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) |
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 | 2005-12-31 | 2004-12-31 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
123,974 | 118,500 | 111,882 | 102,849 | 76,867 | 65,785 | 55,949 | 43,280 | 37,166 | 35,732 | 30,869 | 26,258 | 23,347 | 16,344 | 13,689 | 9,316 |
66,024 | 59,683 | 48,132 | 36,474 | 32,343 | 38,393 | 29,667 | 21,211 | 16,568 | 13,701 | 13,494 | 11,444 | 9,880 | 6,549 | 7,581 | 5,387 |
1,292 | -136,903 | 7,156 | 19,660 | 21,227 | 6,798 | 3,852 | 3,022 | 7,372 | 12,176 | 9,442 | 8,056 | 8,310 | 6,403 | 3,698 | 1,767 |
1,153 | -137,686 | 7,019 | 22,744 | 23,318 | 8,759 | 5,569 | 4,659 | 8,926 | 12,770 | 10,256 | 9,223 | 8,570 | 6,504 | 3,880 | 1,868 |
-987 | -1,064 | 398 | 2,076 | 1,899 | 1,107 | 545 | 722 | 1,234 | 1,395 | 1,288 | 801 | 808 | 448 | 148 | 183 |
2,140 | -136,622 | 6,622 | 20,668 | 21,419 | 7,652 | 5,024 | 3,937 | 7,692 | 11,375 | 8,968 | 8,422 | 7,761 | 6,056 | 3,731 | 1,685 |
0.02 | -1.24 | 0.06 | 0.19 | 0.48 | 0.14 | 0.14 | 0.13 | 0.30 | 0.76 | 0.78 | 1.15 | 1.06 | 0.84 | 0.76 | 0.39 |
46,737 | 46,075 | 53,215 | 47,970 | 62,451 | 72,258 | 39,201 | 45,941 | 53,159 | 60,888 | 53,579 | 47,345 | 9,869 | 8,181 | 2,889 | 1,290 |
41,700 | 44,071 | 43,595 | 37,823 | 38,168 | 17,220 | 18,730 | 11,777 | 9,968 | 6,419 | 2,919 | 4,309 | 5,126 | 4,993 | 6,516 | 6,625 |
16,634 | 21,033 | 16,732 | 13,418 | 12,118 | 5,873 | 7,108 | 7,724 | 8,014 | 3,288 | 1,703 | 381 | 728 | 840 | 2,037 | 1,689 |
137,207 | 149,300 | 141,396 | 125,592 | 149,236 | 102,932 | 77,621 | 69,266 | 76,571 | 72,995 | 59,760 | 53,506 | 16,228 | 14,650 | 14,017 | 10,626 |
15,739 | 17,801 | 21,223 | 21,853 | 20,796 | 9,395 | 10,264 | 11,247 | 6,008 | 6,009 | 5,896 | 5,827 | 2,870 | 1,709 | 848 | 540 |
304,727 | 316,376 | 436,826 | 424,322 | 432,338 | 136,949 | 104,239 | 97,096 | 93,423 | 83,956 | 68,986 | 61,416 | 23,924 | 18,770 | 15,646 | 11,738 |
38,477 | 45,437 | 32,704 | 31,886 | 66,278 | 19,531 | 13,763 | 10,324 | 9,665 | 8,189 | 6,550 | 6,814 | 4,333 | 4,074 | 4,830 | 5,316 |
16,564 | 21,331 | 17,454 | 14,565 | 9,510 | 6,303 | 26 | 105 | 167 | 1,027 | 167 | 481 | 166 | 10 | 10 | 117 |
55,041 | 66,768 | 50,157 | 46,451 | 75,787 | 25,834 | 13,789 | 10,429 | 9,833 | 9,216 | 6,716 | 7,294 | 4,499 | 4,084 | 4,840 | 5,433 |
249,686 | 249,608 | 386,668 | 377,871 | 356,551 | 111,115 | 90,450 | 86,667 | 83,590 | 74,741 | 62,269 | 54,121 | 19,425 | 14,686 | 10,806 | 6,305 |
45,642 | 50,924 | 45,377 | 57,541 | 56,525 | 14,979 | 30,780 | 25,516 | 33,174 | 25,998 | 12,253 | 7,570 | 4,781 | 2,889 | 1,290 | 707 |
15,187 | 2,024 | 14,096 | 19,934 | 8,557 | 10,874 | 5,553 | 5,762 | 2,525 | 7,868 | 8,938 | 11,327 | 9,297 | 8,904 | 2,844 | 778 |
-2,896 | -18,260 | -5,300 | -24,847 | -45,767 | 8,232 | -19,931 | 241 | -6,969 | -2,652 | 7,913 | -36,597 | -2,523 | -5,262 | -1,430 | -853 |
-12,793 | 10,887 | -3,431 | -7,120 | 38,225 | 22,447 | -1,405 | -740 | -3,213 | 1,960 | -3,107 | 29,953 | -3,985 | -1,749 | 184 | 658 |
-483 | -5,282 | 5,547 | -12,163 | 1,016 | 41,546 | -15,801 | 5,263 | -7,658 | 7,176 | 13,744 | 4,683 | 2,789 | 1,893 | 1,598 | 583 |
45,159 | 45,642 | 50,924 | 45,377 | 57,541 | 56,525 | 14,979 | 30,780 | 25,516 | 33,174 | 25,998 | 12,253 | 7,570 | 4,781 | 2,889 | 1,290 |