报告期,2019-09-30,2019-06-30,2019-03-31,2018-12-31,2018-09-30,2018-06-30,2018-03-31,2017-12-31,2017-09-30,2017-06-30,2017-03-31,2016-12-31,2016-09-30,2016-06-30,2015-12-31,2014-12-31,2013-12-31, 营业收入(万元),23456,17111,8274,28588,21035,14196,6349,25375,17876,12135,5398,18832,13599,9506,15422,15894,8761, 营业成本(万元),14026,10425,5139,17049,12378,8362,3663,13246,9200,6159,2599,9345,6701,4692,7521,7338,3933, 营业利润(万元),5402,2492,1287,4371,4259,3157,1567,6970,4948,3645,1708,6153,4569,3204,4053,6363,3559, 利润总额(万元),5506,2769,1255,4419,4306,3170,1578,7207,5183,3757,1789,6248,4590,3202,4269,6541,3638, 所得税费用(万元),1058,564,328,869,743,542,276,1181,830,579,310,891,650,461,745,934,520, 净利润(万元),4447,2205,926,3549,3563,2628,1301,6026,4353,3178,1480,5356,3939,2741,3524,5607,3117, 基本每股收益,0.43,0.33,0.14,0.51,0.46,0.33,0.16,0.98,0.71,0.51,0.24,0.83,0.61,0.42,0.59,0.93,0.91, 货币资金(万元),22103,27754,25511,21063,18272,25470,28410,26845,897,2685,1962,1536,1822,1022,680, 应收账款(万元),5870,9189,5601,4883,5874,6834,4414,5097,3590,4853,3055,3228,2422,3003,2527, 存货(万元),4158,4700,4574,4226,4298,4251,3925,3152,2943,2571,2487,1616,1665,1939,1226, 流动资产合计(万元),44325,54681,46040,41815,44890,49605,51590,50336,23502,22305,21400,21405,18455,12732,7302, 固定资产净额(万元),--,4191,--,3448,3245,2321,1748,1741,1738,1653,1570,555,647,782,666, 资产总计(万元),70340,82893,65355,58187,58041,55120,55629,54202,26369,25051,24037,22057,19198,13689,8138, 流动负债合计(万元),13746,28149,13637,7602,7227,5740,4805,4667,3402,3246,3486,1858,1940,2731,1387, 非流动负债合计(万元),734,632,630,643,664,676,657,670,681,693,717,720,720,0,0, 负债合计(万元),14480,28781,14267,8246,7891,6416,5463,5337,4083,3939,4204,2578,2660,2731,1387, 所有者权益(或股东权益)合计(万元),55860,54111,51088,49941,50150,48704,50166,48865,22287,21112,19834,19479,16538,10958,6751, 期初现金及现金等价物余额(万元),20761,20761,20761,26575,26575,26575,26575,1280,1280,1280,1280,1380,1380,1380,563,407,1654, 经营活动产生的现金流量净额(万元),3758,2727,387,2422,1523,978,1159,4322,2524,801,647,3832,1855,616,5567,4365,2084, 投资活动产生的现金流量净额(万元),-7512,-3771,-743,-7155,-8013,589,314,-2625,-1511,1961,-56,-2005,415,-1109,-6186,-2915,-947, 筹资活动产生的现金流量净额(万元),4116,7088,4248,-1205,-2477,-3282,-30,23590,-1674,-1327,374,-1943,-2358,642,1426,-1293,-2384, 现金及现金等价物净增加额(万元),448,6129,3860,-5814,-8878,-1698,1434,25294,-723,1405,961,-99,-77,157,817,156,-1248, 期末现金及现金等价物余额(万元),21209,26890,24621,20761,17697,24877,28009,26575,558,2685,2242,1280,1302,1536,1380,563,407,