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) |
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 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
228,130 | 192,078 | 283,011 | 155,827 | 140,298 | 153,002 | 194,348 | 101,717 | 76,717 | 99,397 | 219,880 | 104,396 | 83,199 | 76,483 | 57,670 |
116,506 | 103,221 | 156,431 | 97,022 | 108,867 | 113,600 | 130,764 | 71,329 | 50,046 | 60,207 | 121,530 | 62,646 | 52,969 | 48,121 | 42,720 |
66,897 | 65,393 | 81,279 | 40,850 | 12,511 | 12,164 | 38,470 | 7,885 | 9,169 | 16,548 | 56,805 | 24,261 | 17,270 | 15,042 | 3,727 |
66,679 | 65,500 | 80,991 | 40,699 | 12,589 | 12,124 | 38,609 | 7,375 | 9,072 | 16,476 | 56,951 | 23,202 | 16,904 | 18,833 | 13,201 |
18,241 | 14,439 | 13,581 | 5,139 | 4,488 | 6,072 | 13,200 | 1,073 | 1,667 | 3,531 | 20,746 | 7,281 | 4,937 | 6,641 | 4,114 |
48,438 | 51,061 | 67,411 | 35,560 | 8,101 | 6,052 | 25,409 | 6,303 | 7,404 | 12,945 | 36,205 | 15,921 | 11,967 | 12,193 | 9,086 |
0.69 | 0.73 | 0.80 | 0.43 | 0.11 | 0.08 | 0.36 | 0.09 | 0.10 | 0.19 | 0.37 | 0.41 | 0.31 | 0.36 | 0.31 |
205,137 | 270,301 | 152,306 | 187,009 | 102,267 | 95,944 | 91,006 | 27,251 | 53,119 | 66,922 | 89,650 | 97,724 | 15,481 | 23,024 | 6,656 |
136 | 1,696 | 1,785 | 25,846 | 10,284 | 29,504 | 38,891 | 6,227 | 4,069 | 473 | 9,573 | 3,278 | 2,776 | 881 | 18,746 |
406,277 | 339,728 | 334,326 | 256,825 | 265,892 | 273,267 | 258,550 | 280,447 | 235,425 | 212,966 | 180,142 | 144,923 | 147,900 | 143,060 | 94,702 |
690,577 | 661,065 | 509,912 | 491,771 | 391,796 | 419,142 | 429,269 | 324,622 | 307,000 | 305,963 | 353,835 | 285,595 | 179,157 | 186,883 | 172,697 |
369 | 441 | 786 | 1,110 | 867 | 1,124 | 1,410 | 1,608 | 1,484 | 1,715 | 1,488 | 1,410 | 535 | 452 | 43,413 |
786,515 | 769,209 | 611,362 | 576,212 | 411,493 | 440,177 | 445,108 | 352,217 | 336,934 | 318,036 | 366,004 | 316,306 | 210,878 | 221,174 | 230,777 |
469,067 | 491,485 | 338,765 | 310,118 | 182,198 | 155,004 | 170,323 | 116,900 | 99,582 | 103,050 | 146,567 | 161,409 | 98,699 | 139,080 | 118,869 |
1,654 | 1,374 | 40,637 | 61,899 | 61,709 | 122,062 | 114,100 | 78,415 | 83,114 | 43,844 | 48,835 | 17,571 | 38,755 | 27,993 | 17,133 |
470,721 | 492,859 | 379,402 | 372,017 | 243,906 | 277,066 | 284,423 | 195,315 | 182,696 | 146,893 | 195,402 | 178,980 | 137,454 | 167,072 | 136,002 |
315,794 | 276,350 | 231,960 | 204,195 | 167,586 | 163,111 | 160,685 | 156,901 | 154,238 | 171,142 | 170,602 | 137,326 | 73,424 | 54,101 | 94,775 |
269,301 | 151,306 | 187,009 | 102,224 | 95,893 | 90,932 | 21,832 | 47,274 | 65,003 | 89,650 | 97,724 | 15,481 | 23,024 | 6,656 | 5,924 |
-9,306 | 164,274 | 27,409 | 145,192 | 86,559 | 47,119 | 45,156 | -5,828 | -2,298 | -27,977 | 38,587 | 50,255 | -19,229 | 11,833 | 6,018 |
-46,930 | 3,874 | -14,565 | -51,252 | 658 | 1,196 | -7,096 | -628 | -33,208 | 11,990 | -33,548 | -53,732 | -4,598 | -5,379 | -4 |
-10,552 | -50,153 | -48,514 | -9,145 | -80,894 | -43,354 | 31,040 | -18,986 | 17,777 | -8,661 | -13,114 | 85,720 | 16,284 | 9,915 | -5,282 |
-66,788 | 117,995 | -35,703 | 84,785 | 6,324 | 4,961 | 69,100 | -25,442 | -17,729 | -24,647 | -8,074 | 82,243 | -7,543 | 16,369 | 731 |
202,513 | 269,301 | 151,306 | 187,009 | 102,217 | 95,893 | 90,932 | 21,832 | 47,274 | 65,003 | 89,650 | 97,724 | 15,481 | 23,024 | 6,656 |