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*ST邦讯 (300312)


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流通市值: 市盈率: 52周最高:10.13 52周最低:2.34

*ST邦讯(300312) 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)
2021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-06-302010-12-312009-12-312008-12-31
1591,9311,6971,2823616,9545,0721,2811,13517,25918,48715,6886,91230,99025,81718,0828,69736,20926,57218,0216,13253,34535,17424,46811,18051,35832,30816,9056,02928,58725,74418,60211,78048,02731,95721,85711,39243,54018,04827,72316,0945,068
1301,8061,4171,0723755,2193,8471,19591811,15011,3269,4883,19719,26915,80810,5695,15621,92514,95410,0353,29127,45218,09413,0135,92726,46515,9348,6423,33915,72012,5318,8995,74623,64214,88110,1685,84322,2299,67514,0358,7042,898
-1,764-20,071-4,718-3,422-1,470-1,811-340-2,812-1,567-47,316-341,4551,241-15,123-3,978-1,390-1,4921,493-5,448-3,191-3,06751289-124128910283-1,496-2,071-6,758851,4341,3188,6125,1143,1342,1689,7943,5836,8073,741404
-2,383-26,174-8,910-7,236-1,477715-388-2,819-1,568-47,742-431,4481,240-14,437-3,671-1,079-1,4811,486-5,445-3,197-3,070748100-115130903284-1,498-2,074-6,5504021,5321,3538,7485,2623,2412,1679,9333,5706,8653,736398
-118-1,540-172-195-53495353-5025-3,959490812539-457739360-100-27-642-435-33151-247-2972928845-52256-71051332851,5746362763411,7601,0831,151658249
-2,265-24,634-8,738-7,041-1,424221-741-2,770-1,593-43,783-533637701-13,981-4,410-1,439-1,3821,513-4,803-2,762-2,739697347182101615239-1,446-2,331-5,8393501,4991,0687,1744,6252,9651,8268,1732,4875,7143,078149
-0.06-0.76-0.27-0.22-0.040.02-0.02-0.08-0.05-1.38-0.030.000.01-0.44-0.12-0.04-0.040.06-0.14-0.08-0.170.060.030.020.010.060.03-0.09-0.14-0.360.020.090.100.750.500.350.231.020.310.790.530.06
1,8002,0792,0501,6921,5082,9071,8461,7212,5831,8952,9981,9611,8603,7773,0173,9824,45114,97711,44314,57114,32920,91810,67014,29819,20026,15826,13532,02535,46346,58537,87039,25741,37650,96150,67650,2934,00113,9705,7217,4731,211654
12,77814,53622,63923,47424,23626,31830,83727,53231,52732,17147,74850,39746,77545,49061,74363,93664,35161,24474,25272,54370,46572,64570,27470,10466,05861,45659,95150,32146,28145,83456,36355,54753,46247,53945,41943,24338,17230,73027,13519,5789,8752,886
4,7644,6526,8597,1276,4006,7568,39810,0619,0308,20034,15733,48137,54736,38340,97541,69542,95243,65146,32544,59844,93741,52141,25641,54640,82238,19938,69036,48633,41826,14426,19724,27819,34718,66220,62317,72213,37412,81710,7939,1787,9942,879
21,84723,56234,26935,37537,23038,73451,20548,93352,28751,43895,34590,14490,77490,073109,949121,488128,724138,780139,992139,707137,859142,466128,508134,637134,556133,509129,817125,283119,855121,907126,700124,816120,095120,830121,202114,56759,81460,65846,99138,39120,0827,067
--1,912--1,057--760--771--9861,1131,2331,3701,4741,4091,2771,4151,5471,9942,1602,3172,4392,5712,6262,7872,6372,5342,3852,0252,1102,0771,8711,6921,5771,6241,4401,4191,339909693373362
34,75236,46050,02551,31849,58654,46667,76666,28870,28469,824115,321110,882111,910111,596131,524142,301149,598159,341164,543163,469161,354165,169150,876154,984153,478151,430146,377133,399125,300127,792130,842128,762123,807124,443125,027118,29063,17564,06149,19840,14621,6528,817
44,44544,49542,99442,96142,43542,94945,82444,66639,13538,02938,18043,65144,52844,82249,11156,82863,97972,25384,54277,48074,86380,96669,97473,78872,36470,41665,70948,46442,57143,84140,71037,49031,36733,08636,11937,04333,21635,92726,75119,68616,4906,733
10,82410,2164,4334,0673313311091,82710,1799,23111,32825734844149258166975603,9393,9393,920000005,9525,9435,9345,9265,9175,9095,9006,0000--00000
55,26854,71147,42747,02842,76643,28045,93346,49449,31447,26049,50843,90744,87645,26349,60357,40964,64873,00984,54281,41878,80284,88669,97473,78872,36470,41665,70954,41648,51449,77546,63543,40737,27538,98742,11937,04333,21635,92726,75119,68616,4906,733
-20,517-18,2522,5984,2906,82011,18521,83319,79420,97022,56465,81366,97567,03466,33381,92184,89284,95086,33180,00182,05082,55380,28480,90181,19681,11481,01480,66878,98376,78678,01784,20785,35586,53285,45782,90881,24729,95928,13422,44720,4605,1622,084
2,0791,7012,9072,9072,9072481,8951,8952492,4842,4842,4842,53414,07314,07914,07314,07320,15020,15520,15520,15025,99425,99425,99426,00446,42346,42346,42346,42350,70950,70950,70950,70912,09012,09012,09012,0907,4737,4731,211654166
-279-1,145-698-1,064-1,2492,63397-3541,0869,4457,3826,2691,468-1,8993,296-4,026-6,662-1,308-5,151-3,305-4,465-11,677-8,680-13,760-11,349-12,248-16,342-19,306-10,725-11,057-21,841-17,979-12,089-14,665-22,503-18,688-10,3922,305-4,8982,818-1,114408
0-2-0-0-0698717717-2851-256-663-3772,5562,1902,6152,229-6,270-11,004-10,199-9,8964,828-3,740-1,687-1,202-757-6,325-312-250-1,752-1,383-862-332-1,043-522-319-183-3,156-2,062-504-148-108
0-173-158-151-149-1,878-862-536-409-11,732-7,807-7,211-3,049-12,246-16,262-9,477-6,1271,5026,8397,3557,7721,004-3,0673,6215,586-7,4242,1314,941-2568,52310,2567,1532,75054,32761,41555,3296065,4695,2083,9481,818188
-279-1,320-857-1,215-1,3991,453-48-173648-2,236-681-1,604-1,959-11,589-10,776-10,887-10,559-6,076-9,315-6,149-6,589-5,845-15,488-11,826-6,966-20,428-20,536-14,676-11,231-4,286-12,969-11,688-9,67138,61938,39036,322-9,9694,617-1,7526,262557488
1,8003812,0501,6921,5081,7011,8461,7218972491,8038805752,4843,3033,1863,51414,07310,84014,00613,56120,15010,50614,16819,03825,99425,88731,74735,19246,42337,74039,02141,03750,70950,48048,4122,12112,0905,7217,4731,211654
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