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康尼机电 (603111)


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流通市值: 市盈率: 52周最高:6.83 52周最低:4.81

康尼机电(603111) 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)
2021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-03-312011-12-312010-12-312009-12-31
172,94993,824332,572251,461164,20984,126339,822255,660181,91682,979341,542270,883180,79179,714241,779159,541100,03539,416201,015140,55595,58443,456165,643118,56678,04332,559130,89296,54361,413--104,14463,81943,52614,37099,97822,27589,28873,58452,127
107,59060,807210,439158,701105,96456,246222,228170,821126,32059,150240,911185,763122,08952,546155,055102,31163,27724,125124,79387,52959,21827,392101,77974,40649,04920,78981,57460,51338,164--63,95038,61526,581--62,83613,50554,41843,11730,463
26,63712,69646,50241,12726,27211,03774,21827,61318,1887,693-268,974-4,737-11,12811,84433,11319,99512,8873,96526,00118,70113,5765,64520,26915,51910,8123,96114,81812,0048,116--11,1025,9804,392-94012,2473,20412,6189,9476,350
26,94012,91347,23342,08526,96011,21272,22027,32416,9837,618-314,923-51,046-60,55711,85133,34520,93013,6804,91229,93221,39615,0896,38522,95917,81211,6074,19116,75212,9298,599--13,6657,8505,722-75615,1783,53014,57911,8867,264
2,5031,0835,1434,1852,7191,2425,5255,3893,1011,5344,0166,0174,6151,9524,4903,1722,1517884,3763,1992,1481,1053,4693,0751,8916382,4221,9711,254--2,0051,139770--2,1004811,5671,500442
24,43711,83042,09037,90024,2419,96966,69521,93413,8816,083-318,938-57,062-65,1729,90028,85517,75711,5294,12425,55618,19712,9405,28019,49114,7379,7153,55314,33010,9587,345--11,6606,7124,952-76913,0783,04813,01210,3866,822
0.250.120.430.390.250.110.650.220.140.06-3.22-0.55-0.630.110.380.240.160.060.330.230.160.170.630.480.320.120.590.460.34--0.540.320.23--0.570.140.590.820.79
124,434138,140149,51779,48772,30390,104100,33768,39367,77178,26482,95850,87980,562100,18493,69817,92529,12429,77629,22928,94028,85124,87340,65524,58622,42924,62863,24558,65614,499--23,15515,28115,26915,35818,6107,542
163,781176,019126,625166,564156,311161,534109,625177,985197,502168,393153,201241,752233,778207,758181,039133,159119,488101,99493,35584,71682,03671,55861,77870,90264,91148,35338,60351,63849,568--44,38838,15332,82126,19113,46217,969
58,35851,78564,14857,31556,16161,49184,32184,03367,77575,06479,16269,79668,56367,63866,37556,67648,66748,20438,55143,54540,28942,33340,50034,25633,28336,12834,30433,32232,714--25,24218,66927,37729,16623,98016,842
495,112478,386478,606456,100418,395397,943405,627427,859421,310392,224398,148430,668424,990450,873411,588268,557253,492230,297219,856202,158199,089198,816212,665192,295173,945127,287156,082167,439116,377--112,59485,55787,04287,14866,65348,540
45,669--47,432--46,662--44,538--52,182--54,63754,71055,44555,81956,58740,06239,78239,09039,52331,75930,98130,82830,82920,81918,52718,54918,90218,82319,017--19,03819,47719,22319,53311,8387,423
558,486542,349541,447517,378479,550459,925469,180501,272495,613467,498474,648741,128734,671769,567730,762320,162303,525278,775268,532246,701241,656241,574253,838224,808203,029190,717182,902192,106140,956135,846136,884109,581110,826111,29885,14159,012
222,531219,195230,861211,595187,355181,696201,854254,946255,314235,604249,248252,175250,911248,313328,815164,000154,019131,676125,550113,430112,171114,077136,570104,13887,63277,60083,42190,03687,296--84,37369,40861,08167,41148,78533,837
6,2276,0265,1734,8105,0915,3904,13049,59951,63051,02950,60952,18855,0255,4055,3124,7314,4044,4114,3802,1332,3241,9721,2422,0782,4482,2642,3008,2428,396--7,9272,48617,75614,9489,0335,662
228,758225,221236,034216,405192,447187,086205,984304,545306,944286,634299,857304,363305,936253,718334,127168,732158,423136,087129,929115,564114,495116,049137,812106,21790,08179,86485,72298,27895,69295,59992,30171,89378,83782,35857,81839,499
329,729317,127305,413300,974287,104272,838263,197196,727188,669180,865174,791436,764428,735515,849396,635151,430145,102142,688138,603131,138127,161125,525116,025118,591112,948110,85397,18193,82845,26440,24744,58337,68831,98828,94027,32319,513
131,331131,33185,48985,48985,48985,48960,94660,94660,94660,94690,92290,92290,92293,69829,22929,22929,22929,22940,65540,65540,65540,65563,24563,24563,24563,24523,15523,15523,155--15,28115,28115,281--15,35815,35818,6107,5426,830
-28,813-22,32758,635-15,375-19,298-30,75840,644-15,613-24,945-16,284-33,033-63,654-58,507-18,21318,243-27,991-15,907-13,3826,152-5,896-7,369-11,2708,940-16,081-6,372-8,56921,7163,3163,150-5,5509,635-5,280-5,322-3,29113,490-1822,05012,2844,464
1,3768,515-17,471-14,376-13,33419,383-14,612-11,911-6,325-887-100,030-99,767-94,396-84,65540,1814,709-1,0473,1913987,8749,494-889-46,125-38,042-36,051-37,354-5,607-1,782-1,270---2,518-1,545-613---3,369-974-7,856-8,426-4,065
-4,522-1664,7463,3814,2542,565-1,4452,7731,8112,021102,358103,248103,997109,4453,36012,02916,86110,752-18,097-13,756-13,980-3,64414,54715,4021,5967,29524,03434,102-10,435--7732,7874,219---10,1801,0452,5597,271266
-32,281-14,15745,842-26,313-28,236-8,70524,544-24,783-29,541-15,244-29,977-60,068-48,8976,48661,693-11,304-105547-11,426-11,714-11,804-15,781-22,590-38,659-40,816-38,61640,09035,501-8,656--7,874-4,028-1,729---78-89-3,25211,068712
99,050117,174131,33159,17657,25376,78485,48936,16331,40545,70260,94630,85442,025100,18490,92217,92529,12429,77629,22928,94028,85124,87340,65524,58622,42924,62863,24558,65614,499--23,15511,25313,552--15,28115,26915,35818,6107,542
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