报告期,2020-09-30,2020-06-30,2020-03-31,2019-12-31,2019-09-30,2019-06-30,2018-12-31,2017-12-31,2017-06-30,2016-12-31,2016-06-30,2015-12-31,2015-06-30,2014-12-31,2014-06-30,2013-12-31,2013-06-30,2012-12-31,2011-12-31, 营业收入(万元),22033,14979,4411,26234,16727,10869,20927,15403,6519,17172,8677,14657,4810,9170,4089,6210,2381,4477,2435, 营业成本(万元),15327,--,--,17947,11469,--,14182,9615,4000,12316,6299,10859,2944,6456,2830,4061,1224,2777,1436, 营业利润(万元),4252,--,--,6060,3688,2493,4875,3604,1606,2611,1289,1819,937,1066,518,502,426,631,313, 利润总额(万元),4252,--,--,6060,3688,2493,4874,3619,1606,2611,1289,1819,937,1176,627,768,426,668,326, 所得税费用(万元),601,--,--,776,524,--,693,495,175,295,194,275,141,151,94,116,61,78,13, 净利润(万元),3651,--,--,5283,3165,2165,4180,3125,1431,2315,1095,1545,796,1025,533,652,365,589,313, 基本每股收益,0.5,--,--,0.96,0.67,--,0.95,0.81,0.37,0.59,0.28,0.42,0.25,0.46,0.27,0.33,0.18,0.29,0.19, 货币资金(万元),42056,--,17954,12167,25944,25500,11425,12047,9489,9485,8269,2315,1105,1027,558,1012,562, 应收账款(万元),4683,--,3486,5258,3352,3151,1843,287,2639,1746,835,885,247,571,371,13,22, 存货(万元),3880,--,7882,7398,2902,251,162,--,14,107,174,80,492,23,98,90,--, 流动资产合计(万元),59641,--,32180,31105,34233,29491,14537,12549,12921,12189,9531,3507,2186,1836,1487,1612,1466, 固定资产净额(万元),--,--,10462,--,--,--,1872,2001,2097,2107,1985,2178,2010,2063,1781,1608,1077, 资产总计(万元),120650,91779,92809,89068,43735,36951,18880,17019,15798,14874,12091,6112,4703,4376,3752,3512,3221, 流动负债合计(万元),7613,--,10148,8539,8006,18933,3193,2613,3200,2982,7127,1944,1170,1382,1049,1178,1027, 非流动负债合计(万元),0,--,0,0,0,0,0,0,0,0,0,0,4,4,3,2,1, 负债合计(万元),7613,6425,10148,8539,8006,18933,3193,2613,3200,2982,7127,1944,1174,1385,1052,1181,1028, 所有者权益(或股东权益)合计(万元),113037,--,82661,80528,35730,18018,15688,14406,12598,11893,4964,4168,3529,2991,2700,2332,2193, 期初现金及现金等价物余额(万元),17926,--,25944,25944,--,25500,12047,12047,9485,9485,2315,2315,1027,1027,1012,1012,562,679, 经营活动产生的现金流量净额(万元),2088,4397,5258,-5048,-612,2690,3101,41,4731,771,1668,880,1557,416,915,189,876,835, 投资活动产生的现金流量净额(万元),-5376,--,-13316,-10021,--,-3272,-2375,-1431,-2367,-378,-678,-352,-442,-338,-900,-643,49,-1572, 筹资活动产生的现金流量净额(万元),27437,--,-6,-20,--,1018,12730,768,198,-390,6180,5426,173,0,0,0,-476,620, 现金及现金等价物净增加额(万元),24129,--,-8017,-15077,--,444,13453,-622,2562,3,7170,5954,1288,78,15,-454,450,-117, 期末现金及现金等价物余额(万元),42056,--,17926,10867,--,25944,25500,11425,12047,9489,9485,8269,2315,1105,1027,558,1012,562,