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) |
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 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
1,345,093 | 1,075,492 | 787,449 | 503,286 | 362,140 | 319,263 | 422,515 | 493,011 | 374,182 | 353,169 | 262,571 | 161,303 | 110,842 | 89,595 |
1,162,821 | 922,692 | 664,466 | 423,487 | 295,523 | 261,250 | 349,426 | 431,298 | 326,228 | 303,217 | 227,985 | 140,430 | 95,635 | 78,698 |
102,570 | 67,110 | 33,727 | 15,611 | 17,660 | 7,008 | 15,613 | 16,524 | 16,570 | 24,159 | 18,017 | 9,255 | 5,854 | 5,301 |
102,257 | 67,808 | 53,686 | 28,239 | 20,081 | 21,098 | 17,073 | 20,954 | 19,520 | 26,982 | 19,634 | 9,654 | 5,755 | 5,602 |
22,348 | 11,896 | 12,081 | 7,288 | 5,504 | 3,424 | 3,277 | 4,402 | 3,383 | 5,747 | 3,494 | 1,528 | 1,085 | 1,898 |
79,909 | 55,912 | 41,606 | 20,951 | 14,576 | 17,674 | 13,796 | 16,552 | 16,137 | 21,235 | 16,139 | 8,126 | 4,670 | 3,704 |
1.53 | 1.07 | 0.79 | 0.60 | 0.49 | 0.66 | 0.51 | 0.62 | 0.60 | 1.62 | 1.61 | 0.81 | 0.47 | 0.37 |
256,452 | 127,471 | 106,753 | 104,366 | 132,268 | 76,080 | 97,770 | 77,107 | 81,011 | 86,439 | 44,267 | 20,600 | 24,367 | 11,835 |
154,850 | 167,745 | 161,177 | 158,568 | 158,808 | 167,854 | 164,652 | 137,375 | 89,799 | 49,491 | 22,731 | 13,343 | 9,270 | 7,440 |
574,317 | 465,712 | 368,932 | 308,667 | 274,781 | 258,597 | 267,856 | 253,484 | 173,671 | 135,618 | 82,351 | 56,908 | 33,728 | 20,528 |
1,083,277 | 821,384 | 683,727 | 611,647 | 596,088 | 547,167 | 565,070 | 497,244 | 366,586 | 290,331 | 163,172 | 105,478 | 82,108 | 44,841 |
373,357 | 293,329 | 220,191 | 149,504 | 122,630 | 122,415 | 125,278 | 122,303 | 106,489 | 93,644 | 64,710 | 53,647 | 30,089 | 20,965 |
1,620,731 | 1,275,250 | 1,042,060 | 852,682 | 767,597 | 708,303 | 739,435 | 662,194 | 522,551 | 417,812 | 244,803 | 179,710 | 119,499 | 72,089 |
752,713 | 701,091 | 538,941 | 438,551 | 372,522 | 451,208 | 488,435 | 427,580 | 304,315 | 202,067 | 182,456 | 145,508 | 100,224 | 54,483 |
270,220 | 80,357 | 60,777 | 11,125 | 11,274 | 4,948 | 14,651 | 10,185 | 9,288 | 17,975 | 18,800 | 6,800 | 0 | 3,000 |
1,022,933 | 781,448 | 599,718 | 449,676 | 383,796 | 456,156 | 503,086 | 437,765 | 313,602 | 220,042 | 201,256 | 152,308 | 100,224 | 57,483 |
597,798 | 493,802 | 442,342 | 403,006 | 383,800 | 252,147 | 236,349 | 224,429 | 208,949 | 197,770 | 43,546 | 27,402 | 19,276 | 14,606 |
39,258 | 36,879 | 61,464 | 68,725 | 3,043 | 20,177 | 30,536 | 44,443 | 56,031 | 5,848 | 2,395 | 8,545 | 1,598 | 225 |
15,914 | 87,113 | 157,788 | 19,063 | 17,144 | -3,171 | 4,128 | -15,755 | -1,798 | -19,901 | -5,762 | 12,755 | 7,496 | 1,482 |
-111,966 | -132,162 | -136,473 | -81,496 | -14,482 | 1,145 | -21,609 | -21,386 | -34,289 | -51,693 | -12,020 | -39,327 | -12,088 | -9,319 |
228,192 | 47,287 | -46,144 | 55,456 | 62,699 | -15,577 | 7,150 | 23,301 | 24,491 | 121,807 | 21,235 | 20,422 | 11,539 | 9,209 |
131,808 | 2,379 | -24,584 | -7,262 | 65,682 | -17,134 | -10,359 | -13,908 | -11,588 | 50,183 | 3,453 | -6,150 | 6,947 | 1,372 |
171,066 | 39,258 | 36,879 | 61,464 | 68,725 | 3,043 | 20,177 | 30,536 | 44,443 | 56,031 | 5,848 | 2,395 | 8,545 | 1,598 |