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海南高速 (000886)


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流通市值: 市盈率: 52周最高:6.48 52周最低:3.41

海南高速(000886) 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)
2020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-312008-12-312008-09-302008-06-302008-03-312007-12-312007-09-302007-06-302007-03-312006-12-312006-09-302006-06-30
73717,39013,92410,3686,55646,18637,43826,33711,60458,32643,63637,02520,12235,09714,3579,8985,09221,22416,2219,9095,03529,96519,8338,1604,09249,59423,06119,64513,81534,31226,79320,06612,66953,00843,49136,30128,49159,45610,6126,9973,82121,16210,2816,7973,40623,34114,3909,5474,28224,79816,44510,8355,22436,27422,69617,724
2557,1754,8233,6622,54618,84814,45710,3754,67831,12723,81920,93312,01116,6244,6523,2121,66011,0445,7543,3771,67317,8488,8013,0801,53817,1878,9127,4835,30613,83910,3577,1594,63718,45414,57110,7508,23529,7263,6652,3531,1989,6654,0252,6591,20611,0036,7584,3741,97714,7728,7165,8082,71326,56115,51012,909
-7898,1517,7266,2373,60121,63119,4659,9854,65212,97514,18911,5106,7208,5406,0524,2542,035-13,4367,7825,3522,8445,5207,4633,5881,79317,1208,1077,5905,57610,7829,9408,0625,45517,15615,73213,83911,12515,1392,6191,3781,1085,5722,4731,9179382,6523,0451,9595113,6722,0761,365645-752-371-244
-7968,6287,5056,0203,55921,04619,3899,9024,59612,93614,17511,4936,7208,4415,9824,1841,965-19,9927,8105,3822,8586,2548,4435,0463,07417,0139,4158,9975,57111,07710,7128,8735,44619,15015,84013,94811,13414,9172,9381,6481,1256,8473,9162,5769503,4762,8121,3605184,4722,0191,309630-799-3189
1102,3922,0531,5608474,4373,7922,4341,1533,5053,1062,3501,1752,2621,4269473942,6901,3427915351,2091,6548425353,4901,5031,3651,1231,8931,9521,4741,0583,5143,5303,2482,5313,023452261861,361738450831,0925953651631,496547383138596441332
-9066,2365,4524,4592,71116,60915,5977,4683,4439,43111,0699,1435,5456,1794,5573,2371,571-22,6826,4684,5902,3235,0456,7894,2042,53913,5237,9127,6324,4489,1848,7617,3994,38815,63612,31010,7008,60311,8942,4861,3871,0395,4863,1782,1268662,3842,2179943542,9761,472926492-1,395-472-243
-0.010.060.060.050.030.170.160.080.040.100.110.090.060.060.050.030.02-0.230.070.050.020.050.070.040.030.140.080.080.050.090.090.080.040.160.130.110.090.120.030.010.010.050.030.020.010.030.020.010.000.030.010.010.00-0.01-0.00-0.00
64,29367,20059,84071,36430,26330,51231,29145,73443,29444,30034,43840,02056,44655,30639,62148,53474,89570,23343,52261,59145,52560,30947,17757,38441,28152,56540,09761,84567,051121,24262,661126,88884,95893,96885,96487,96795,71591,09652,24747,35947,98740,31456,38857,77859,02668,36459,04952,07063,11553,04359,87766,849--87,775
8357698549811,0301,1711,3891,4102,0882,0234,8899631,0058171,2161,1981,8311,7002,2072,3692,2263,1613,6489301,0831,0121,6821,6681,5663931,8412,0201,67622,55022,93022,88223,01822,72054,80452,83851,14049,30847,76045,21343,36441,43617,61715,32712,82210,82410,6988,525--4,079
34,32334,19036,56036,73836,86938,41340,59443,49447,66351,04357,21258,71666,34277,17286,06685,39584,78282,25694,36393,37493,18688,86886,78088,19385,17181,04579,13971,14267,89766,88865,34063,95562,66364,88366,23765,54166,47073,24185,12979,87370,17765,44030,64724,63620,06717,48315,62720,99719,24416,25714,04214,349--16,591
217,536218,888223,441226,551226,304227,879226,985233,351230,452218,146211,983211,701213,897203,640207,481204,594202,642203,224223,475219,608218,122218,920217,631216,180212,150211,330192,977193,005190,241220,996212,598211,023162,449208,467202,584203,382210,178205,471212,101202,069191,365173,973157,401150,605145,428149,174108,68399,234102,45390,48088,00494,745--113,760
