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依顿电子 (603328)


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流通市值: 市盈率: 52周最高:14.46 52周最低:8.91

依顿电子(603328) 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)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-06-302011-12-312010-12-312010-09-302009-12-312008-12-312007-12-31
109,33753,363301,071226,325144,74870,713332,862241,457150,85373,590328,576246,073156,56371,457293,450215,413134,86166,123292,849219,874138,42662,195262,832193,554122,059--259,349188,962119,87757,134277,822136,954286,305263,834195,468192,672185,703141,504
86,49340,293216,699159,852103,05449,354231,183168,816107,05950,706218,939163,826106,92549,202209,608151,12797,13346,550221,661163,707104,11746,675194,423143,17790,945--190,365138,51989,215--214,599106,148223,823206,746152,140137,891146,709116,363
14,93610,30661,72552,42231,62613,61377,61157,33630,75210,27866,18650,00630,02414,10969,17949,13829,99014,17055,62643,91125,04912,26147,49934,84320,564--41,83330,49717,4478,84338,11318,82933,64231,40525,15837,72021,60215,593
14,64610,30961,03952,39231,63113,61877,01956,78930,82910,35565,74349,97230,02214,10369,67349,64129,97314,12956,66543,95025,17312,37748,07935,33820,600--41,93430,65717,5158,89338,87018,94634,22931,77525,37537,89120,62915,648
2,3351,6089,1908,2474,9872,19911,6188,9334,9381,76910,4378,2014,7692,23910,8317,8924,8542,3049,93110,9256,3383,10011,9839,0955,369--9,7697,0953,716--6,0263,0215,1773,6753,3354,7522,578-671
12,3118,70151,84944,14526,64311,41965,40147,85625,8918,58655,30641,77025,25311,86358,84341,74925,11911,82546,73433,02518,8359,27736,09626,24315,231--32,16523,56213,7997,54432,84415,92629,05228,10022,04033,13918,05016,319
0.120.090.520.440.270.110.660.480.260.090.550.420.250.241.190.850.510.240.960.680.390.190.810.610.38--0.810.590.35--0.820.400.730.700.550.820.440.40
197,982168,540155,489159,638270,400209,010183,699132,992203,814276,803260,279287,014304,633355,847340,208328,243307,683308,802303,248280,991261,069267,710257,027250,446247,833--107,52371,18953,11845,86530,76624,45618,9135,90310,606
77,70979,85196,971103,77197,904102,168125,528115,840103,20991,854103,483108,081104,05991,670101,08195,60388,37582,82492,94999,22788,50579,77187,10188,10579,921--81,54379,21183,12088,48982,12990,83366,78258,76951,173
29,57830,38727,45725,73525,17824,62025,77030,33326,44727,30726,94824,63524,34128,62825,21120,18220,09320,39122,21125,09226,86027,47826,62925,02724,217--20,43421,68128,99428,39534,20939,89117,71812,54311,875
332,585335,602331,623321,381445,662428,166437,769421,789471,689454,232456,825444,861454,363494,004487,055462,369443,162436,619431,756421,665397,347390,908386,781373,317359,292215,218216,466184,699182,484175,815158,655166,485109,03185,13679,138
102,105--100,476--90,236--92,43991,42893,12490,19386,21585,99485,20985,42685,87485,97086,67186,53586,18186,69186,87886,80488,28188,23885,437--89,05391,49488,02989,71090,82690,23076,25276,32366,066
444,285443,527439,415428,090548,871530,557540,856524,968575,970556,338555,965538,686545,200585,772579,634552,306532,649525,814520,768512,311487,831481,309478,388466,729449,442307,085309,407280,140278,457272,408255,754264,411192,481167,553153,271
73,52876,37781,12777,53671,84070,52192,38694,11481,95682,50491,01587,94891,54096,224102,60093,42691,56576,44483,19888,44579,10173,92980,32378,65469,57065,66975,55678,35693,784103,533115,846130,71080,77686,84890,310
1,6341,6121,6471,6291,6121,6061,6391,6361,5711,5581,5531,5301,5022,2752,3472,2882,1442,1242,1322,1801,2231,1731,1471,1741,1821,1961,1781,3051,1151,2331,4271,3161,4071,0701,406
75,16277,99082,77379,16573,45272,12794,02595,75083,52784,06292,56889,47993,04198,499104,94895,71493,70978,56885,33090,62580,32475,10281,47079,82870,75166,86576,73479,66194,898104,766117,273132,02682,18387,91891,716
369,123365,538356,641348,925475,418458,430446,831429,218492,443472,276463,398449,208452,159487,272474,686456,591438,940447,246435,438421,685407,507406,208396,919386,901378,690240,220232,673200,479183,558167,642138,481132,385110,29879,63561,556
154,012154,012183,682183,682183,682183,682260,262260,262260,262260,262340,192340,192340,192340,192303,232303,232303,232303,232256,922256,922256,922256,922107,418107,418107,418--71,08471,08471,084--45,76145,76130,71918,86618,9135,90310,60615,317
26,51620,03278,92858,67940,66318,47866,48650,78727,45020,16568,33243,54025,29618,73156,88441,60717,3299,41256,69433,39812,92111,33628,48420,51510,6957,25453,55230,97620,8139,18451,05322,74241,43318,9582,37539,3146,40023,578
15,487-7,96333,77758,41144,5827,739-56,367-91,787-81,2662,460-67,403-17,041-7,750-2,215-20,286-10,041-5,325-3,049-9,913-6,266-3,545-1,745-8,958-6,667-2,813---4,568-3,656-1,579-594-6,757-3,925-12,258-21,936-19,647-12,615-17,893-24,875
-1,546-234-143,134-142,3321,519109-84,911-84,762400-1,044-70,610-71,310-48,63321-9,765-9,988-10,02836-4,950-5,565-6,048524129,601128,635131,946---10,265-10,265-8,906-9,685-18,638-11,882-12,71015,78323,378-13,6907,635-3,162
41,17912,508-29,670-24,06186,70125,311-76,580-127,287-56,46516,524-79,930-53,195-35,57515,63836,96024,9944,4345,55446,31024,0534,13010,683149,504142,923140,310--36,33415,2568,916-1,59025,3237,25315,04211,8535,54212,963-4,703-4,710
195,191166,521154,012159,622270,384208,993183,682132,975203,797276,786260,262286,997304,617355,830340,192328,226307,666308,785303,232280,975261,052267,605256,922250,341247,729--107,41886,34080,001--71,08453,01445,76130,71924,45618,8665,90310,606
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