报告日期,2021-09-30,2021-06-30,2021-03-31,2020-12-31,2020-09-30,2020-06-30,2020-03-31,2019-12-31,2019-09-30,2019-06-30,2019-03-31,2018-12-31,2018-09-30,2018-06-30,2018-03-31,2017-12-31,2017-09-30,2017-06-30,2017-03-31,2016-12-31,2016-09-30,2016-06-30,2016-03-31,2015-12-31,2015-09-30,2015-06-30,2015-03-31,2014-12-31,2014-09-30,2014-06-30,2013-12-31,2012-12-31,2012-06-30,2011-12-31,2010-12-31,2009-12-31, 基本每股收益(元),0.26,0.28,0.23,0.43,0.23,0.09,-0.02,0.01,0,0.04,0.03,0.24,0.28,0.21,0.18,0.52,0.32,0.25,0.13,0.48,0.37,0.23,0.1,0.42,0.24,0.18,0.08,0.54,0.38,0.22,0.6,0.61,0.28,0.56,--,--, 每股净资产(元),--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,3.65,--,--,--,--,--,--,--,--, 每股经营活动产生的现金流量净额(元),--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,1.16,--,--,0.86,1.19,--,--,--,--, 主营业务收入(万元),516408,329500,151657,559653,386711,242248,90364,703635,514493,350342,176212,604269,394731,236550,108592,409214,271854,154756,70229,216618,141554,88212,37733,202255,149082,97738,38496,121468,88419,57291,125636,98191,49350,83643,57745,34682, 主营业务利润(万元),15332,15090,11574,31818,18634,10488,2428,13598,7918,6274,1965,18172,16163,11945,6177,25539,14422,9669,5225,18778,13241,8376,3693,14608,9139,6339,3402,14441,11037,7488,15138,16153,7530,13373,9811,5297, 营业利润(万元),10747,12297,10014,19817,10437,4443,-450,1921,645,2218,1006,8719,8830,6837,3782,12570,5659,4078,2491,8500,6815,4030,1500,5075,2658,2042,864,5994,4267,2892,6672,7298,3452,7040,5545,3181, 投资收益(万元),959,470,-29,1396,1003,641,229,1183,481,298,138,682,469,141,208,684,376,226,111,436,304,128,18,35,--,--,--,--,--,--,--,--,--,--,--,--, 营业外收支净额(万元),-8,-58,-124,-470,-176,-133,-69,14,-121,-98,-80,-34,80,36,15,-961,880,974,199,929,420,577,364,1486,624,396,269,735,294,-70,693,150,21,-145,152,-73, 利润总额(万元),10739,12239,9890,19347,10260,4311,-519,1935,524,2120,925,8685,8910,6873,3798,11609,6540,5051,2690,9428,7235,4608,1865,6561,3281,2439,1133,6729,4561,2822,7365,7447,3473,6895,5696,3108, 净利润(万元),7210,7979,6352,12267,6607,2539,-472,257,103,1155,522,4707,5303,3890,2177,6195,3885,3013,1605,5820,4466,2812,1164,4369,2360,1595,750,4892,3421,1989,5418,5529,2551,5061,4239,2302, 净利润(扣除非经常性损益后)(万元),4309,5577,4846,11504,6243,2293,-529,-1814,-1010,128,-700,1394,3670,3007,1436,5713,3176,2256,1435,5079,4117,2358,872,3227,1892,1298,549,4341,3201,2041,4898,5465,--,--,--,--, 经营活动产生的现金流量净额(万元),618,9529,13630,30628,26933,733,1702,4691,-2621,-1925,-706,-1243,-1295,-9142,-575,21885,8046,7175,5746,9506,9100,4526,-717,14932,3484,3576,805,10452,5757,2201,7702,10736,1068,6599,2667,789, 现金及现金等价物净增加额(万元),-7265,1497,9017,12299,9314,4481,-4459,142,3818,-2945,969,-4841,-812,-6580,33292,16835,10428,4438,5722,-9043,-5754,1058,-1172,4757,-851,20984,-1622,845,-3710,-1823,-68,589,-339,3111,-176,278, 总资产(万元),164561,168146,181013,177050,180687,185001,173375,160941,171241,152803,199336,167188,180266,171006,167734,126383,127003,106034,95012,89649,93704,92047,89909,85068,82559,97181,--,70369,--,--,67852,60298,57846,48076,25016,15072, 流动资产(万元),83130,84335,91368,86670,79837,86815,79580,64788,79376,59294,104768,70760,91855,83063,90157,49424,58432,35558,30255,25479,31913,33856,32671,27853,28643,45796,--,21823,--,--,20872,15215,19361,14099,8577,6417, 总负债(万元),36709,39250,49427,53519,64509,71661,63930,51267,61739,42170,87015,55682,68307,54455,51064,51250,54816,35092,24688,21441,27013,27353,26384,22966,22866,38143,--,34631,--,--,37257,35253,35791,27398,12971,8774, 流动负债(万元),35570,38057,48181,52215,63136,70214,62408,49671,60056,40395,85147,53721,65230,51219,47667,47793,51832,31950,22266,18767,24925,25119,26383,20499,21185,29177,--,24293,--,--,29305,22200,19174,14844,12513,8740, 股东权益不含少数股东权益(万元),118300,119037,121733,115267,109621,105487,102531,102957,102384,103456,104604,103998,104511,108772,109066,68686,66326,65372,65094,63409,62086,60398,59606,58417,56379,55618,--,32875,--,--,30547,25044,22055,20678,12045,6299, 净资产收益率加权(%),6.13,6.68,5.36,11.24,6.22,2.44,-0.46,0.25,0.1,1.11,0.5,4.78,5.76,4.35,3.12,9.41,5.99,4.65,2.5,9.56,7.41,4.71,1.97,9.01,6.22,4.37,2.26,14.78,10.59,6.39,19.49,24.29,11.73,31.46,48.23,48.13,