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尚纬股份 (603333)


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流通市值: 市盈率: 52周最高:12.3 52周最低:6.39

尚纬股份(603333) 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)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-312011-09-302010-12-312009-12-312008-12-31
92,72220,588203,355142,29890,84743,555157,521110,30466,78121,82191,42766,13842,67617,28555,84338,23726,30113,33662,88146,56431,89111,57160,69141,35425,44810,77998,67883,36555,18619,166115,41190,33658,096133,14696,592119,19191,68585,283
75,15716,407159,805112,12871,72335,567127,19989,69055,30918,59776,28455,12735,53714,32647,82132,29622,01411,28353,19439,63927,16510,60651,52135,31121,6969,30677,93764,59342,10114,92385,29967,27542,80494,51468,08382,72859,20956,469
2,015-1,22010,4649,2256,0911,8795,7625,3032,902-8731,9701,945743267-8,575-3,333-1,757-276-1,7151,35314-288-6,763-4,287-2,464-1,7836912,8793,291199,1436,2483,71815,54510,88111,99611,9199,986
1,649-1,60411,0309,2516,1061,8935,6965,3122,913-8721,9492,323979350-8,174-3,122-1,775-1505871,690173-203-7,458-4,111-2,335-1,7617892,8533,2261269,8346,7464,19315,63910,96912,73512,3099,850
-191-80814-58-123-26-101139245-12826170-61-39-415-67122825639396139-538-368-136-263142428484191,5281,0576292,3561,6762,2392,4621,885
1,840-1,52410,2179,3096,2291,9195,7985,1732,668-7451,6882,2541,041389-7,759-3,055-1,787-1773301,29676-342-6,920-3,743-2,199-1,4986472,4252,7421078,3065,6893,56413,2829,29310,4969,8477,965
0.04-0.030.200.180.120.040.110.100.05-0.010.030.040.020.01-0.15-0.06-0.03-0.000.010.030.00-0.01-0.13-0.07-0.04-0.030.010.050.050.000.180.190.130.510.360.420.390.32
34,55730,55637,98014,15014,55411,96913,88113,63214,95412,83816,4358,1179,39512,04318,46218,65819,59611,95813,95315,62215,77614,3568,98313,27514,28315,39124,30239,74941,73246,89482,77031,82258,37530,90737,50034,8479,8315,206
107,64087,482119,921113,579111,814110,094100,42689,20583,58966,85656,04659,80456,55751,89647,54853,04053,14751,64550,52955,42858,01050,43455,65457,94165,50964,14068,36587,16587,13968,18267,13686,93582,34961,17659,65249,34744,71833,783
27,77735,47322,64424,72821,92321,57218,89017,50814,89314,11511,18013,85310,4809,0939,83710,9549,1358,09210,0089,8589,1528,5888,59812,1999,5088,6819,68210,35213,29410,47210,07610,98813,02610,31010,60614,2009,3657,203
230,678209,832217,815194,266179,967164,950153,175139,865133,821114,654109,840107,99396,23990,98391,43893,33694,99394,02796,11593,71491,96888,23086,55399,121104,294104,972119,339146,852153,520155,699166,273138,074160,349113,768118,286106,00470,78753,741
51,657--52,415--50,633--51,90450,54051,45252,23053,26453,64254,81155,21956,41755,64757,03158,15759,23260,91562,15963,40764,63329,42130,31332,64633,57234,50335,01930,43131,10327,82828,35921,36121,89422,42022,27717,541
307,530286,851293,925270,725255,910238,605224,620210,054204,316185,304181,023180,389169,873165,349166,970169,744172,523172,687175,812174,401174,797172,358171,764183,133188,468188,873202,380229,499234,628235,007242,887211,690230,757168,899168,370148,07599,61777,671
147,116132,233130,731110,851102,27087,92778,68161,96759,13239,45534,36633,03923,69019,74921,71919,71721,15719,64122,51720,06921,51419,42318,41626,68930,46529,93541,93367,25672,04972,59680,56448,96571,32172,95779,21874,21547,54240,943
8,8649,0159,2149,4576,5206,3494,3924,4814,5344,6054,6764,7474,8184,8894,9605,0315,1025,1735,2445,3155,4865,5575,6285,5475,5665,5855,6025,6215,6395,6115,6298,6477,48423,74720,94714,9478,5003,000
155,981141,248139,944120,309108,79094,27683,07466,44963,66644,06039,04237,78628,50924,63826,67924,74826,26024,81427,76225,38427,00124,98024,04432,23636,03135,52047,53572,87777,68878,20686,19357,61278,80596,704100,16589,16256,04243,943
151,550145,603153,980150,416147,119144,329141,546143,605140,650141,244141,981142,603141,364140,711140,291144,995146,263147,873148,050149,016147,796147,378147,720150,897152,438153,353154,844156,622156,940156,800156,694154,077151,95272,19568,20658,91343,57533,728
21,07121,0718,1338,1338,1338,13311,49411,49411,49411,49414,62514,62514,62514,62510,89610,89610,89610,8965,4435,4435,44312,33721,19421,19421,19421,19475,38775,38775,38775,38715,06315,06315,06323,38323,3835,8751,9393,181
4,5706515,345-7,921-8,097-11,628-21,626-18,645-15,805-9,750-8,445-14,619-5,033-6,603-2,940-2,995-1,814-1,78410,2933,8023,3361,54515,3648,5064,0847,275-15,024-20,847-22,333-5,6509,452-14,834-13,6259,2146,46614,4461,0243,003
-7,750-9,836-9,385-6,676-5,882-2,038-3,688-3,830-3,175-1,074-595-342-142-1257,3397,5807,591-348-8,526-368-677-840-6,078-5,852-5,396-6,132-10,548-8,628-6,225-3,642-17,634-16,460-12,611-20,453-10,022-16,293-6,947-7,796
-4,825-3,84116,96810,43013,24011,07621,89419,44917,9197,7255,9224,559-4,440-159-679-517-352-1833,6923,8694,0704,326-25,019-13,504-9,283-10,000-28,622-10,961-11,978-5,58868,50640,73663,4342,9202,49719,3559,8603,550
-8,000-13,02112,938-4,154-740-2,598-3,361-2,971-1,075-3,127-3,131-10,395-9,609-6,8863,7294,0745,428-2,3125,4537,2996,7195,018-15,750-10,858-10,595-8,857-54,193-40,437-40,540-14,88060,3249,44237,198-8,320-1,05917,5083,936-1,243
13,0728,05121,0713,9797,3935,5348,1338,52310,4198,36711,4944,2305,0167,73914,62514,97016,3258,58410,89612,74212,16217,3555,44310,33610,59912,33721,19434,95034,84760,50775,38724,50552,26115,06322,32523,3835,8751,939
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