.05-0.040.010.100.040.040.01
30,46536,66849,39278,45323,02330,93685,84992,46422,40654,45271,54885,66835,58181,977124,795164,98014,27318,0938,08150,7646,69719,58224,37556,6735,27111,58528,38742,88614,1746,48312,08826,41218,13124,46927,46628,73623,97110,19010,67012,5447,61518,92921,05820,29514,9747,52214,42814,8156,6026,9792,5437,622
54,15756,89863,90662,68265,70965,89854,15050,15177,07369,44963,05651,84173,89475,51957,61057,69253,56159,14153,84150,37160,74266,41047,26747,48959,85855,66254,09058,97259,63266,48560,14869,39167,76667,56847,59866,8124,04221,22023,95222,47718,53513,77311,6199,52213,22412,77312,08011,09713,5609,6848,9787,575
78,75459,17551,17938,99285,66063,70459,78646,44381,75976,24369,64566,413120,75671,04959,24844,791103,41971,69153,72046,56359,91342,04450,15434,81364,63244,12660,27048,81579,27461,49275,08746,99877,52857,42853,62447,66562,11318,32318,73014,71214,66816,17320,12720,36823,08216,89812,59211,82714,26414,21115,82413,262
231,297218,981220,810233,019245,680224,347271,313264,995227,658245,218254,884259,710276,223273,285285,392311,077221,619208,700200,702204,270175,014164,863155,546175,523180,108161,015191,203194,757199,720191,774204,658191,472203,616204,313181,616179,240186,37078,44584,02077,04168,98977,20877,46675,25169,12360,99761,83555,10644,73638,77135,30538,617
--60,619--60,36256,21356,15356,92053,34153,26353,76753,89654,62754,95055,19055,11656,00244,18645,52944,94045,76446,24246,95947,78148,82048,88749,37663,22163,75560,99162,24662,72063,90759,24346,74147,80349,22845,74932,61132,16532,84630,48231,14731,28728,75127,67228,10028,23628,80329,51829,81330,42430,572
349,707340,703342,455355,326385,021387,794387,852382,364355,971369,461379,624384,950379,101376,857390,336416,604308,919296,293287,740292,749252,175242,319231,417252,386250,258231,611295,872299,004301,875289,408302,713289,617302,120295,729263,484255,032261,116134,505137,330127,889115,965121,273117,886114,272106,32096,87095,26587,70877,66472,38369,62473,208
111,559103,949107,484121,492153,191157,734157,181144,422109,001123,510133,055138,778149,752147,777159,574186,487201,660188,947181,263186,859150,249130,610120,616126,748108,77589,671140,416145,360149,350136,367148,079135,764140,798132,430115,502112,483136,80652,21955,27248,06637,56743,07044,73740,59338,92237,16635,89640,07034,43030,38230,71934,310
3,2173,1592,2431,6671,0781,0071,3228,97320,29520,31720,35020,1935,6135,3004,5974,1705,4745,4225,8985,5416,73316,31016,78831,77227,14227,04752,10351,38353,42353,81353,99953,76555,50555,30647,87743,71930,50328,74429,41927,45227,04427,12823,00723,10717,1429,8579,8739,9346,9735,0211,0771,133
114,776107,108109,727123,159154,268158,741158,503153,394129,297143,826153,405158,972155,364153,077164,172190,657207,135194,369187,161192,400156,982146,919137,404158,520135,916116,718192,518196,743202,773190,180202,078189,529196,303187,737163,379156,202167,30980,96384,69175,51864,61270,19867,74463,70056,06447,02345,76950,00441,40335,40331,79635,443
234,931233,595232,728232,168230,753229,054229,349228,970226,675225,635226,218225,979223,737223,780226,164225,947101,785101,924100,579100,34995,19395,40094,01393,865114,342114,892103,354102,26199,10199,228100,635100,088105,818107,992100,10598,83193,80753,54152,63952,37151,35451,07650,14250,57250,25649,84749,49637,70436,26136,98137,82837,765
78,21078,21078,21092,46192,46192,46192,46185,66885,66885,66885,668164,980164,980164,980164,98047,66447,66447,66447,66455,69655,69655,69655,69642,45742,45742,45742,45725,05825,05825,05825,05827,19427,19427,19427,19434,70934,70911,75511,75518,61218,61218,61218,61214,81514,81514,81514,8157,6227,6227,6227,6222,7422,7422,7422,742
-26,954-21,449-14,4428,791-39,4088,32520,345-616-65,368-25,597-12,679-53,446-102,004-56,888-30,95123,720-54,495-53,531-36,14340,680-39,014-26,004-11,178-131-46,751-39,256-13,59944,29716,151-3,582-3,537-1,370-8,819-8,140-1,014-4,017-2,200-2,300-5,681-833-1,4085,746245-4,455-4,438-8,697-6,8332,215-6,958-1,775-2183,172817596319
-7,024-7,045-3,091-8,053-26,329-53,080-1,8334,109-6,401-4,321-1,237-22,999-4,528-3,383-2,713-16,832-8,350-6,070-1,748-12,348-7,952-7,004-1,594-4485,8926,561-583-8882,945-4532,471-35,519-29,673-20,299-8,013-11,023-11,411-5,492-5,168-12,545-10,311-9,822-878-9,005-6,548-4,598-1,324-384-422-495-92-480-1,278-394-186
-13,791-13,791-12,010-15,017-3,725-16,778-25,1273,2998,504-1,298-204-2,867-22,867-22,732-6,520110,42829,45426,930-4,792-36,364-5,133-6,649-19,39413,8173,4581,741-317-26,016-30,475-15,840-13,47034,83129,39925,7188,5317,9732,9256,2279,7646,8149053,6331,83117,17411,1476,0037,7695,4476,3651,632-4,7702,245-41,743-191
-47,748-42,274-29,547-14,251-69,438-61,525-6,6156,792-63,265-31,216-14,120-79,312-129,399-83,003-40,185117,316-33,391-32,671-42,683-8,032-52,099-39,657-32,16613,239-37,401-30,954-14,49917,399-11,376-19,872-14,535-2,136-9,064-2,725-497-7,515-10,738-1,565-1,086-6,857-11,002-6991,1983,797158-7,293-3877,193-1,020-643-5,0794,880-4651,945-58
30,46135,93648,66278,21023,02330,93685,84692,46122,40354,45271,54885,66835,58181,977124,795164,98014,27314,9934,98147,6643,59716,03923,53055,6965,05611,50327,95842,45713,6825,18610,52325,05818,13124,46926,69827,19423,97110,19010,67011,7557,61017,91319,81018,61214,9747,52214,42814,8156,6026,9792,5437,6222,2764,6872,684
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