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凯盛科技 (600552)


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流通市值: 市盈率: 52周最高:7.35 52周最低:3.14

凯盛科技(600552) 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)
2019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-302006-03-31
178,60572,793304,821214,269130,93758,190354,705261,672156,69773,431310,665198,834103,83848,807112,96568,09045,49119,98494,22068,45248,14921,53698,26372,18349,68521,25197,09271,51948,26019,056107,36884,70559,80014,73661,13246,75732,71115,97758,91239,28423,98110,43458,58245,23929,76915,15556,74438,38724,84811,56246,45036,80522,62110,794
152,71061,959259,322179,654108,89949,517302,069223,364131,86862,466261,003168,04786,64041,88689,33052,49334,58115,26170,99651,81235,64516,48173,73854,56737,74216,39071,82951,51034,54613,98781,10661,01443,97711,55449,88639,35327,93812,98448,81433,97122,29010,79852,43438,92524,75412,30544,73930,23120,2049,37242,32234,44521,55711,242
7,2782,6655,9071,648163-2,7061,7409,3984,5891,3836,7247,3463,3891,0657,8865,6884,8392,73612,4328,7408,2912,66014,9469,7457,2862,31814,66111,8598,1272,49414,13313,5129,0279242,6021,2571,0278392,158-118-1,721-1,868-3,232-4296237052,6542,395974512-5,169-2,767-2,262-2,061
7,3302,8777,0799,5436,5121,73512,61712,8505,6772,01213,3229,1594,7141,53715,1536,4815,2142,84013,2279,1858,4552,81017,19110,9998,4342,59416,67813,4248,9022,51514,92914,4609,6279454,1611,2881,0328132,307-32-1,556-1,828411-3776947672,8912,6401,045515-6,217-2,828-2,286-2,065
6566111,3481,4941,1462562,1762,1241,3254983,2891,6651,1902472,8971,0408604012,1221,4451,1954202,4821,5051,1973762,2281,8761,3173562,6242,4032,15827615035351272202818112362-1121715693511215665
6,6742,2665,7318,0495,3661,47910,44110,7264,3521,51410,0327,4943,5241,29012,2565,4414,3542,43911,1057,7407,2602,39014,7099,4947,2362,21814,45011,5487,5852,15912,30512,0577,4696694,0111,2539978122,280-34-1,559-1,828383-5585717042,9022,423889421-6,223-2,940-2,442-2,130
0.070.020.060.090.060.020.100.120.050.030.200.160.070.030.290.150.120.070.310.210.200.100.650.400.320.181.140.910.590.180.550.540.300.020.310.080.070.070.17-0.02-0.14-0.150.02-0.070.030.050.210.180.060.04-0.59-0.30-0.24-0.18
46,75245,43746,60329,03433,01938,57744,83042,93457,52540,34835,25741,30338,20944,18680,06938,89340,64545,62139,78348,08651,84856,30969,96715,72025,383100,0504,4497,21412,12816,32511,44816,71217,41612,0078,7634,9254,4394,63114,97817,2957,6372,7604,9573,7714,3595,1053,8523,6974,8365,1504,396
125,827100,811105,950104,07190,556101,146101,851121,08899,21482,516101,09695,30175,65073,26177,25346,79346,33945,03239,15039,57140,07734,50329,99531,72334,18928,40629,57126,81028,96923,10420,26919,37816,15810,5158,94811,51512,65611,5579,3118,6288,9377,4039,93312,13910,40610,71210,56610,26311,1469,81010,619
166,284162,122156,624150,462152,798120,482115,723130,468120,793111,91795,15093,20588,03579,32674,15133,95324,83727,31219,99222,10620,56518,04018,17619,15419,86014,95113,58015,88112,67215,22818,86813,06312,2607,5426,8047,8196,1676,4916,2166,9555,8585,3166,0289,0679,5767,8687,9237,9495,7376,9616,556
448,755407,733381,214370,363350,116329,061321,945369,753347,662304,766292,627296,322260,319249,634285,267168,118160,798148,995133,387134,920140,295132,284142,82196,857119,305173,06369,88369,48170,19672,26769,52768,15665,83237,87032,49231,74428,59529,76034,92239,24226,92524,37927,37231,10031,06329,17827,06126,77226,77926,03124,913
110,475--131,388128,408127,931128,119131,629120,349120,603123,306124,627111,538112,486103,084105,19991,84991,93593,94054,62742,12042,62542,29543,04932,29032,65233,19833,78826,11326,61428,50229,03923,51123,50430,74931,72631,29132,80040,48641,34236,86937,73738,29439,17140,42841,60542,32543,34040,29741,22539,46042,704
