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国光股份 (002749)


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流通市值: 市盈率: 52周最高:12.47 52周最低:7.9

国光股份(002749) 财务报表摘要

下载数据
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)
2021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312012-12-312011-12-31
95,28065,25519,490116,00486,59560,35218,555101,42879,36556,54517,35786,54267,30448,50916,89173,73258,70642,11314,10961,42650,46237,35212,20560,50252,86136,75413,07058,35149,89837,68510,91460,24253,11042,475
50,87333,53310,05161,15645,26331,0209,69154,90443,29529,8819,20644,29933,67023,6058,53935,24827,41419,2246,31830,40424,61917,8955,97131,51827,37518,5506,82129,90225,00818,2035,57730,76127,24221,862
22,08817,1044,64820,69523,06117,8476,41823,29021,13416,4205,60426,86020,80616,3215,85421,72418,62114,5584,54616,13514,70411,9893,70913,76313,79510,8013,75314,17713,64012,1533,14014,80613,06710,521
22,06117,1174,67220,72423,06717,8546,42123,25421,11816,4055,60526,62820,76716,2775,79721,74618,78014,6694,55816,33114,84212,1553,81915,68913,88710,9033,74814,48613,94212,3973,24214,99413,61111,908
3,3692,6287743,6873,3342,6259303,1413,0262,2938443,1693,1282,4568703,2162,7852,1646452,4062,2011,7925712,3082,0661,6275612,1272,1121,8744862,1912,0861,798
18,69314,4883,89817,03719,73315,2305,49120,11318,09214,1124,76123,45917,63913,8214,92718,53015,99512,5053,91313,92512,64110,3633,24813,38111,8219,2753,18712,35911,83110,5232,75612,80411,52510,110
0.430.340.090.400.460.360.150.550.490.380.221.081.381.080.662.472.131.670.521.861.691.380.431.881.691.370.532.061.971.750.462.131.921.69
103,585100,21698,48594,65989,50951,09249,95050,92449,91948,85444,82248,65352,15144,61952,70358,93354,15448,57562,90552,75249,66148,61965,19665,92564,34059,70460,84125,83825,15823,58015,9206,330
4,4354,2802,0712,4063,6622,9222,9492,2152,9682,9842,3501,5802,7903,7672,9502,1823,2433,3412,5702,2713,1873,8082,6402,0653,8513,9042,9292,4012,1362,3321,7241,703
28,35027,57630,05324,15220,19420,97621,30319,12219,62020,16119,12714,53013,30014,04213,53511,9989,78912,42013,19011,76210,35311,94813,91512,34311,08913,29512,20911,42211,26912,51710,59410,823
145,723141,445138,192128,609121,27882,44083,44879,73879,64278,40373,82079,87675,00571,59778,79982,07075,63474,88287,23588,90564,88165,48784,60583,01582,22579,13181,85343,27641,26742,40131,44921,148
--31,414--32,888--31,456--32,669--2,352--2,0961,7641,7811,7941,5711,5901,6491,6681,5521,6401,7151,7191,7901,7871,8481,9091,9742,0491,9472,0511,991
190,305186,063183,592174,632171,799136,571138,877134,205123,462120,073115,169112,520102,54098,205102,44098,55191,14690,024101,92599,47294,88894,25192,65791,01389,66686,29588,45949,55646,84747,84536,97026,756
21,64222,40022,10719,80113,88816,05217,79718,18812,80913,94114,60515,98912,59611,97310,46111,6867,65910,0247,9459,4156,1177,8095,8477,4517,6646,8409,0917,9235,74213,91010,83912,151
29,97329,71929,41726,66328,4343,4994,0884,5151,3671,5219711,7001,6831,7901,4301,244400404475466463412395395395395395340340000
51,61552,11951,52446,46442,32219,55221,88522,70314,17615,46215,57717,68814,28013,76311,89112,9308,05910,4288,4209,8816,5808,2216,2427,8468,0597,2359,4868,2636,08213,91010,83912,151
138,690133,944132,068128,168129,477117,019116,993111,501109,286104,61199,59394,83288,26084,44290,54985,62183,08679,59693,50589,59188,30886,03086,41583,16781,60779,06178,97341,29340,76533,93526,13114,606
94,47994,47994,47950,39550,39550,39550,39548,60448,60448,60448,60458,36858,36858,36858,36852,75252,75252,75252,75265,52265,52265,52265,52225,40925,40925,40925,83823,11723,11723,11723,58024,5566,3305,145
20,59816,8003,06620,93215,28511,58219021,57411,7587,863-1,33915,36711,68310,8471,19119,15814,37811,330-1,47917,03513,26810,427-61913,66311,2305,72374011,27110,1288,649-1,28313,00711,3536,393
-6,263-6,088-2,2581,19141-3,269-1,968-14,447-5,667-3,262-2,491-13,581-6,340-10,160-7,4219,5239,5246,99211,632-22,707-22,032-20,789-110-2,304-1,508-1,153-515-979-516-418-57-619-492-3,143
-6,903-6,4813,01821,96123,608-7,7951,137-5,336-5,306-4,3510-11,550-12,011-15,09358-23,065-22,764-22,746-131-7,098-7,098-6,67314928,75529,19629,67734,362-8,000-7,766-7,732-8,420-5,192-1,271-2,066
7,4324,2313,82644,08438,934518-6411,790785250-3,831-9,763-6,668-14,406-6,1715,6161,138-4,42310,022-12,770-15,862-17,036-57940,11338,91734,24834,5872,2921,846499-9,7617,1979,5901,185
101,91198,71098,30594,47989,32950,91249,75450,39549,39048,85444,77448,60451,70043,96252,19658,36853,89048,32962,77452,75249,66148,48764,94365,52264,32659,65760,42525,40924,96323,61513,81931,75315,9206,330
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