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振华股份 (603067)


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流通市值: 市盈率: 52周最高:23.98 52周最低:8.89

振华股份(603067) 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)
2022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302014-12-312013-12-312012-12-312011-12-31
180,88979,021299,323232,770152,80366,763127,84292,49354,77920,980139,522106,04270,58532,316140,486104,38670,14334,850118,54885,90253,41625,76587,45162,74541,08216,87577,63556,08136,29381,90462,49359,74451,450
129,69154,928224,623176,775117,11553,44089,22261,05135,72713,77799,40575,09349,53424,41099,56672,76047,69922,99589,30266,53139,26717,90461,44943,19628,59812,09656,34441,72627,46856,58342,44638,83331,826
28,31411,82034,91626,75916,9034,17617,18114,5739,3433,33415,55613,98410,9233,00217,01915,00311,3975,87711,0966,3525,5893,8368,6898,0985,1081,1437,0163,9771,7199,8657,85810,38610,981
28,13411,71633,42626,35116,6474,01517,11114,6259,4423,21415,62713,74410,8752,96416,74814,99011,3895,87811,0766,6755,8004,0219,2308,5085,3431,2577,4674,1351,78810,2248,47910,63411,929
3,6601,7462,2431,5321,2013371,9751,8751,2403821,8081,8281,4974012,0593,1112,3921,2081,0387807215191,2641,1887421871,2186382879861,2031,4961,491
24,4749,97031,18324,81915,4463,67715,13612,7508,2022,83113,82011,9169,3772,56314,68911,8798,9974,67010,0385,8955,0803,5037,9667,3204,6011,0706,2493,4971,5009,2387,2769,13710,437
0.480.200.630.500.320.080.350.290.190.070.320.270.220.080.470.380.290.210.460.270.230.160.450.440.280.060.380.210.090.560.440.550.69
36,92116,63919,39120,74712,40726,38321,25019,00429,37318,20312,91918,2779,20012,95917,2877,2887,6584,1667,4665,2643,4222,5284,53734,0028,5334,7447,4715,1121,4033,6041,304
47,41938,77521,22331,90132,58128,69614,18419,93116,62315,59314,81418,09818,75314,34213,28417,95313,61019,25912,09513,6369,50512,6236,3109,4504,0084,2315,5284,9213,1992,4761,571
64,93767,38346,27238,81437,94343,44622,65520,95021,87322,78315,61211,93314,16813,76211,59411,83813,38415,24111,96310,66618,83021,42112,3419,7869,42711,52811,21512,3329,7706,5267,069
194,439161,365148,883139,746140,280156,713127,469117,559102,32684,55982,10480,36976,75176,75175,81274,84770,99169,68662,52059,29057,79559,26354,25268,43038,10736,76136,23930,04222,62929,29421,270
155,449--147,493--138,250--53,229--54,279--54,392--53,075--53,92253,94154,88354,75355,76756,05756,53556,08356,31353,39054,38254,03855,55956,48053,97434,90425,707
406,932368,730353,278338,765328,349339,651200,608188,015167,071149,646148,451146,099142,066139,688135,257133,396130,321128,941122,649119,615118,631119,625114,795128,13098,25196,31996,80091,35481,78274,14452,128
101,67676,98176,69281,42380,95284,28218,24816,28817,04111,00112,41711,0069,88911,3229,68511,40311,22311,2309,51910,47910,25410,4888,81922,56425,58128,34731,36924,51623,27822,03313,272
70,01064,51959,68647,44447,46162,71237,23428,97011,9401,9491,9982,1481,7951,7861,6249751,0421,1081,1751,2411,3081,3741,4411,4111,4721,5953,7186,8417,0877,8403,600
171,686141,500136,378128,867128,413146,99455,48245,25828,98112,95014,41513,15411,68413,10811,30912,37812,26412,33810,69411,72111,56211,86210,26023,97427,05329,94235,08731,35730,36529,87316,872
235,246227,230216,900209,898199,936192,657145,126142,758138,090136,696134,035132,946130,381126,580123,948121,018118,057116,602111,955107,894107,070107,763104,535104,15671,19866,37761,71359,99751,41744,27135,256
16,33516,33521,25021,25021,25027,96512,33512,33512,33512,11916,68616,68616,68616,6867,3067,3067,3067,3064,5374,5374,5374,5374,7444,7444,7444,7445,1125,1125,1121,4033,6041,3044,795
18,30110,63240,79440,46317,837-4,508655-5,1467,184-3,70320,09312,1223,9918888,135-2,714-2,174-5,223-1,686-32-5,416-7,40410,79411,99112,0512,7106,3214,2872,40812,4619,78512,62111,179
-15,721-10,850-8,2711,85017,38617,644-18,660-11,0803,3429,070-20,928-9,177-8,194-5,1764,5184,9575,0191,8329,2714,4596,4284,767-21,327-6,767-4,314-1,948-5,795-5,175-3,215-7,790-11,305-20,647-16,401
15,615-2,762-37,422-44,631-47,029-19,40026,92822,9565,9560-3,725-3,725-3,7250-3,146-3,036-3,0360-4,778-3,672-2,11163210,22424,079-3,903-1,431-9419843,165-962-68010,3271,731
18,506-2,991-4,915-2,366-11,820-6,2528,9156,66916,5215,407-4,567-749-7,926-4,3089,380-696-168-3,4602,769727-1,115-2,009-20729,2573,789-674-3681362,3583,709-2,2012,300-3,491
34,84113,34416,33518,8849,43021,71221,25019,00428,85617,52612,11915,9388,76012,37816,6866,6107,1383,8467,3065,2643,4222,5284,53734,0028,5334,0714,7445,2497,4715,1121,4033,6041,304
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