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乔治白 (002687)


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流通市值: 市盈率: 52周最高:6.72 52周最低:5.06

乔治白(002687) 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)
2021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312010-12-312009-12-31
22,026108,84768,70642,16418,411112,10773,70950,13121,995100,45964,82043,07718,59278,66854,53534,39815,01370,23951,69535,94215,58567,15044,69530,75213,66865,84743,45728,67912,31958,21642,48229,51111,46764,09845,57332,1349,82358,97141,64930,230
11,84755,04437,37623,41910,49758,25536,24725,50511,68153,06331,82322,7819,90141,93529,83217,9167,82036,85326,76118,7738,40234,81222,54015,6177,20334,65822,32814,5546,28129,30221,55915,5226,21133,69424,53517,5015,24931,58920,85114,814
1,86619,2869,2605,1202,28118,63811,0357,7702,53515,7148,5195,8431,71910,4995,8954,5401,2128,1646,3135,3441,2067,6585,2454,1411,1358,9026,1954,4441,0367,0875,1554,47787110,7807,2665,6981,18610,8968,0514,734
1,85918,4438,6104,5911,97918,42910,4897,3202,49915,2728,2425,6721,78310,2256,4024,9971,3548,9766,5685,4951,2688,0815,3174,1741,1349,1076,2634,7191,3097,4755,4704,7061,11911,1487,4155,7521,14911,0988,3664,825
3884,0152,0951,1906784,1382,5271,7857383,5852,0191,4434782,4971,5491,2694012,1441,6631,4533242,0241,3379153741,0421,2779163329281,059819-321,5981,2619491821,6741,121767
1,47014,4286,5163,4011,30114,2927,9625,5361,76111,6876,2234,2291,3067,7284,8533,7289526,8324,9044,0419446,0573,9803,2597608,0644,9863,8039776,5474,4113,8871,1519,5506,1554,8039679,4247,2454,058
0.050.410.200.110.040.410.220.150.050.320.170.110.030.210.130.100.020.180.120.110.030.170.110.100.040.350.210.160.050.330.220.200.121.130.780.650.131.270.980.60
20,65150,31525,68815,13217,14832,10311,8869,99917,54331,7328,7555,72014,24422,33816,03615,16220,36428,6077,6226,45813,49625,15710,07011,79519,82030,96018,45219,32423,24431,46521,97322,05723,69034,28037,5321,5631,7084,8964,4393,131
28,68823,56727,85527,34626,58324,39126,52627,32224,45822,47826,00828,53623,55219,86023,59221,76418,74315,63423,26223,68419,12416,73922,38421,48118,40513,29717,27515,16914,78212,83917,90816,79314,50917,39519,10518,21810,76111,18312,0758,303
27,68928,03730,61130,43831,64432,80333,14129,50531,04528,73532,49327,67723,51621,04021,31520,54819,64618,84120,97819,68720,08117,05819,12415,47515,96214,54118,57616,49415,23914,51614,35212,85113,66811,87312,2218,96315,33012,8339,5095,701
88,282107,59987,48876,40379,56893,55776,75271,94677,57486,76371,93065,87366,58173,11964,89860,84561,70666,32256,41357,24655,76663,05754,97352,23657,46762,79257,92554,68357,20361,62556,61154,24654,67466,03472,95133,28230,84431,39428,28118,921
--48,597--48,301--49,674--47,195--47,97048,13348,96849,76650,61951,68152,52153,49854,29553,94554,77355,71456,37658,66859,04344,74645,43727,64427,85028,46628,89529,28429,81130,37930,53624,13120,98017,52316,57812,28812,059
159,344177,586157,153147,173150,508165,428147,757142,299147,110156,409141,427135,738137,338144,496136,680133,398135,082140,882130,974132,790132,516137,499128,991126,959132,613138,038113,768110,006112,924117,856112,535109,443110,422113,940108,35967,66962,85161,44649,35136,523
29,27940,50230,87023,83929,45545,54734,16031,10831,60942,04332,50828,78027,95536,32726,10624,29423,48230,01023,01525,79923,73528,93428,72227,42128,77335,01716,38813,88514,52220,47417,45614,91113,31917,93516,14330,25229,35526,10420,68412,292
3,5863,0633,1733,2013,0193,1473,1933,2133,2433,4103,4263,4603,4863,5773,6973,7223,6703,8953,6163,6813,7334,5161,0711,1921,2921,2327887128908486806581,0361,089695676592595536536
32,86543,56534,04427,03932,47448,69437,35434,32134,85245,45335,93432,24031,44039,90429,80328,01627,15233,90526,63129,48027,46833,45029,79328,61330,06436,24917,17614,59715,41221,32218,13615,56814,35519,02416,83830,92829,94726,70021,22012,828
126,480134,022123,109120,134118,034116,733110,404107,978112,258110,956105,493103,498105,898104,592106,877105,382107,929106,977104,343103,310105,048104,04999,19898,347102,549101,78996,59295,40997,51296,53594,39993,87496,06794,91691,52136,74032,90534,74628,13123,695
48,19331,23931,23931,23931,23930,45030,45030,45030,45020,73620,73620,73620,73626,97326,97326,97326,97324,12324,12324,12324,12330,10130,10130,10130,10131,06031,06031,06031,06033,73233,73233,73233,7323,3643,3643,3643,3643,9662,692878
-14,69018,127-5,227-15,729-14,60115,499-8,650-12,074-12,01711,960-14,590-18,113-12,42014,026-6,701-8,232-7,23612,920-7,151-13,112-7,9369,294-10,850-10,179-6,76110,372-6,515-5,091-6,71613,2091,121537-1,8146,272-1,669-2,878-2,5199,0215,7031,229
-6,782-3,555-424-489-214-6,660-510-2,965-1,6793,1464,1965,0454,077-8,048-1,868-716-391-4,306-4,458-3,574-2,992-2,718-1,534-927104-8,407-2,487-1,129-390-11,862-10,236-9,028-8,585-18,425-7,056-5,093-2,918-10,306-4,984-1,190
-9,0592,382-445-26637-8,051-10,564-6,537-458-5,392-2,467-3,3230-12,215-4,044-4,377-18-5,765-5,317-1,428-255-12,554-7,906-7,507-4,080-2,924-3,943-5,931-1,002-4,018-2,997-3,463042,52142,5215,7473,1396835551,775
-30,53116,954-6,095-16,485-14,778789-19,724-21,576-14,1549,714-12,861-16,391-8,343-6,237-12,614-13,326-7,6452,850-16,926-18,114-11,183-5,977-20,290-18,612-10,737-960-12,944-12,151-8,108-2,672-12,112-11,954-10,39830,36833,796-2,224-2,298-6021,2741,814
17,66248,19325,14414,75516,46231,23910,7278,87416,29630,4507,8754,34512,39320,73614,36013,64719,32826,9737,1976,00912,94024,1239,81011,48819,36430,10118,11618,91022,95331,06021,62021,77823,33433,73237,1601,1401,0663,3643,9662,692
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