报告期,2021-09-30,2021-06-30,2021-03-31,2020-12-31,2020-09-30,2020-06-30,2020-03-31,2019-12-31,2019-09-30,2019-06-30,2019-03-31,2018-12-31,2018-09-30,2018-06-30,2018-03-31,2017-12-31,2017-09-30,2017-06-30,2017-03-31,2016-12-31,2016-09-30,2016-06-30,2015-12-31,2015-03-31,2014-12-31,2013-12-31, 营业收入(万元),568254,376096,146129,623788,433565,265940,80927,465196,332631,197432,65019,309675,201956,124903,39621,203879,141612,86323,28777,147342,110048,69675,119956,19073,105922,83099, 营业成本(万元),392944,258344,99152,393365,261740,162238,54027,309215,220556,131543,42993,212449,134881,82112,25419,126352,87320,52936,17370,74092,52906,32125,66320,11730,68408,55555, 营业利润(万元),79730,55707,19850,103312,70369,35553,3458,42727,32749,20177,4988,22152,19283,15421,2766,25975,19730,12657,2354,31374,28452,21520,20004,2952,9907,5297, 利润总额(万元),80166,55957,19834,103885,70402,35487,3507,43162,32964,20324,5048,22320,19459,15462,2800,26072,19794,12719,2344,31597,28586,21635,19947,2978,9920,5433, 所得税费用(万元),12833,8944,3286,14852,12945,6490,569,6825,6017,3723,852,3793,3281,2514,513,4328,3095,1903,408,5153,4641,3567,3457,592,2064,1480, 净利润(万元),67333,47014,16548,89033,57457,28997,2938,36336,26948,16602,4196,18527,16179,12948,2288,21744,16699,10815,1936,26445,23944,18067,16490,2386,7856,3953, 基本每股收益,0.59,0.41,0.27,1.48,0.96,0.48,0.05,0.6,0.44,0.27,0.07,0.31,0.27,0.22,0.04,0.48,0.37,0.24,0.04,0.63,0.59,0.91,0.44,0.13,0.24,0.22, 货币资金(万元),159063,114425,139989,142015,114441,101011,95399,110097,93867,92629,101119,90564,46939,61197,154174,34600,31059,27924,42430,53695,16216,18322,13763,10596,16407, 应收账款(万元),404911,368681,263650,238837,265171,268184,206477,187981,203283,198723,146722,144160,123612,119333,92334,91970,90212,78652,53305,57267,50380,37721,25333,25731,18936, 存货(万元),42401,42603,43413,33979,37748,54064,56249,58469,41862,40644,35673,30325,34494,35180,28182,21969,19643,19467,14928,13300,11145,10226,11792,11582,7666, 流动资产合计(万元),815131,723712,655694,609025,555566,521959,463116,449914,431329,417969,377503,380582,365499,365086,319748,181244,171179,157091,151851,159072,115223,100445,69411,73767,61034, 固定资产净额(万元),--,133766,--,131013,--,73303,--,72356,--,59779,--,53033,36404,37051,34010,34471,26359,22161,13427,13547,13741,12506,11893,11972,5451, 资产总计(万元),1052548,955121,871866,814839,747488,693322,618189,599328,573414,553260,502396,492361,464446,449711,394629,254548,240644,225088,206395,204344,153070,132270,91366,94552,74841, 流动负债合计(万元),460580,424023,384948,374110,336048,313795,278633,274243,251437,232177,188476,186678,160290,140328,104954,107129,98212,86968,77323,77601,74281,73482,55953,61580,56740, 非流动负债合计(万元),97007,50715,30991,25479,30625,30851,21325,10233,10548,15706,18385,14691,15917,15073,2972,3109,3162,3153,3293,3465,3293,2829,762,769,611, 负债合计(万元),557587,474737,415939,399590,366673,344647,299958,284476,261985,247883,206862,201368,176207,155401,107926,110238,101375,90121,80616,81066,77573,76311,56715,62349,57351, 所有者权益(或股东权益)合计(万元),494962,480383,455927,415249,380815,348676,318230,314852,311429,305377,295534,290992,288239,294310,286703,144310,139269,134967,125779,123278,75497,55959,34651,32203,17490, 期初现金及现金等价物余额(万元),125599,125599,125599,93820,93820,93820,93820,70869,70869,70869,70869,22768,22768,22768,18307,35185,35185,35185,35400,13072,13072,13072,6179,6179,11501,8291, 经营活动产生的现金流量净额(万元),-61970,-67486,-27340,55218,-4116,-33084,-26107,17471,-9713,-38084,-31063,-19846,-10457,-21015,-8004,9992,-166,-2687,-13521,11384,-646,-13701,1636,-9397,5774,-3722, 投资活动产生的现金流量净额(万元),-23014,-8549,8981,-88208,-45955,-35258,-15081,10571,7596,13712,23887,-95513,-145530,-123910,-19945,-17284,-12427,-10529,-4899,-24576,-12562,-3344,-8361,6511,-13522,-8088, 筹资活动产生的现金流量净额(万元),94063,48849,15852,64802,49094,60295,30187,-5019,11073,30136,21567,163460,164199,171714,146115,-5125,-4609,-2659,5105,35306,46848,15373,13617,6309,2426,15020, 现金及现金等价物净增加额(万元),9079,-27186,-2507,31779,-977,-8047,-11002,22952,8956,5764,14391,48101,8212,26788,118167,-12417,-17201,-15875,-13315,22113,33640,-1672,6893,3422,-5321,3210, 期末现金及现金等价物余额(万元),134678,98413,123092,125599,92843,85773,82819,93820,79825,76633,85260,70869,30981,49557,136474,22768,17984,19310,22085,35185,46712,11400,13072,9602,6179,11501,