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苏利股份 (603585)


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流通市值: 市盈率: 52周最高:23.13 52周最低:14.8

苏利股份(603585) 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)
2022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312014-12-312014-03-312013-12-312012-12-312011-12-31
243,467164,33379,474229,165157,59297,42141,572155,861111,11466,64132,324181,261138,28295,39544,249164,590120,30781,16238,036145,662106,45273,30835,317135,057100,19366,68030,665112,28189,01021,20781,34371,62167,943
188,366123,40258,042175,146123,79774,47031,815113,87279,51646,36022,296114,91783,36256,06325,90297,81571,34647,31521,85790,57567,21647,31123,10889,84466,57344,01219,47979,94265,65415,77859,75453,51953,675
40,27730,63814,79132,81620,58213,8555,77526,09619,72513,3306,46548,59341,78529,85513,20150,82538,20025,76610,23336,59026,21018,0287,85930,37122,75116,0067,15118,72110,8352,33210,3559,8006,437
40,24930,61614,80132,63820,53513,8735,80325,84419,48613,1076,23648,49341,75729,82013,19150,74738,23925,76610,21637,09926,80318,1747,92430,56922,92016,1257,18318,87711,2762,8039,9079,8056,446
6,9564,9952,2734,4673,9412,2831,3773,9432,8711,9208407,6988,8366,4972,2438,1297,0934,8541,9366,2224,1152,7211,2894,8254,8883,4721,4542,9071,8344311,6181,9711,017
33,29325,62012,52828,17116,59411,5904,42521,90216,61611,1875,39640,79532,92123,32410,94942,61831,14620,9128,28030,87722,68815,4546,63525,74418,03212,6535,72915,9709,4432,3728,2897,8345,429
1.471.110.551.290.770.540.210.970.720.480.221.681.350.950.441.731.260.850.401.501.111.050.472.401.741.210.541.570.920.220.821.00--
194,828181,419175,829112,34399,953107,15891,425108,255102,869107,014118,501125,856123,353122,705130,575124,203121,284111,614108,848101,02169,69278,89390,14392,10530,93222,32217,78812,6987,29910,70210,55914,263
41,19442,97443,97428,00227,27426,76127,85526,49127,97324,40225,50127,39722,05130,27828,14327,61222,22828,05924,50422,76718,85829,16729,20726,31422,90823,81818,36416,06020,12113,44613,37412,676
34,39537,18932,39138,95623,39528,46826,76322,06918,08323,48826,39121,23324,52422,33820,17720,38017,23817,80020,25119,91115,27515,95215,53015,54412,76812,22813,19215,67415,75913,45712,5358,974
332,497344,383332,027240,666213,111203,115182,633182,054172,936172,745181,781184,312188,658188,860187,986182,609171,843161,876158,039148,864140,226140,314142,895139,99773,44762,53055,74248,62945,29841,32039,12239,018
--88,933--91,925--78,580--82,361--82,723--37,894--37,292--38,58735,62836,63036,63831,96132,10332,66933,19933,55232,69828,58029,11526,62527,14925,38123,06523,357
528,174507,639481,948387,181351,431332,245309,844306,825295,638293,399290,681285,425272,666262,721258,356246,047229,441218,977214,012203,973195,136192,940193,690189,506121,049105,80499,20889,28881,25175,98267,50166,445
108,55099,58290,789115,37787,77075,20251,57953,71535,23738,71030,45930,77925,47125,22822,54321,30218,50118,49616,23814,63014,15219,36122,77124,67926,41225,82625,08731,26731,56724,88128,34427,909
89,87086,19579,9221,8391,6331,7921,7921,0821,0038178709229701,0201,0281,0701,1131,1141,0831,1231,1621,2021,2411,2811,0151,0791,1121,2405834,5666,00811
198,420185,777170,711117,21789,40376,99553,37154,79736,24039,52831,33031,70126,44126,24823,57122,37219,61419,60917,32115,75215,31420,56224,01325,96027,42826,90626,19832,50632,14929,44734,35227,920
329,754321,862311,237269,965262,028255,251256,473252,028259,398253,871259,351253,723246,225236,473234,785223,674209,827199,368196,691188,221179,821172,378169,678163,54693,62278,89973,00956,78149,10146,53433,14938,525
97,74197,74197,741106,665106,665106,665106,665123,185123,185123,185123,185124,203124,203124,203124,203101,021101,021101,021101,02189,11789,11789,11789,11715,01915,01915,01915,0199,57210,70210,70210,55914,2635,904
41,45823,68666531,60018,78811,571-8,47516,90612,0664,62151348,63346,12626,94913,60242,04934,06322,55311,26728,45524,1188,66877323,68418,89412,2657,59514,70717,604-1,36616,5426,660-51
-66,834-52,159-34,313-36,765-28,060-8,931-9,856-20,680-23,114-15,190-12,780-38,103-39,403-23,784-6,626-11,438-6,854-4,965-2,812-7,849-34,816-12,420-2,283-10,671-7,523-4,096-1,912-6,885-9,338-2,675-9,154-5,318-4,435
88,69090,83394,590-3,612-5,427-5,4230-11,520-11,523-11,5150-11,336-10,800-10,1330-7,762-7,500-7,0500-7,371-7,371-7,011-39159,098838-5,072-62-3,427-9,292565-7,066-5,04513,132
65,72263,36860,870-8,924-14,590-2,751-18,172-16,520-22,573-21,744-11,975-1,019-3,643-7,0726,37223,18219,9639,9437,82711,905-19,425-11,655-1,59274,09812,8363,6365,5035,446-1,129-3,403143-3,7058,359
163,463161,109158,61197,74192,075103,91488,493106,665100,612101,440111,209123,185120,560117,132130,575124,203120,984110,964108,848101,02169,69277,46287,52489,11727,85418,65520,52215,0199,5727,29910,70210,55914,263
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