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华昌达 (300278)


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流通市值: 市盈率: 52周最高:9.28 52周最低:3.31

华昌达(300278) 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)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302010-12-312009-12-312008-12-31
71,53837,794158,330111,81081,71636,111272,548195,015120,77944,479296,603228,875165,44280,376226,273158,609110,51359,462174,971130,47387,75138,56443,68622,7249,0674,56721,20315,03510,7313,68525,01820,49715,2086,03534,38126,74615,16018,1579,1684,108
63,24033,650141,54591,45969,06729,334219,846160,007100,32634,889245,154193,419140,66167,843181,860128,69189,27849,455143,598107,37772,66229,76930,87116,5746,4143,23614,61510,3047,5942,52817,52614,63311,1854,50823,95219,01810,69712,8286,6223,073
-7,173-4,469-98,870-30,874-15,753-4,2296,1273,2093,6501,83011,1057,4675,9514,88913,52710,0098,1443,91111,2889,5866,9064,8244,9362,5665333581,7401,7481,1943232,8202,4251,5184005,7204,4842,2973,3991,591637
-9,295-5,531-150,402-65,525-48,294-4,2346,1453,5203,7211,82610,2209,7568,0605,80214,19910,2868,4254,06211,82910,0157,2385,0995,5162,7696874491,9941,9551,3184023,6423,1391,9755755,8294,5882,3383,5391,716637
-7392074,5741,7741,052763,7113,3451,4647283,6853,4641,4991,9742,5962,9052,2873991,7551,7591,1908126013031767275257140375073551937594770556746120983
-8,555-5,738-154,976-67,300-49,346-4,3112,4351752,2571,0986,5356,2926,5613,82811,6037,3816,1393,66310,0748,2566,0484,2874,9142,4666703821,7191,6981,1783653,1352,7841,7815004,8823,8831,7713,0781,507554
-0.15-0.10-2.78-1.12-0.82-0.070.040.010.040.020.110.120.120.070.210.140.110.070.180.150.110.080.240.130.040.020.100.100.070.020.180.160.100.060.720.580.260.760.510.19
31,88218,36720,37322,25222,65627,18530,93836,92841,92536,34050,85346,01451,18676,22051,56646,72135,30938,69833,09825,19623,13916,62915,92133,6514,2638,53013,21511,06710,34410,75412,43513,21622,55826,51840,96010,01012,54012,8021,283684
38,12048,09368,78480,85899,669105,150112,035110,109109,028106,550115,108114,668125,437127,058116,132110,75987,91997,70480,12182,71877,98678,92439,87239,40819,55419,19218,95618,28318,77316,52716,26518,16016,75612,89810,8478,9157,5332,8093,135702
52,86760,36559,585113,057110,284107,609104,275130,437118,730107,45684,45581,21569,67465,95465,26058,11262,80759,34058,41454,93449,58444,45639,81937,51824,40520,77020,16221,18318,48718,50416,88013,78511,45115,39414,09412,60614,0099,6334,5044,914
175,247177,309172,837233,454256,825272,053277,530309,161299,213283,202286,437295,966298,198320,192275,662252,721209,918218,192196,325182,948173,414166,018110,514121,69759,56659,87060,34560,94958,09055,57355,34152,68261,40563,41672,36739,77638,91331,76812,8297,782
43,964------46,521--52,97650,95751,18551,18150,59349,96947,26332,35632,66428,47728,55125,15425,29422,79023,01623,03018,78418,44317,42117,41017,65213,00613,16413,30313,09313,22313,3656,5546,2383,8493,8363,3088631,029
303,287305,739302,211384,060418,624448,118454,885483,188472,932453,367457,715468,694472,766485,780437,764397,000354,740350,983324,943299,302288,981281,463197,695208,44783,61684,00084,64080,65777,56474,94474,49271,66080,31778,95985,83950,78649,07436,10214,9509,054
199,849201,346194,360211,955227,415214,914228,309261,426251,025227,677234,209245,485249,899260,710266,516225,073184,171190,411171,204152,189143,054136,01457,74268,74126,12226,55327,50923,72921,08818,86818,71316,11022,36922,26829,64729,95430,35419,17810,8387,442
82,45580,58979,10468,28868,23863,47754,91755,14256,12360,51859,39159,37159,29163,50713,71315,41716,1698,0296,0212,0682,0373,4392,1524,4102,2672,3352,4022,2192,2872,3542,4212,5432,8112,8352,83514514512000
282,304281,934273,464280,244295,653278,390283,226316,569307,148288,195293,599304,856309,190324,217280,229240,491200,341198,440177,225154,256145,091139,45359,89573,15128,39028,88829,91125,94823,37521,22121,13418,65425,18025,10332,48230,09930,49919,29810,8387,442
20,98323,80528,746103,817122,971169,728171,659166,620165,784165,172164,115163,838163,576161,563157,536156,509154,399152,542147,719145,045143,890142,010137,800135,29655,22755,11254,73054,70954,18953,72353,35753,00655,13853,85653,35620,68718,57516,8034,1121,611
16,95416,95419,60118,41019,60118,50630,43830,43830,43830,43844,52944,52944,52944,52926,34426,34426,34426,34411,33211,33211,33211,33213,21513,21513,21513,21512,43512,43512,43512,43540,96040,96040,96040,96012,80212,80212,8021,283684224
12,419-1,498-1,775687-4,498-4,58510,1756,55013,64710,5243,238-3,8296,976-15,859-8,595-22,482-2,715-6,117-2,997-5,733-9,179-4,150-2,162-263-5,414-2,792-2,070-4,598-4,583-2,901-11,155-11,479-9,645-5,047-3,497-942-5171,57967-58
-34-3003,8391,100-725-418-6,906-5,591-4,976-2,068-9,639-15,634-12,151-5,925-27,094-14,339-12,765-7,688-44,097-33,949-33,188-34,560-7,721586-348-230-4,626-671-642-481-7,170-6,543-3,904-2,364-5,179-5,152-2,113-3,041-2,018-360
5731,633-5,000-4533,1214,294-14,628-8,572-6,805-15,070-6,09410,7257,78541,42850,92143,54917,21519,59662,28547,72147,84141,1547,99420,109-3,193-1,6617,4883,9043,1361,701-10,223-9,723-4,853-7,03136,8353,3022,36712,9812,550878
12,588-233-2,6471,023-2,412-728-10,836-7,0341,924-7,057-14,091-8,8522,44719,61718,1856,8941,7435,78315,0127,8485,4732,442-1,88420,436-8,952-4,685781-1,367-2,091-1,680-28,526-27,745-18,402-14,44228,158-2,792-26311,519599460
29,54216,72116,95419,43317,19017,77819,60123,40432,36123,38130,43835,67746,97564,14644,52933,23828,08732,12726,34419,17916,80413,77411,33233,6514,2638,53013,21511,06710,34410,75412,43513,21622,55826,51840,96010,01012,54012,8021,283684
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