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ST网力 (300367)


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流通市值: 市盈率: 52周最高:3.98 52周最低:2.01

ST网力(300367) 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)
2021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-312010-12-312009-12-31
8,6064,5082,64327,64012,2046,6692,60236,20464,74560,79934,011224,734136,44988,80234,456185,472115,10973,91227,022148,12593,21558,62521,641101,67852,15633,14311,28663,98132,71619,9686,72943,67822,93914,2114,22130,52820,95011,7296,662
5,9022,7791,37423,2969,4155,2351,59525,88424,78822,02712,56195,80257,97440,56713,76178,88349,50233,22110,44961,00640,76825,7469,09944,44025,86616,7795,46829,53614,4088,7032,44019,0039,6136,1221,13713,3169,3244,6202,410
-18,318-27,639-12,282-50,726-45,529-27,893-13,552-316,917-22,9337,32812,43637,61321,98214,4666,74442,91218,21511,5932,37132,3268,2634,6981,32724,8415,3102,30284812,8843,9181,7736958,4882,8061,5623466,6974,7652,5901,607
-41,096-29,277-12,250-52,230-45,287-27,709-13,449-317,121-22,0667,87112,73738,75322,68715,1777,03843,49818,79211,8965,10539,91812,6608,0643,55230,2707,8474,5942,74915,8196,3633,75469511,4974,1172,0685709,1036,2883,8602,489
700356-12-23154,6774,6874,3127,4003,8942,6578965,5442,7571,7761804,5971,1591,0774123,2608885391502,0766392961441,3104481771851,281857279222
-41,103-29,277-12,250-52,266-45,292-27,697-13,447-317,436-26,7423,1848,42531,35218,79412,5196,14237,95516,03510,1204,92535,32111,5016,9873,13927,0096,9594,0552,59813,7425,7253,45755110,1873,6691,8923867,8215,4313,5822,267
-0.25-0.25-0.10-0.44-0.38-0.23-0.11-2.67-0.220.030.100.370.230.150.070.460.190.120.060.420.140.080.040.840.230.140.221.160.490.300.101.940.700.360.071.491.030.700.52
11,81711,68010,80511,7549,98216,38317,72828,62637,63452,73363,92395,32542,03567,65841,61994,37460,88876,721170,699163,92238,92633,89736,90581,12728,37536,32630,53853,22723,78124,85333,75327,4436,02612,44323,35214,9909,5783,751
39,45045,61853,61257,06368,44776,14383,68188,269256,567280,426286,593270,815260,016240,418203,928181,801191,067165,959141,690124,975124,752110,13778,60670,73353,36638,71234,37927,83633,32627,65522,62516,46720,95213,64710,3433,0524,0553,117
11,24412,2998,6428,49113,18011,83219,89419,38516,96017,78514,49947,48143,51037,42833,73032,06329,16327,68827,93224,26426,82527,21526,09822,9649,0149,00717,66714,15612,2249,35910,7389,6309,1378,2784,7632,3071,630820
115,657123,218131,619134,206167,861183,449205,727217,886463,665507,353588,982562,984489,883478,278419,414423,891391,683383,338371,898341,585224,167199,435173,461202,818117,897106,510112,767119,33089,94380,68988,25770,91454,64847,96245,40922,58916,9078,622
--18,439--20,741--21,985------28,038--30,10326,75314,11214,55815,03514,42614,32912,95813,01313,33213,46313,08013,39410,93210,69410,64110,77010,5983,2223,0312,5672,6132,6152,1511,358687340
277,612285,343294,446302,893348,676365,756386,574404,292698,006736,795816,446821,809704,025683,055618,598623,525590,906575,791554,795545,661405,224369,138343,040366,815172,221157,772156,432158,066117,57198,344104,28785,64470,47261,18353,40427,93717,8569,040
292,157270,794257,013253,248254,842254,818253,051257,076301,743310,146376,037386,536273,588259,746166,715174,564152,961126,864111,856125,689128,828108,50186,227109,78070,50961,12263,97068,18445,63526,88634,35944,92040,45332,94224,0545,8694,7592,550
6,26023,56827,83827,86463,85362,67868,78168,81523,06523,42929,01235,58244,27640,68578,66281,36395,213112,263111,02356,52053,84143,48343,77743,8256,2506,2704,1584,1792,2003,9884,1884,188003,0003,5400125
298,417294,362284,851281,112318,694317,496321,831325,891324,808333,575405,049422,118317,864300,431245,377255,927248,174239,127222,879182,209182,669151,984130,004153,60576,76067,39368,12972,36247,83530,87438,54749,10840,45332,94227,0549,4094,7592,675
-20,805-9,0199,59521,78129,98248,26064,74378,401373,198403,220411,397399,691386,161382,624373,221367,599342,732336,664331,917363,452222,555217,154213,036213,21095,46190,38088,30385,70469,73767,47065,74036,53730,01928,24126,35018,52913,0976,365
4,8024,8024,80222,31322,31322,31322,31391,31991,31991,31991,31989,21589,21589,21589,215157,210157,210157,210157,21079,31679,31679,31679,31646,82446,82446,82447,22423,39323,39323,39323,39321,36821,36821,36821,36814,7409,4763,751878
-3,698-3,062-2,261-7,247-8,165-9,856-7,051-57,342-68,937-63,238-22,8021,024-48,053-29,223-13,7018,883-32,672-25,197-23,4408,552-30,241-23,600-14,98014,149-18,867-9,188-19,9811,062-23,599-14,438-15,6912,863-15,973-13,867-14,8566861,9452,874267
1,0053912039,3016,0146,189-60668,99943,25640,0664,499-58,639-42,395-28,439-31,706-185,395-184,239-179,044-19,374-67,636-40,195-27,704-21,393-59,103-11,582-6,872-1,237-13,094-5,925-1,479-442-8,506-8,301-3,130-2,917-4,283-1,275-764-176
1,8131,830515-19,529-16,415-11,251-4,565-80,626-28,358-18,527-12,02759,69036,86031,140-6,432108,655115,391112,68452,521136,75825,7024,142-7,39777,47210,3792,9682,86635,47928,14515,69024,2177,6696,1906,09412710,2244,5963,6152,783
-872-834-1,543-17,511-18,578-14,912-12,216-69,006-54,073-41,718-30,3822,105-53,521-26,557-51,890-67,995-101,665-91,5909,70877,894-44,710-47,170-43,82132,492-20,115-13,123-18,35023,431-1,392-2278,0852,025-18,085-10,904-17,6466,6285,2645,7242,873
3,9303,9683,2594,8023,7357,40110,09722,31337,24649,60160,93791,31935,69362,65737,32489,21555,54565,620166,918157,21034,60632,14635,49579,31626,70933,70128,87446,82422,00123,16631,47823,3933,28310,4643,72221,36814,7409,4763,751
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