报告日期,2019-06-30,2019-03-31,2018-12-31,2018-09-30,2018-06-30,2018-03-31,2017-12-31,2017-09-30,2017-06-30,2017-03-31,2016-12-31,2016-09-30,2016-06-30,2016-03-31,2015-12-31,2015-09-30,2015-06-30,2015-03-31,2014-12-31,2014-09-30,2014-06-30,2014-03-31,2013-12-31,2013-09-30,2013-06-30,2013-03-31,2012-12-31,2012-09-30,2012-06-30,2011-12-31,2011-09-30,2010-12-31,2009-12-31,2008-12-31, 基本每股收益(元),-0.04,-0.04,-0.09,0.03,0.02,0.01,0.01,0.01,0.03,0.03,0.01,0.01,0,-0.01,-0.23,-0.16,-0.08,-0.04,0.15,0.14,0.11,0.11,0.4,0.34,0.27,0.1,0.63,0.61,0.51,0.88,0.71,0.65,--,--, 每股净资产(元),--,--,--,--,--,--,--,--,--,--,--,--,1.86,--,--,4.42,4.5,4.58,4.62,4.62,4.59,9.16,9.05,9,8.94,8.85,8.75,8.68,5.07,4.56,4.39,3.68,--,--, 每股经营活动产生的现金流量净额(元),--,--,--,--,--,--,--,--,--,--,--,--,-0.18,--,--,-0.85,-0.72,-0.3,-0.29,-0.03,0.13,0.01,0.45,-0.56,-0.65,-0.37,0.26,-0.35,-0.17,0.05,0.08,-0.06,--,--, 主营业务收入(万元),90019,40411,192840,146096,97311,47517,198910,139867,88735,43035,156490,112623,76519,35913,136071,103355,72101,35217,142871,105908,68960,33833,157016,117698,81362,35380,140725,109784,73863,153932,111532,123467,69531,69522, 主营业务利润(万元),7286,-422,13011,14505,8250,4421,18153,13298,10183,5133,11646,6869,4006,939,-690,4346,4455,1987,20211,15624,10586,5010,21210,16290,12108,5213,23163,17885,12795,25252,18995,21641,13845,9723, 营业利润(万元),-3207,-3492,-5936,3249,1448,1094,1266,-1364,930,1019,-1965,-1135,98,-923,-20040,-6953,-3028,-1836,6015,5734,4697,2461,8507,7436,5854,2219,11054,9325,7120,13020,10908,11260,8809,6618, 投资收益(万元),-423,-241,-545,-455,-386,-69,267,137,16,29,1554,1383,1397,-13,-91,-141,-123,-72,-58,3,3,--,7,3,3,--,203,2,2,2,2,-1,2,1, 营业外收支净额(万元),-56,78,-418,-9,-17,-28,-302,1962,1823,1186,3347,2168,135,124,604,824,-87,153,695,411,83,55,328,130,75,50,725,995,839,1206,842,-483,81,84, 利润总额(万元),-3263,-3413,-6354,3240,1431,1065,965,599,2752,2205,1381,1033,233,-799,-19436,-6129,-3116,-1684,6710,6144,4780,2516,8835,7566,5929,2269,11780,10320,7959,14226,11750,10776,8890,6702, 净利润(万元),-3630,-3314,-7508,2144,1431,1065,784,599,2752,2205,731,1034,234,-799,-18679,-6030,-3020,-1676,5562,5219,4060,2136,7565,6431,5040,1929,9985,9113,7073,12357,9933,9150,7630,5723, 净利润(扣除非经常性损益后)(万元),-5132,-4644,-8804,481,-78,29,-2073,-1069,1203,1197,-3344,-808,119,-904,-19104,--,-2967,--,4952,--,3990,--,7286,--,4976,--,9367,--,6360,11333,9218,9568,7562,5659, 经营活动产生的现金流量净额(万元),5299,-3133,15103,13316,5188,-2229,-6360,-4455,-11373,-6981,-24567,-24843,-15104,-10580,-28408,-31858,-27012,-11243,-10887,-1132,4763,224,8314,-10461,-12152,-6896,4837,-6479,-2373,737,1156,-870,-2713,1496, 现金及现金等价物净增加额(万元),-816,225,-5034,3172,-2913,2488,3526,157,433,-485,-81,-3064,2353,-1571,-659,-1960,-338,-2266,-1766,-18592,-1703,-2501,-3606,-2449,-5125,9732,8639,58991,-1046,-334,7794,1400,-2250,2551, 总资产(万元),283551,288384,280738,310523,274124,282448,269436,260284,268391,260707,255484,253194,251731,249760,244720,245032,277036,264942,260049,239969,232959,227259,226934,226389,222600,226060,197808,184945,111755,102681,111486,80346,55902,42951, 流动资产(万元),112256,115006,109125,143265,123023,132453,121982,113521,120046,110330,103905,99243,97718,94571,88857,93750,127785,127412,121528,135914,139756,146654,146202,159810,158713,170413,151630,147429,75813,65978,75286,52138,31329,23122, 总负债(万元),143619,145604,137615,157986,118796,127386,115520,106554,112201,105113,102093,99750,99088,98129,92319,79979,108967,93775,87280,67540,61628,56086,57829,58269,55687,60729,34406,22812,40845,38843,50072,28866,21372,18769, 流动负债(万元),115150,100678,109035,106012,83360,92157,79139,83990,89561,92167,88307,91070,90385,89252,83320,71506,99791,84603,78051,58813,52969,47752,49715,58069,47534,52981,26977,19937,38017,36018,47712,28588,21270,18719, 股东权益不含少数股东权益(万元),142375,146581,145884,155144,155328,155061,153917,153730,156190,155593,153391,153444,152644,151640,152409,165058,168071,171166,172771,172430,171330,171170,169098,168121,166912,165331,163402,162132,70910,63838,61413,51480,34530,24183, 净资产收益率加权(%),-3,-2.29,-5,1.4,0.92,0.69,0.51,0.39,1.78,1.42,0.48,0.68,0.15,-0.53,-11.49,-3.57,-1.76,-0.97,3.25,3.06,2.39,1.26,3.56,3.88,3.05,1.17,9.42,10.33,10.5,21.43,17.6,23.13,25.43,27.62,