682,151627,575602,074576,851553,124531,897526,640566,583541,701499,527487,314483,709441,351425,194460,127295,392282,547266,479243,149234,721231,814213,201213,204207,163215,384209,204106,482104,727104,929106,799102,99396,44393,27594,32181,95179,35276,34077,62583,55588,23575,72772,37674,09778,30779,42678,25977,18877,78778,35771,49370,979
353,115315,606309,603217,625196,365182,825192,813267,713246,196211,900199,793200,181184,183171,984214,420108,44997,92081,03160,29056,60554,17838,85441,24837,91147,390141,32840,52446,68952,25458,79455,49749,52650,42749,25447,32348,07645,32047,70941,45147,86249,87846,68046,57350,12350,12148,72948,30247,52349,62743,16642,775
63,40050,74433,60997,04097,25794,98580,89046,27549,28240,40840,55938,43116,01614,2899,1178,4387,21010,16710,1678,9078,9078,9078,9076,8887,8887,5887,8882,8701,4701,5231,5231,2001,79412,4142,6432,0492,0491,23514,23514,2351,2351,2351,2352,8352,8352,8352,8356,4356,4356,6356,685
416,515366,351343,212314,666293,621277,809273,704313,987295,478252,308240,352238,612200,199186,274223,537116,888105,13091,19870,45665,51363,08547,76250,15644,79955,277148,91648,41149,55953,72460,31757,02050,72652,22061,66749,96650,12547,36948,94455,68662,09751,11347,91547,80852,95852,95651,56451,13753,95856,06249,80149,460
265,636261,224258,862262,185259,503254,087252,936252,596246,222247,219246,962245,097241,152238,920236,590178,505177,417175,282172,693169,208168,728165,439163,049162,365160,10760,28858,07055,16851,20546,48145,97345,71741,05532,65431,98529,22728,97228,68127,86926,13924,61424,46126,28925,34926,47026,69526,05123,82922,29521,69321,518
21,82846,60331,71644,88644,83044,83018,83835,25735,25735,25752,33880,06980,06980,06935,30135,30135,30139,78369,93969,96769,96769,9394,4364,4364,4364,4365,5455,5455,54511,44816,04318,74011,9578,76314,97814,97814,97814,9784,9574,9574,9574,9573,8523,8523,8523,8524,3964,3964,3964,3969,1099,1099,1099,109
1,6663,9761,1071,3621,3111,191-10,2071,1661,2465,9586,6358614566,7535,0972,1784,9241,2032,2432,1062,4502,17611,5335,2306,3095,2075,3934,5535,6346,091-7,0753,2382,026-8824,554526-1,076-1,7528,8052,9764,8151,9554,4573,38754737,2542,2309781,356-4,4091,344-707-3,040
-36,976-15,348-20,903-14,818-12,584-3,988-12,520-11,386-7,082-3,137-29,462-24,035-8,263-8,603-26,551-22,757-17,605-11,751-43,670-33,464-25,607-10,601-36,187-78,258-69,093-3,724-2,015-2,253-1,896-1,713-16,179-15,087-14,706-7,869-3,460-940-473-178-4,543-3,561-4,018-3,991-692-134-115-75-7,115-6,841-6,620-62-1,106-1,419-1,222-284
31,21010,2089,935-2,284-295-2,42336,57818,90428,5612,525-10,967-15,137-34,043-33,73438,62722,69916,16316,3866,7967,1662,733-5,23790,65084,33183,70694,130-4,438-9882,04849912,9479,82711,55311,994-7,287-9,639-8,990-8,4175,76012,9241,884-161-2,660-3,335751,325-4723,9126,081-5401,009-2,680-491-350
-4,160-1,164-9,888-15,853-11,807-6,24912,8787,67722,2685,091-33,701-38,766-41,860-35,88317,0371,8653,2275,839-34,639-24,188-20,424-13,65865,50311,27620,94095,614-1,1091,2695,7434,877-10,498-2,028-1,1323,244-6,217-10,053-10,539-10,34710,02112,3382,681-2,1971,104-825071,253-544-699440754-4,713-2,755-2,421-3,674
17,66745,44021,82829,03433,02338,58031,71642,93457,52540,34818,63741,30338,20944,18652,33837,16638,52845,62135,30145,77949,54356,28169,93915,71325,376100,0504,4366,81411,28816,3255,54516,71210,82412,0078,7614,9254,4394,63114,97817,2957,6372,7604,9573,7714,3595,1053,8523,6974,8365,1504,3966,3546,6885,435
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