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三联虹普 (300384)


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流通市值: 市盈率: 52周最高:29 52周最低:11.99

三联虹普(300384) 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)
2021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312011-12-31
61,27740,00017,38487,54064,47142,88319,51984,11267,50348,24523,90661,95445,85029,67814,97729,32321,70417,48712,05024,73618,11312,81810,29537,56127,48220,31613,30941,77829,39819,34712,04034,57422,48414,8013,46628,37123,306
35,39023,1599,41454,74340,82727,02411,30851,74941,65630,34115,38037,08127,23816,8649,04213,6799,9538,2107,11010,4866,9334,1474,47519,96714,07511,2876,93324,23118,19412,8187,54021,44114,0779,0891,82917,57513,905
17,07511,0385,93720,01116,02210,8506,05821,26317,34812,4095,90913,32112,7689,7144,99610,3468,6276,6413,6539,2557,8276,0895,22013,06611,2897,4915,11912,3198,0594,7093,3929,1565,8273,6247667,8496,789
17,03211,0186,02819,87616,26511,0966,18321,48617,51912,3705,90913,42612,8859,8305,09410,4968,5906,6243,6789,4357,9996,2415,23813,35711,4247,6015,12612,7488,3414,9903,3929,3935,8613,6388097,9386,847
1,9441,3768412,5122,0261,6418752,7872,2951,8139171,9711,8981,4337571,4661,2549985531,2571,0908987811,8491,7421,1667651,8671,3097365161,3918835931591,2131,086
15,0889,6425,18717,36414,2399,4555,30918,69915,22310,5574,99311,45510,9878,3974,3379,0297,3375,6263,1258,1776,9095,3444,45711,5089,6826,4354,36110,8817,0324,2542,8768,0024,9783,0456506,7255,761
0.460.290.160.530.430.290.160.580.470.330.160.360.350.500.260.560.460.370.210.550.460.360.300.770.650.430.822.391.701.060.722.001.240.760.161.681.44
34,097114,67042,25750,05526,61528,40425,13391,06538,27891,49750,768100,98680,53190,43426,30096,63160,01342,97237,12742,19138,47637,70548,52552,81970,41131,98845,68746,19273,00024,70020,03718,90919,85914,927
1,2717241,1168066095949713,33810,32414,95715,33812,33313,50410,3887,0457,2779,20510,6919,4186,4465,6984,0683,3884,0954,6863,8063,3363,2775,0252,6682,5341,6202,1031,783
15,52517,02918,90217,36920,62918,39216,97819,79320,08814,8277,46411,3429,2627,9896,1676,5895,1182,9232,7702,7113,4323,1773,2526,40810,48311,72913,46917,79113,25612,87311,54112,7316,3224,427
191,879198,800200,518182,864175,182172,365183,659170,151178,852167,797143,680157,754138,477141,615125,025137,621133,056127,85158,60653,63460,50556,71879,40177,323101,17780,267115,780117,275110,16455,04552,61256,19033,31123,423
--17,805--18,568--18,142--18,751--19,246--19,52019,59419,67719,71620,02318,05810,96111,29211,38211,55511,77512,03712,31812,63112,89710,97211,1759,0479,1268,2318,4103,1473,398
309,686316,978316,553300,831293,480290,929302,224288,182295,697283,902256,051263,896245,708247,292216,770215,484202,249196,782127,810122,737118,990115,463121,652118,744140,076119,312133,832134,757127,73670,92864,64467,87041,80228,844
84,61297,07590,15278,35262,47866,26880,01078,57891,30686,80666,55379,06263,26570,96550,42052,82041,27221,50820,98519,02916,54514,57618,26422,19944,67346,59558,49163,30260,18943,12736,20642,90524,15917,125
15,40615,55815,97416,38428,07128,38228,47122,08721,52621,32418,83319,25917,14116,21342242943616,44219,44919,45619,46319,47019,47719,48419,72073080357070170171712000
100,018112,633106,12694,73590,54994,650108,481100,666112,831108,13085,38698,32180,40787,17850,84153,24941,70737,95140,43438,48636,00834,04637,74141,68464,39347,32559,29463,87160,89043,82936,92343,02524,15917,125
209,668204,345210,427206,095202,931196,280193,744187,517182,865175,772170,665165,575165,301160,115165,929162,235160,542158,83287,37584,25182,98281,41783,91177,06175,68471,98774,53970,88666,84527,10027,72124,84517,64311,718
40,26640,26640,26687,56287,56287,56287,56299,60599,60599,60599,60595,77695,77695,77695,77641,26941,26941,26941,26952,35252,35252,35252,81942,24946,19246,19246,19218,90918,90918,90918,90919,85919,85919,85919,85914,9278,004
12,93712,95814,32332,59817,21819,9742,15716,42517,80212,2955,26328,1217,1907,7202,9532,462-3,140-6,101-2,9953,8585,3191,7454,586-9,038-11,486-9,115-1,77621,62817,4354,390-2,12317,4088,8458,7941,0317,3638,427
-21,81654,645-15,541-80,929-84,012-84,287-73,032-28,444-80,212-22,916-52,322-8,186-8,505-7,986-74,540-9,612-45,552-60,805-370-17,473-16,442-16,442-10,64810,92314,592-5,797-625-38,979-3,612-1,5242,752-17,559-9,132-20,493-5,128-1,630832
-11,473-6,7450766901-6546,328-397-1,435-2,437-3,604-15,973-14,368-6,4292,11161,65766,58367,715-7772,531-1,270-1,2651,7678,21921,1137081,89640,69240,2682,925500-800-800-800-800-800-2,336
-21,38160,047-1,862-47,297-65,374-64,652-64,259-12,043-63,627-13,027-50,9033,829-15,337-7,027-69,47654,50717,890809-4,142-11,083-12,394-15,962-4,29410,10324,218-14,204-50523,34154,0925,7911,128-951-1,087-12,500-4,8974,9336,923
18,885100,31238,40440,26622,18822,91023,30387,56235,97886,57848,70299,60580,43988,74926,30095,77659,15942,07837,12741,26939,95936,39148,52552,35270,41131,98845,68742,24973,00024,70020,03718,90918,7727,36014,96319,85914,927
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