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杭电股份 (603618)


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流通市值: 市盈率: 52周最高:7.83 52周最低:4.41

杭电股份(603618) 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)
2022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312012-12-312011-12-31
626,823403,654173,597744,256537,070307,184131,110581,368435,367270,52694,882490,920336,873215,09798,169437,731305,024199,18795,304416,096296,173168,30276,030367,458248,530161,17073,670311,425230,933144,06268,004266,807197,319130,33459,599240,778207,046203,591
539,498346,242148,147635,865463,323260,236110,019497,597366,137230,33380,426409,379276,961176,34380,865364,966253,366166,77679,314349,513245,823141,02763,527302,171204,278132,54761,380256,116190,833118,86557,021219,895163,556108,37749,999198,672170,825168,763
11,8799,4442,85612,19710,4767,9682,85414,19613,6287,4391,13113,73111,3867,5672,65112,9429,6516,8835,58714,87113,2496,0713,39816,75713,9748,6093,54015,42211,2426,7532,88313,4829,1394,9622,47511,86012,1743,584
11,9229,4082,82212,21610,6418,0042,83914,09413,5787,3921,07513,64211,4697,6412,66412,7779,5016,7875,53414,77713,4176,1983,66517,87014,7518,7003,76315,74911,2466,6692,92014,1239,3525,1612,59112,16013,8113,850
587346911,3458279205941,6901,6579471851,6161,6201,6443381,5031,1317915702,4461,9957076092,2351,9891,1625771,4361,3558244411,5671,0816084051,4901,782741
11,3359,0622,73110,8719,8147,0842,24512,40511,9216,44589012,0269,8495,9962,32611,2748,3695,9974,96512,33111,4215,4913,05515,63512,7617,5383,18714,3139,8925,8442,48012,5558,2714,5532,18710,67012,0293,109
0.150.120.040.140.130.100.030.170.170.090.010.170.140.090.030.150.110.070.070.150.140.070.030.210.170.110.120.660.460.280.130.730.440.260.120.600.660.14
66,85790,16149,66496,59382,047128,560114,507101,46447,56462,84573,34774,59559,28078,09784,50856,97826,69532,23573,13553,23951,78457,33455,43081,52090,13433,82035,86174,19449,67330,33545,96134,46724,03551,10543,52936,069
334,499283,771275,919225,323294,639247,729212,617179,493253,221253,068191,285176,476193,308179,230178,337147,470172,956168,296150,120148,782155,976157,569130,684122,092144,296132,626110,61287,808115,661104,64995,38376,14391,26663,13957,78242,076
170,721197,435212,802189,563191,794193,511137,720135,017130,200132,829138,652133,292128,489104,264109,664107,890122,359120,832104,771103,296122,445113,68498,23792,84582,19982,67875,82389,08886,65892,08784,87686,25964,43181,02051,09460,482
719,219712,938687,506660,452701,702681,684594,879558,302558,675550,500511,985485,473490,217460,284438,938378,750368,309374,304383,365351,083378,234363,125320,193332,623344,976271,358244,320277,514281,086249,588250,921214,853193,852208,581162,721148,105
--163,736--146,084--127,891--97,146--60,931--63,249--57,333--81,79059,33655,08352,75354,02143,16330,09731,29332,30732,45633,33432,23633,25231,00630,59529,65730,54030,68431,35732,41528,878
939,059931,978904,244875,501912,998891,331802,524744,475741,555731,014692,133662,892656,880623,863635,273568,719540,228537,526520,793482,647493,989436,346386,652397,201404,821329,791297,984330,668331,511299,691299,974264,553238,558251,536205,526188,757
513,846548,703516,579505,802467,955438,753381,024333,804359,296354,802341,473302,659304,991276,708302,771244,160230,391252,774239,045273,321286,321207,186156,626169,471178,815170,982139,595175,445180,666153,096151,480175,804157,771174,357140,532130,261
139,999100,860104,33592,509158,995160,947130,551130,516108,226105,73290,68090,28485,80684,91999,64095,02785,52862,84062,8601,5831,5061,4761,4431,4631,4911,5301,5271,5471,4971,5171,5371,5561,5961,6331442,993
653,845649,563620,914598,311626,950599,700511,574464,320467,522460,535432,153392,944390,797361,627402,411339,187315,919315,614301,906274,905287,827208,662158,069170,934180,306172,512141,121176,992182,163154,613153,017177,360159,367175,990140,676133,253
285,215282,415283,330277,190286,048291,631290,950280,155274,033270,479259,980269,948266,083262,236232,862229,532224,308221,912218,887207,742206,162227,684228,584226,266224,515157,279156,863153,676149,348145,078146,95787,19379,19175,54664,85055,504
85,81785,81785,81769,09869,99469,99469,99465,62865,62865,62865,62840,79540,79540,79540,79536,07636,07636,07636,07668,63168,63161,01661,01657,77756,90556,90556,90524,65324,65324,65324,65340,59440,59440,59440,59440,09136,06932,429
-53,818-58,357-56,422-77,724-84,275-69,076-10,032-6,544-32,057-53,315-55,340829-68,619-68,829-17,457-70,601-77,354-80,008-56,93620,782-27,376-51,316-22,800-23,077-35,244-38,791-24,816-5,217-49,831-61,300-45,5643,676-33,016-35,631-35,9685,1677,6827,448
-14,786-7,718-3,76310,160-1,1181,027314-23,588-19,097-4,893-2,404-14,539-16,248-4,432-9,257-60,340-52,917-31,564-4,012-81,692-53,718-11,544-3,041-30,716-9,546-7,422-498-9,488-4,326-2,699-1,080-10,885-5,527-3,528-1,856-2,503-3,261-6,469
33,94552,01218,81784,43031,25955,618-3,97730,57918,80339,85022,77838,17998,00362,97748,233135,225115,317101,26190,35628,39146,13041,5155,94264,43161,82012,630-4,28046,89362,13562,92359,851-8,73713,93418,55313,882-2,091-4032,661
-35,162-14,579-41,38416,719-54,187-12,481-13,728-34-32,370-18,344-34,95324,83313,511-9,97021,5174,719-14,955-10,31029,408-32,555-34,964-21,345-19,90010,85417,030-33,582-29,59332,2517,978-1,04213,207-15,941-24,606-20,614-23,9415034,0223,640
50,65571,23844,43385,81715,80757,51456,26665,59433,25847,28430,67565,62854,30630,82562,31340,79521,12225,76665,48436,07633,66739,67141,11768,63173,93523,32227,31256,90532,63123,61137,86024,65315,98919,98016,65340,59440,09136,069
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