报告日期 |
---|
利润表摘要 |
营业收入(万元) |
营业成本(万元) |
营业利润(万元) |
利润总额(万元) |
所得税费用(万元) |
净利润(万元) |
基本每股收益 |
资产负债表摘要 |
货币资金(万元) |
应收账款(万元) |
存货(万元) |
流动资产合计(万元) |
固定资产净额(万元) |
资产总计(万元) |
流动负债合计(万元) |
非流动负债合计(万元) |
负债合计(万元) |
所有者权益(或股东权益)合计(万元) |
现金流量表摘要 |
期初现金及现金等价物余额(万元) |
经营活动产生的现金流量净额(万元) |
投资活动产生的现金流量净额(万元) |
筹资活动产生的现金流量净额(万元) |
现金及现金等价物净增加额(万元) |
期末现金及现金等价物余额(万元) |
2021-12-31 | 2020-12-31 | 2019-12-31 | 2018-12-31 | 2017-12-31 | 2016-12-31 | 2015-12-31 | 2014-12-31 | 2013-12-31 | 2012-12-31 | 2011-12-31 | 2010-12-31 | 2009-12-31 | 2008-12-31 | 2007-12-31 | 2006-12-31 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
270,861 | 282,141 | 310,165 | 272,024 | 199,218 | 132,080 | 71,668 | 32,668 | 28,955 | 24,732 | 24,126 | 18,896 | 12,301 | 13,020 | 12,772 | 7,752 |
186,067 | 209,178 | 209,948 | 156,042 | 100,676 | 55,415 | 24,432 | 1,638 | 783 | 913 | 769 | 1,072 | 926 | 1,015 | 4,831 | 1,843 |
-13,410 | -17,600 | 4,933 | -80,781 | 36,187 | 20,726 | 13,705 | 6,555 | 5,717 | 794 | 6,019 | 3,957 | 3,295 | 3,935 | 2,955 | 2,553 |
-13,374 | 7,292 | 5,743 | -79,595 | 37,882 | 23,445 | 15,131 | 7,582 | 6,335 | 2,247 | 6,569 | 4,877 | 4,486 | 5,163 | 4,473 | 3,164 |
-161 | -151 | 463 | 3,120 | 3,511 | 2,321 | 2,152 | 417 | 423 | 329 | 420 | 312 | 303 | 277 | 283 | 142 |
-13,214 | 7,444 | 5,280 | -82,715 | 34,371 | 21,123 | 12,978 | 7,165 | 5,911 | 1,918 | 6,149 | 4,565 | 4,183 | 4,887 | 4,190 | 3,022 |
-0.19 | 0.10 | 0.07 | -1.18 | 0.44 | 0.40 | 0.68 | 0.41 | 0.34 | 0.11 | 0.56 | 0.42 | 0.82 | 1.06 | 0.91 | 0.65 |
69,086 | 66,285 | 74,861 | 79,392 | 93,295 | 70,863 | 84,977 | 28,719 | 23,471 | 23,113 | 33,602 | 41,432 | 41,914 | 5,594 | 3,736 | 4,160 |
44,338 | 42,012 | 70,111 | 64,772 | 74,134 | 37,232 | 18,683 | 6,523 | 6,708 | 6,105 | 5,794 | 2,412 | 3,625 | 3,313 | 1,584 | 1,164 |
9,543 | 11,288 | 2,178 | 2,399 | 5,666 | 6,574 | 8,737 | 7 | 121 | 52 | 25 | 166 | 284 | 544 | 286 | 1,855 |
169,302 | 156,739 | 182,931 | 207,365 | 244,255 | 127,562 | 121,453 | 43,030 | 40,236 | 37,650 | 40,327 | 44,744 | 46,413 | 10,050 | 6,333 | 8,818 |
18,940 | 20,317 | 21,722 | 22,661 | 23,452 | 23,077 | 22,318 | 14,306 | 14,666 | 15,479 | 14,478 | 14,181 | 11,119 | 11,352 | 10,089 | 2,242 |
262,783 | 266,702 | 303,628 | 327,706 | 470,775 | 279,587 | 249,729 | 82,465 | 76,232 | 70,534 | 69,163 | 66,028 | 62,651 | 22,618 | 18,264 | 16,815 |
85,733 | 81,939 | 86,706 | 118,921 | 129,869 | 59,396 | 49,886 | 6,421 | 5,087 | 3,525 | 3,280 | 3,400 | 1,551 | 4,413 | 4,941 | 7,408 |
79,361 | 72,346 | 97,506 | 92,127 | 64,520 | 1,831 | 2,111 | 129 | 161 | 177 | 0 | 0 | -- | 0 | 0 | 40 |
165,093 | 154,285 | 184,212 | 211,049 | 194,389 | 61,227 | 51,997 | 6,550 | 5,247 | 3,702 | 3,280 | 3,400 | 1,551 | 4,413 | 4,941 | 7,448 |
97,689 | 112,418 | 119,416 | 116,657 | 276,386 | 218,360 | 197,731 | 75,915 | 70,985 | 66,831 | 65,883 | 62,629 | 61,100 | 18,205 | 13,323 | 9,367 |
63,677 | 71,381 | 77,195 | 90,958 | 68,642 | 83,529 | 27,733 | 22,523 | 22,797 | 33,602 | 41,432 | 41,914 | 5,594 | 3,736 | 4,160 | 2,637 |
20,212 | 19,655 | 16,801 | 44,229 | 12,792 | 9,647 | 17,352 | 8,334 | 7,210 | 4,259 | 3,866 | 7,818 | 3,943 | 3,233 | 3,497 | 3,592 |
-12,500 | 1,007 | -6,246 | -48,566 | -76,992 | -14,617 | 11,335 | 452 | -5,718 | -12,866 | -8,400 | -5,334 | -3,735 | -985 | -4,296 | -2,223 |
-3,755 | -27,845 | -16,631 | -9,599 | 86,687 | -9,966 | 27,027 | -3,576 | -1,766 | -2,197 | -3,296 | -2,966 | 36,112 | -390 | 374 | 155 |
3,671 | -7,704 | -5,814 | -13,763 | 22,316 | -14,888 | 55,796 | 5,210 | -273 | -10,805 | -7,830 | -482 | 36,320 | 1,858 | -424 | 1,523 |
67,348 | 63,677 | 71,381 | 77,195 | 90,958 | 68,642 | 83,529 | 27,733 | 22,523 | 22,797 | 33,602 | 41,432 | 41,914 | 5,594 | 3,736 | 4,160 |