报告日期,2022-03-31,2021-12-31,2021-09-30,2021-06-30,2021-03-31,2020-12-31,2020-09-30,2020-06-30,2020-03-31,2019-12-31,2019-09-30,2019-06-30,2019-03-31,2018-12-31,2018-09-30,2018-06-30,2018-03-31,2017-12-31,2017-09-30,2017-06-30,2017-03-31,2016-12-31,2016-09-30,2016-06-30,2016-03-31,2015-12-31,2015-09-30,2015-06-30,2015-03-31,2014-12-31,2014-09-30,2014-06-30,2014-03-31,2013-12-31,2012-12-31,2011-12-31, 基本每股收益(元),0.14,0.41,0.28,0.2,0.15,0.43,0.36,0.23,0.12,0.6,0.51,0.35,0.17,0.41,0.27,0.18,0.11,0.52,0.37,0.25,0.13,0.45,0.32,0.23,0.23,0.85,0.64,0.4,0.25,0.91,0.72,0.46,0.24,0.82,0.74,0.85, 每股净资产(元),--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,6.16,5.9,--,5.44,4.62,3.88, 每股经营活动产生的现金流量净额(元),--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,0.16,0.05,--,0.61,0.34,0.19, 主营业务收入(万元),37048,158679,115286,74498,38785,129895,85986,51274,24647,128427,93625,63696,31360,128268,88525,57147,25941,122324,88096,57131,28018,86278,59431,39672,18105,78674,61846,39347,18041,73729,56262,38634,17641,67169,52886,47781, 主营业务利润(万元),5389,19305,14164,9407,5701,17796,14427,8034,3834,23233,18789,12905,6542,18659,12514,8191,4074,18510,13400,8649,4025,13953,9658,6555,3015,12633,9400,6216,3069,12113,9206,6351,2979,11441,9814,9008, 营业利润(万元),4179,12196,8368,5874,3944,10826,9066,5742,3182,15178,13543,9325,4545,10374,7283,4816,2015,9523,7003,4693,2488,7731,5521,3676,1597,7298,5448,3326,1718,6415,5123,3301,1680,5687,5133,4574, 投资收益(万元),-37,-456,-170,-170,4,-97,138,126,23,78,63,63,--,293,305,295,9,79,119,73,47,326,427,312,145,320,165,45,--,16,3,--,--,--,--,--, 营业外收支净额(万元),3,-4,-134,-72,-50,11,126,205,-97,-87,-67,-95,-10,-105,-116,-67,-25,-5,20,3,-1,595,581,575,561,39,66,-8,--,-36,-29,-26,-15,-3,29,-29, 利润总额(万元),4183,12192,8234,5802,3894,10837,9192,5947,3086,15091,13475,9231,4535,10269,7168,4750,1991,9518,7023,4696,2487,8326,6103,4251,2158,7338,5514,3318,1718,6379,5094,3275,1665,5684,5161,4545, 净利润(万元),3702,10985,7489,5202,3427,9564,8045,5183,2661,13220,11329,7780,3850,9146,6061,4019,1684,8348,5949,3975,2108,7254,5168,3601,1829,6350,4676,2814,1473,5483,4300,2765,1426,4926,4420,3977, 净利润(扣除非经常性损益后)(万元),3685,10889,7530,5195,3419,9374,7780,4862,2718,13201,11345,7789,3855,8919,5873,3823,1695,8153,5830,3911,2068,6469,4311,2848,1228,6009,4480,2771,1473,--,4283,2762,1426,4878,4344,3950, 经营活动产生的现金流量净额(万元),2109,6763,941,-1129,-5561,12473,8817,8688,2470,25630,18065,9759,1045,7146,2687,2688,2096,10453,-455,1976,-814,-2801,1528,7978,3585,5070,-813,132,98,2685,941,314,-2776,3686,2029,1170, 现金及现金等价物净增加额(万元),-737,-3452,-7371,-9054,-8879,-544,-4130,1605,-10444,-1272,6882,-1448,886,-2345,-14192,-7317,-2800,8981,-3804,-1501,3529,1504,6658,6293,9764,2532,-2222,-3154,20807,2571,-2508,1433,-1464,-1420,4314,819, 总资产(万元),133173,129377,137824,133463,141633,142926,127087,107910,125692,120944,91113,80217,87158,94702,87932,76771,90991,94664,81729,80251,91900,90572,82930,87713,86255,74145,74151,84224,92446,60834,58014,64198,--,51008,46225,40922, 流动资产(万元),97333,93140,102482,97790,105463,109584,94131,80349,99074,93909,79442,68757,75650,83005,76355,64864,79059,82456,69793,68130,79758,78480,71737,75585,73904,61645,63012,72889,81091,49415,46469,52674,--,39236,33802,29396, 总负债(万元),46843,46750,58693,56619,62125,66845,52526,36211,49856,47769,19589,12199,11973,23367,19682,10564,18437,22339,11804,12299,21016,21795,16240,22590,18904,8623,10303,21118,30681,22697,21060,28778,--,18353,18497,17614, 流动负债(万元),46683,46590,58515,56441,61928,66649,52311,35996,49623,47537,19446,12055,11829,23223,19626,10508,18381,22283,11736,12231,20948,21727,16160,22510,18824,8543,10211,21026,30589,22605,20965,28680,--,18249,18381,17494, 股东权益不含少数股东权益(万元),86330,82627,79131,76844,79508,76081,74561,71700,75836,73175,71524,68018,75185,71335,68250,66207,72554,72325,69925,67952,70885,68776,66690,65124,67351,65522,63849,63106,61765,38138,36954,35420,--,32655,27728,23308, 净资产收益率加权(%),4.38,13.91,9.56,6.61,4.41,12.91,10.42,6.84,3.57,18.57,15.72,10.6,5.26,12.88,8.46,5.44,2.3,11.9,8.55,5.68,3.02,10.86,7.79,5.35,2.75,11.09,8.5,3.72,3.79,15.49,12.35,8.12,4.27,16.32,17.32,24.74,