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海越能源 (600387)


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流通市值: 市盈率: 52周最高:11.25 52周最低:7.21

海越能源(600387) 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)
2019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
341,3852,141,2611,660,1241,027,983548,6201,150,248749,420492,507258,316979,225683,560420,275178,812628,477444,788225,75984,094304,042251,551159,50056,243453,278286,891121,88646,964192,071117,33871,87549,171185,050166,012108,06353,432147,596102,59155,06227,52591,18760,36531,94815,372106,90084,11546,00521,462106,85959,73434,53513,47771,40245,03830,81312,113
320,3702,030,9911,573,049965,852521,7931,090,424709,377467,233243,250921,876645,581403,916178,944616,109428,536217,53982,852295,735245,895155,79954,619447,106282,111119,10445,573187,258113,86369,34847,954178,905160,841104,30751,406141,08497,44551,44425,69283,88954,84828,74914,398104,28880,43643,86121,350103,08557,38033,16113,13768,44643,03029,04611,281
1,52450,94646,54136,87617,31217,967-8,854-1,5473,724-754-4,956-14,642-9,763-14,946-12,7661,097-1,00210,2723,6373,2811,3551,230816-1,667-87-4,658-3,588-4281,455-2001,0412,3842,7546,1146,1782,8803,6576,7455,9814,7543,216-3,5182,2773,2492,57324,1705,0934,1051,4093,6943,4991,552-131
1,50749,93646,59837,05817,49613,209-13,623-1,4563,733-299-4,544-14,303-9,864-12,578-11,2312,628-1,27511,1814,4093,8611,5576,4156,0193,3434,9623,3053,5796,6691,400327772,2262,6736,1336,1282,8713,57527,24326,49025,34721,697-3,8412,0493,1222,37723,6464,8474,0571,3814,5144,4022,510589
7478,3227,3224,9461,3329,6841,4381,0951,0643,6371,5141,1528126,5491,3541,9458853,5402,2011,3848082,2072,4321,4831,3891,5991,2561,839536-230233994683734865948105,5446,3626,2875,767-2813816584767,48276271767027139440919
76141,61339,27732,11216,1643,525-15,061-2,5522,668-3,936-6,058-15,454-10,676-19,127-12,586683-2,1607,6412,2082,4787504,2073,5871,8603,5731,7062,3224,8298642627541,8282,2055,7615,6432,2772,76521,69820,12819,06015,930-3,5601,6682,4631,90116,1644,0863,3407104,2434,0082,101570
0.030.660.620.490.220.35-0.150.000.070.10-0.00-0.16-0.110.06-0.100.110.000.290.130.110.040.160.130.080.110.010.020.070.030.020.030.050.060.150.150.060.090.750.680.640.54-0.120.060.080.060.540.130.110.040.210.190.100.03
165,119155,280143,330124,908129,511112,74130,17417,17254,61451,75566,02840,98756,73775,34152,86081,885103,940103,56796,96054,80038,05455,51189,63775,16941,46944,40345,64835,46331,10228,59817,41144,32711,62412,2636,74611,2405,51314,8156,36611,7098,2735,19411,7064,1472,11123,5556,7646,1525,2628,150
55,87262,06420,52840,94939,93549,3863,9588,4011,8923,6074,2941,2097929351,5284,7564,4111,9267441,0621,9411,0176656981,7245445,4305338434491,1856781,9217391,1064,3369941,3752,4738847924,61288989894223,5981,3022,8531,0581,413
55,43444,24548,52655,36460,48550,61452,61868,07774,94256,81363,57863,46954,97572,68574,79379,96858,95475,86035,87550,88836,11619,9214,50413,7485,9048,4508,35913,21816,1469,1987,72913,74312,76813,64410,02713,48317,06415,77923,62531,72928,09524,19027,92024,36421,11320,15219,10021,73819,88718,184
326,563315,743322,266290,073324,162252,248117,200112,528159,923138,359171,647138,224151,068189,827166,317211,758218,781226,855186,405156,386126,554108,086115,64799,79155,54458,95995,15172,41154,16747,89032,76962,90437,44342,47125,13834,40727,82633,96437,42852,56740,87136,16545,59236,77032,38068,17332,59233,03046,81833,866
--492,395503,690516,919530,009543,719490,368498,407508,243518,542514,298521,989531,876536,825526,240537,672209,741220,78233,74834,18434,21127,37925,83328,14728,68929,20929,45729,79329,82830,43132,55630,27230,00331,17731,77231,81132,32432,88028,26525,10525,57841,28341,00641,79342,17342,84943,37244,06344,90845,323
