报告期,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, 营业收入(万元),98092,71836,68892,57458,55313,57702,90441,88725,96430,88507,71381,58510,49014, 营业成本(万元),76899,63977,60656,49096,46608,48064,80331,79747,85245,77415,62373,51379,43924, 营业利润(万元),12471,1760,2007,3483,3506,3965,3806,3398,5075,5138,3911,2693,1472, 利润总额(万元),12427,1755,1989,3472,3876,4048,4000,3539,5240,5254,4209,2765,1729, 所得税费用(万元),2023,138,176,405,474,511,497,424,672,1110,504,266,197, 净利润(万元),10404,1617,1813,3067,3402,3536,3503,3115,4568,4144,3705,2499,1532, 基本每股收益,0.84,0.18,0.2,0.34,0.38,0.53,0.52,0.47,0.68,0.67,0.66,0.45,0.27, 货币资金(万元),25857,8042,3440,8342,9713,23498,5952,8008,7500,14588,3928,2327,1965, 应收账款(万元),51323,13085,16082,11689,12928,12818,11621,10138,8836,7862,7196,4656,2595, 存货(万元),17292,14741,15435,14960,13500,14291,12942,13258,12214,12962,9522,7021,6306, 流动资产合计(万元),105719,51063,47728,49228,53820,58266,40345,38633,39794,41108,22821,16878,14612, 固定资产净额(万元),23912,18080,18927,7926,8963,9549,9483,8759,9075,8059,8538,2036,1536, 资产总计(万元),158096,80700,77392,73418,70514,73572,55583,52737,53158,53921,34266,26339,19424, 流动负债合计(万元),54081,16402,14169,11321,10711,16492,18585,19183,22660,26532,16261,10177,5851, 非流动负债合计(万元),42746,15,161,225,285,251,310,369,428,1888,4647,6560,6470, 负债合计(万元),96826,16417,14331,11546,10996,16744,18896,19552,23088,28419,20908,16737,12321, 所有者权益(或股东权益)合计(万元),61270,64283,63062,61872,59518,56829,36687,33184,30070,25501,13358,9602,7104, 期初现金及现金等价物余额(万元),7725,3440,8342,9713,23498,5952,8008,6700,14588,3928,2327,1965,650, 经营活动产生的现金流量净额(万元),6201,7862,-283,1985,3144,3443,3007,1121,2994,947,2724,1193,707, 投资活动产生的现金流量净额(万元),6121,-1073,-4618,-3262,-9314,-1455,-1891,-2098,-1520,-2318,-2703,-2625,-1193, 筹资活动产生的现金流量净额(万元),5040,-2504,-2,-94,-7615,15559,-3173,2286,-9362,12031,1580,1794,1800, 现金及现金等价物净增加额(万元),17361,4286,-4902,-1371,-13785,17546,-2057,1309,-7888,10661,1600,363,1314, 期末现金及现金等价物余额(万元),25086,7725,3440,8342,9713,23498,5952,8008,6700,14588,3928,2327,1965,