报告日期 |
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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) |
2021-12-31 | 2020-12-31 | 2019-12-31 | 2018-12-31 | 2017-12-31 | 2016-12-31 | 2015-12-31 | 2014-12-31 | 2013-12-31 | 2012-12-31 | 2011-12-31 | 2010-12-31 | 2009-12-31 | 2008-12-31 | 2007-12-31 | 2006-12-31 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
56,065 | 29,937 | 86,392 | 88,585 | 72,973 | 80,036 | 76,040 | 69,886 | 67,153 | 85,123 | 77,473 | 59,292 | 32,046 | 29,834 | 31,825 | 28,427 |
54,154 | 28,381 | 81,746 | 82,948 | 68,161 | 75,010 | 71,200 | 64,620 | 56,114 | 65,122 | 53,716 | 44,151 | 22,441 | 20,160 | 23,067 | 21,166 |
-8,511 | 3,351 | -4,041 | 14,524 | -1,887 | -921 | -3,405 | -2,178 | 910 | 3,173 | 3,105 | 2,088 | -36 | 711 | 1,594 | 1,189 |
-8,612 | 3,363 | -3,743 | 11,468 | -2,047 | 1,648 | 1,070 | -1,962 | 2,044 | 2,518 | 3,349 | 3,817 | -210 | 1,389 | 1,655 | 1,254 |
-554 | 41 | -512 | 2,826 | -35 | 738 | 209 | 119 | 652 | 942 | 595 | 1,096 | 59 | 329 | 721 | 413 |
-8,058 | 3,322 | -3,231 | 8,642 | -2,013 | 910 | 860 | -2,081 | 1,391 | 1,576 | 2,754 | 2,721 | -269 | 1,060 | 934 | 841 |
-0.31 | 0.16 | -0.13 | 0.41 | -0.08 | 0.05 | 0.05 | -0.11 | 0.07 | 0.08 | 0.14 | 0.14 | -0.01 | 0.05 | 0.05 | 0.05 |
46,610 | 31,358 | 36,282 | 48,659 | 24,638 | 4,418 | 11,195 | 7,786 | 16,570 | 7,363 | 7,028 | 8,039 | 15,750 | 7,802 | 6,108 | 8,165 |
2,751 | 1,866 | 2,217 | 2,031 | 1,636 | 1,817 | 1,498 | 1,732 | 1,702 | 2,817 | 1,834 | 2,170 | 1,628 | 1,472 | 1,741 | 1,473 |
24,752 | 8,166 | 284 | 134 | 35,541 | 25,244 | 13,356 | 277 | 387 | 455 | 6,976 | 36,049 | 22,257 | 14,345 | 8,257 | 507 |
97,030 | 61,853 | 63,981 | 60,382 | 87,613 | 86,547 | 75,056 | 17,034 | 21,614 | 14,302 | 17,852 | 49,440 | 43,457 | 25,824 | 17,865 | 17,087 |
52,199 | 16,403 | 18,324 | 21,118 | 22,306 | 20,781 | 22,044 | 23,558 | 26,030 | 26,092 | 34,108 | 34,320 | 33,856 | 33,908 | 29,612 | 20,697 |
221,616 | 132,572 | 123,947 | 120,856 | 140,292 | 138,185 | 115,699 | 57,662 | 64,278 | 62,658 | 66,575 | 97,166 | 92,136 | 72,620 | 62,239 | 52,243 |
90,574 | 42,273 | 37,483 | 32,759 | 55,340 | 51,116 | 30,696 | 13,418 | 17,762 | 17,300 | 22,930 | 55,381 | 50,121 | 30,438 | 20,625 | 11,382 |
48,686 | 970 | 839 | 1,060 | 3,063 | 2,534 | 1,781 | 558 | 160 | 0 | 0 | 0 | 0 | -- | -- | 0 |
139,260 | 43,243 | 38,322 | 33,819 | 58,403 | 53,649 | 32,477 | 13,976 | 17,922 | 17,300 | 22,930 | 55,381 | 50,121 | 30,438 | 20,625 | 11,382 |
82,356 | 89,329 | 85,625 | 87,038 | 81,890 | 84,535 | 83,222 | 43,686 | 46,356 | 45,358 | 43,644 | 41,785 | 42,015 | 42,182 | 41,614 | 40,861 |
30,748 | 35,864 | 48,214 | 23,914 | 4,009 | 10,902 | 7,424 | 16,069 | 7,363 | 7,028 | 8,039 | 15,958 | 7,802 | 6,108 | 8,165 | 13,425 |
-11,554 | -17,310 | -4,121 | -6,161 | -14,059 | -5,032 | -11,046 | -72 | -1,278 | 7,316 | 8,150 | -6,568 | 15,263 | 3,654 | 5,304 | 1,417 |
-10,570 | 11,226 | -14,113 | 17,986 | 33,164 | -12,635 | -39,803 | -4,987 | 7,435 | -1,883 | -3,168 | 1,166 | -2,455 | -10,933 | -9,357 | -1,003 |
37,870 | 968 | 5,884 | 12,475 | 800 | 10,774 | 54,327 | -3,586 | 2,556 | -5,094 | -5,994 | -2,517 | -4,860 | 8,973 | 1,996 | -5,674 |
15,747 | -5,117 | -12,350 | 24,300 | 19,905 | -6,893 | 3,478 | -8,645 | 8,706 | 335 | -1,012 | -7,918 | 7,948 | 1,694 | -2,057 | -5,260 |
46,494 | 30,748 | 35,864 | 48,214 | 23,914 | 4,009 | 10,902 | 7,424 | 16,069 | 7,363 | 7,028 | 8,039 | 15,750 | 7,802 | 6,108 | 8,165 |