972,312970,970994,404992,0381,065,338985,917762,764766,814827,070814,407846,956820,132845,572910,587874,383939,108950,278938,526894,233813,882746,358683,844590,358502,011366,635328,641289,189252,493233,289226,939200,354209,013184,102188,348171,934178,650169,680181,146169,015157,426143,516149,225160,730161,130173,131205,868134,928134,256134,361157,136
479,019479,734438,714463,561506,961465,562349,968304,083345,069335,201337,730315,864307,663344,512285,442322,305316,188318,885246,950171,914142,669146,62399,91894,60259,47471,49262,35175,09268,59072,80773,79679,34983,96390,36072,79382,92662,18174,86368,14952,34744,86872,12176,34067,41056,18884,52954,46254,61951,25755,727
180,102181,804235,969214,269246,355248,756279,365315,160324,430325,760355,305355,701384,205387,264411,554412,958437,280435,387457,282451,815416,453364,717314,100235,840166,114120,50490,40646,13747,07737,09117,41617,9062,8742,8153,1852,9784,2504,5484,0384,6753,7922,3552,8705,02213,95715,99814,90814,82518,53423,368
659,122661,539674,683677,830753,315714,319629,333619,244669,499660,961693,036671,565691,868731,776696,996735,263753,468754,272704,232623,729559,122511,340414,018330,442225,588191,996152,756121,229115,667109,89991,21297,25586,83793,17575,97885,90466,43179,41172,18757,02248,66174,47679,21072,43270,145100,52669,37069,44469,79279,095
313,190309,432319,721314,208312,022271,598133,431147,571157,571153,446153,921148,567153,705178,811177,387203,845196,810184,254190,001190,153187,236172,504176,340171,569141,047136,645136,432131,264117,622117,040109,141111,75897,26595,17395,95692,746103,249101,73596,828100,40494,85574,74981,52088,698102,986105,34265,55864,81264,57078,041
143,48072,03172,03172,03172,03144,36044,36044,36044,36066,84666,84666,84666,84666,21966,21966,21966,21935,41735,41735,41735,87544,08144,08144,08144,08127,42727,42727,42727,42711,62311,62311,62311,62314,81514,81514,81514,8155,1945,1945,1945,19423,55523,55523,55523,5558,1508,150--06,1894,937--0
2,89979,13674,37642,51023,30455,228351-9,294-21,350113,84035,94827,3837,14125,56730,144-1,920-12,853-12,335-39,506-39,402-15,001-19,0663,5172,2934,4948,7257,5288,547-4,58020,2501,046-4,0202,021-1,061-91-640-4,043-13,692-14,275-19,668-7,098-5,1814,674-11,075-10,042-2,0264,984-2,116-2,9837,3967,40216,1466,672
19,01980,63151,02930,9246,20445,016-8,693-3,605-3,237-20,764-22,549-14,684-5,1333,063-45,981-40,209-55,479-113,772-133,942-75,650-40,645-252,718-215,082-115,857-34,054-57,441-33,672-22,063283-25,819-16,8595,1113,2873,122479-3406,52121,74919,06139,67539,091-7,342-6,893-7,198-7,33227,9942923,9011,643-2,199-672,739319
-8,773-88,375-90,892-60,067-12,290-72,499-10,305-20,05725,287-115,825-19,825-45,826-21,208-28,412-20,51712,49958,147156,910178,585131,82556,635263,188236,203143,70226,62665,37043,76015,7867,70121,37320,70131,613-5,947-5,253-8,456-2,596-11,7801,564-3,613-13,492-28,914-5,838-9,630-1,135-4,070-10,563-6,655-3,779-1,544-3,236-6,673-18,393-2,444
13,13771,45034,83413,40717,23327,670-18,749-32,845759-22,486-6,427-33,127-19,199627-36,354-29,630-10,18530,8025,13816,772989-8,66424,63830,139-2,93416,65417,6162,2703,40415,8044,88932,704-638-3,192-8,069-3,575-9,3029,6211,1736,5153,079-18,361-11,849-19,408-21,44415,405-1,386-1,999-2,8891,9616404904,545
156,617143,480106,86585,43789,26372,03125,61111,51545,11944,36060,41933,71947,64766,84629,86536,58956,03466,21940,55552,18936,86435,41768,71974,22041,14744,08145,04329,69730,83127,42716,51144,32710,98411,6236,74611,2405,51314,8156,36611,7098,2735,19411,7064,1472,11123,5556,764--08,1505,577--0
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