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聚飞光电 (300303)


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流通市值: 市盈率: 52周最高:8.49 52周最低:3.55

聚飞光电(300303) 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)
2020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-06-302010-12-312009-12-312008-12-31
100,04543,955250,686184,951114,66151,525234,502172,189112,54556,858205,514140,37281,48036,749150,910105,48565,49627,91095,94868,70241,63220,61399,05176,10248,12521,29875,36353,01731,93313,85549,51934,88420,9349,71334,69116,44728,76917,92410,502
71,04131,852180,703133,75183,73638,509183,234135,35290,39346,337160,870109,26763,01428,085114,37879,70550,08221,25473,34351,89631,14015,45970,52553,86934,09214,99553,05736,82622,0519,31833,50323,25913,6226,04322,14810,15418,53610,7647,059
15,9276,52635,47229,06416,8506,56618,65415,4159,1434,3615,48013,1947,5424,13217,42512,4466,6093,32810,83210,0877,2125,10820,23114,7719,4464,39014,38110,4156,7223,42110,6278,0645,2712,8578,5334,3847,2395,0722,830
15,9746,56835,48329,04816,8016,56718,55715,3189,1264,3595,53913,9797,9164,46418,30012,6456,6953,39311,55410,5637,6285,14520,58315,0599,5034,41715,24611,2887,0153,42610,7188,1045,2982,8689,0814,6117,3455,1233,003
1,6411,0734,8573,7192,2751,1633,2661,7229137531,0291,7107507142,7311,5467025681,5491,3829397732,8992,0431,2086592,1861,5278905201,5651,1547334301,063496833524-21
14,3335,49630,62725,32914,5265,40315,29113,5978,2143,6064,50912,2697,1663,75015,56811,0985,9932,82410,0069,1816,6894,37217,68413,0168,2963,75713,0609,7616,1262,9069,1536,9504,5652,4378,0184,1166,5134,5993,024
0.110.040.250.200.120.050.130.110.070.030.050.100.060.050.230.160.090.040.160.150.110.160.630.460.300.170.600.450.280.130.700.540.650.411.350.691.091.051.55
25,87319,38827,51729,37543,23531,61728,51635,40439,69935,66733,65437,07349,63439,16030,75928,66223,45123,85125,27711,32211,78146,33142,50338,40124,67029,67934,14135,18931,45141,38147,20448,85451,18352,7905,5475,3314,0802,9481,979
78,17074,65490,75392,09581,98479,10784,83775,66980,18175,17880,82276,40066,06160,25060,05561,63756,28148,20739,53239,70533,64233,82838,77238,95437,60532,15130,62029,47926,59122,62521,92318,82914,90512,4859,71710,0637,1115,0693,171
20,47522,54021,14922,80718,98020,68919,21422,16919,24520,30220,03421,63016,48315,83315,64714,94512,40912,27112,85411,2059,1787,9447,8587,9768,1968,5146,8025,4604,3944,4634,5095,0234,3254,0083,7233,4803,1201,902884
326,661259,564281,966263,129249,748206,330205,181205,704230,639233,784232,095227,145211,913226,369218,487211,204195,628187,081174,389112,516105,340104,410103,045101,98497,02496,44692,37886,67776,78586,59985,58784,88381,56978,85228,64324,16520,31213,2197,866
97,427--99,711--84,403--84,57665,46258,51553,28652,25450,92947,95647,58546,73342,33040,74940,75638,78335,99035,04335,38834,98235,63920,75919,16917,93816,37216,14214,94014,15412,69012,28011,41710,89610,4628,2924,5702,723
455,045388,483412,588398,948383,159334,160325,176321,735340,116337,095331,828313,483296,947299,904290,155269,807252,240243,062222,673153,837144,637144,163143,547140,612133,617131,516125,913118,645108,670101,78599,98797,78794,03290,43139,67034,75728,70919,54310,704
140,257152,624181,751176,983171,480126,124122,862121,582144,622138,604136,979113,642101,899101,04294,90380,70468,69659,36848,51639,51533,45331,33535,03836,92334,54533,00031,28927,68321,80020,15319,21319,20915,43113,95013,08512,06010,1126,3414,016
72,2758,8409,4647,3477,9268,3148,0758,6279,3339,5189,4608,3278,4648,6178,6937,1817,2057,2633,7503,4192,9733,0253,0783,0293,0822,7132,5782,2162,2492302382452532602682832985000
212,532161,464191,215184,330179,406134,439130,936130,209153,955148,122146,439121,969110,363109,660103,59687,88575,90166,63152,26742,93436,42534,36038,11639,95237,62735,71333,86729,89824,04920,38319,45119,45415,68414,21013,35212,34210,4106,8414,016
242,513227,019221,373214,618203,752199,721194,240191,527186,161188,973185,389191,514186,584190,244186,559181,922176,339176,431170,406110,903108,212109,802105,431100,66095,98995,80392,04688,74784,62281,40280,53678,33378,34876,22126,31722,41518,29912,7026,688
13,56213,56218,28418,28418,28418,34220,71120,71120,71120,76622,43522,43522,43522,43523,51823,51823,51823,51841,86341,86341,86342,50334,14134,14134,14134,14147,20447,20447,20447,2045,5475,5475,5475,5474,0804,0802,9481,979966
34,03223,04449,81533,14424,1717,4667,49311,0517,215-3674,56115,3278,9109,49013,91810,0105,7753,76318,34911,8365,7552,42015,49013,3458,6234,37615,75610,8024,3282,3114,1632,2611,2286005,1931,2235,4893,4241,055
-88,293-9,709-71,622-42,772-33,950-9,847-1,3371,340-1,476-2,5002,586-98311,3861,158-18,722-12,391-10,609-9,352-91,625-40,022-34,6141,407-3,519-4,732-13,741-8,838-26,640-20,640-17,413-6,995-6,097-4,380-2,743-1,330-3,709-1,342-3,227-3,979-979
53,613-9,73217,0638,6347,7930-8,544-7,784-7,466-9-8,625-8,133-7,643-7533,520549213,47454,930-3,708-3,9080-4,249-4,352-4,3520-2,180-2,178-2,668-1,13943,59145,42647,15247,973-171,371-1,1291,524938
-6243,613-4,721-930-1,950-2,478-2,4274,748-1,662-2,991-1,7246,05612,5469,858-1,083-1,731-4,753-2,134-18,345-31,894-32,7673,8287,7224,261-9,470-4,462-13,063-12,015-15,753-5,82341,65743,30745,63747,2441,4671,2521,1329691,013
12,93917,17613,56217,35416,33415,86418,28425,45919,04917,77420,71128,49134,98132,29322,43521,78718,76521,38423,5189,9699,09646,33141,86338,40124,67029,67934,14135,18931,45141,38147,20448,85451,18352,7905,5475,3314,0802,9481,979
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