--8,791--10,069--10,39410,83811,01711,22511,41911,64711,85412,06812,26013,35813,60013,71914,07114,51914,85815,25215,64815,23215,71416,15716,47216,25016,35816,87517,60418,81319,40923,96524,63424,70025,51725,33826,03326,40526,13924,75025,19926,25927,23628,27828,849373,377375,175376,821378,269377,827378,341--382,019
322,620325,754321,486325,410326,263328,495327,212330,241328,619317,457317,289318,121321,717312,662312,951311,561310,691312,465326,984324,566323,554326,578324,264323,658321,334321,539301,025301,903298,360298,382295,730295,130293,346298,228291,145289,344299,084295,682303,287295,702286,443269,503273,498264,531259,108262,049523,718523,324521,910520,510514,627519,872512,628512,233
38,35940,57636,74941,67239,32544,17844,68655,83653,21245,47041,90844,52751,64948,00450,22049,71050,28653,52044,92344,39445,70151,05747,07149,22843,72546,46931,75032,96832,91537,38435,14835,99937,43046,66743,19943,07346,94952,13558,88552,40043,38527,60834,05426,14021,97524,31723,13823,96323,15622,61118,22824,089--17,237
5,8335,8336,1706,1706,1746,2515,4645,4825,5375,5594,7614,9004,9695,0685,8566,2456,3436,43057855749645033717717717700000000000010,26210,26210,26210,26210,26210,26210,26211,728274,465274,469274,501274,501274,562274,493--274,574
44,19246,40942,91947,84245,49950,43050,15161,31858,74851,02946,66949,42756,61853,07256,07755,95556,62959,95045,50144,95146,19651,50747,40849,40543,90246,64631,75032,96832,91537,38435,14835,99937,43046,66743,19943,07346,94952,13569,14762,66253,64737,87144,31736,40232,23836,045297,603298,432297,657297,112292,790298,582--291,811
278,428279,344278,567277,568280,764278,065277,061268,923269,871266,428270,620268,693265,099259,590256,874255,606254,061252,514281,483279,615277,358275,072276,856274,252277,432274,893269,276268,935265,445260,997260,582259,130255,917251,561247,946246,271252,134243,548234,139233,040232,795231,632229,181228,129226,870226,004226,115224,892224,252223,398221,837221,291220,120220,422
17,95530,43530,43530,43530,43547,25247,25247,25247,25265,80065,80065,80065,80087,52987,52987,52987,52981,37781,37781,37781,377106,660106,660106,660106,660131,169131,169131,169131,16990,61390,61390,61390,61385,68785,68785,68785,68734,91034,91034,91034,91062,65762,65762,65762,65753,04353,04353,04353,04287,77587,77587,77587,77519,53919,53919,539
-3,364-242-3,237-3,878-1,88022,46921,44121,28314,39037,15222,52325,94121,5769,360-839-2,087-3,939-3,840-4,121-6,541-7,813-9,857-10,101-11,900-11,9756,508-12,496-3,589-1,45732,57630,42733,55232,54317,4786,8763,8447,14557,1978,2747,8618,581-9,826-7,112-7,313-4,839-2,949-5,369-4,006778-1,3304,9905,433-12477,58874,51873,688
10,629-7,39137,35944,7291,629-34,40837,73123,45122,603-55,701-44,062-27,89926,092-31,086-7,006-19,94511,71610,0747,83725,337830-10,58210,82510,2849,798-30,907-28,527-30,335-63,9018,029-59,5881,465-41,554-4,879-5,148-443-407-6,4203,655-818-909-16,220-2,859-1,328-2,86112,12310,9352,5948,795-33,263-34,018-27,404-2,063-4,241-1,859146
53-4,846-4,94600-4,878-4,881000000-3000-82-82-82-71-4,845-3,573-60-110-25-25-21-50-5000-7,673-6,087-5,753-60000---1,700-1,700-1,640-1,640440440440500-1391,1311,046268-5,111-7,479-7,565
7,318-12,47929,17640,851-251-16,81754,29144,73436,994-18,549-21,539-1,95847,668-21,729-7,845-22,0327,7776,1533,63418,715-7,053-25,283-2,850-1,622-2,177-24,509-41,048-33,949-65,37940,555-29,21135,017-9,0114,926-4,359-2,3526,67850,77711,9307,0437,672-27,747-11,671-10,281-9,3409,6146,006-97310,073-34,732-27,897-20,926-1,91968,23665,18166,269
25,27317,95559,61171,28530,18430,435101,54291,98684,24547,25244,26163,842113,46965,80079,68465,49895,30787,52985,011100,09174,32481,377103,810105,038104,483106,66090,12197,22065,790131,16961,402125,63181,60290,61381,32983,33592,36585,68746,83941,95342,58134,91050,98552,37653,31762,65759,04952,07063,11553,04359,87766,84985,85687,77584,71985,808
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