报告期,2021-03-31,2020-12-31,2020-09-30,2020-06-30,2020-03-31,2019-12-31,2019-09-30,2019-06-30,2019-03-31,2018-12-31,2018-06-30,2017-12-31,2016-12-31,2016-06-30,2015-12-31,2015-06-30,2014-12-31,2013-12-31, 营业收入(万元),10496,98390,82727,42804,11172,91213,65354,40916,3480,57271,27303,20625,14203,7349,6682,3361,7227,4408, 营业成本(万元),6369,60642,52729,--,--,54165,38847,--,--,34330,17060,10507,8100,4634,3683,1671,4608,2392, 营业利润(万元),3744,33829,26601,13492,--,34386,24761,12522,--,19525,8803,7414,4641,2020,1257,985,879,373, 利润总额(万元),3743,34427,27035,13774,--,34368,24743,12504,--,19473,8729,7422,4771,2025,1221,928,897,372, 所得税费用(万元),887,8377,6645,--,--,8985,7155,--,--,5870,2643,2026,1268,509,311,236,238,152, 净利润(万元),2857,26050,20390,9691,--,25383,17588,8509,--,13604,6086,5396,3504,1516,910,692,659,219, 基本每股收益,0.4,4.34,3.64,--,--,4.7,3.25,--,--,2.52,1.13,1.08,0.7,0.58,0.36,0.29,0.33,0.17, 货币资金(万元),233070,81580,149044,--,56046,40078,37215,28119,10539,3810,1168,1095,916,809, 应收账款(万元),36592,36391,37159,--,15732,9712,6257,4297,1326,1249,269,280,125,282, 存货(万元),8057,7570,6990,--,38269,22112,12171,6149,450,1123,435,407,394,170, 流动资产合计(万元),339120,346403,340718,--,117365,79116,61367,42431,12910,6602,2562,3010,1917,2015, 固定资产净额(万元),--,4145,--,--,4848,2997,2892,2334,2461,2009,1944,1696,2077,1519, 资产总计(万元),354837,356315,349970,129828,127070,87174,69465,50005,20404,13723,9709,9965,9048,6061, 流动负债合计(万元),39574,39295,38661,--,63217,49361,39821,26299,8960,4460,1815,2142,2370,1096, 非流动负债合计(万元),3398,798,746,--,914,343,25,172,466,613,760,907,1054,0, 负债合计(万元),42972,40093,39407,57198,64131,49704,39845,26471,9425,5073,2575,3049,3424,1096, 所有者权益(或股东权益)合计(万元),311865,316222,310562,72630,62939,37471,29619,23534,10978,8650,7134,6916,5624,4965, 期初现金及现金等价物余额(万元),80851,56046,56046,--,56046,40078,40078,--,27487,27487,10539,1156,1156,904,904,809,1667, 经营活动产生的现金流量净额(万元),-7773,7876,2489,-5429,-2673,17518,18795,4928,13823,10614,11750,10985,3226,818,2,2672,1212, 投资活动产生的现金流量净额(万元),162528,-210843,-139138,595,300,-1366,-46846,-894,-758,-685,-876,-1261,-401,-807,-245,-3867,-2871, 筹资活动产生的现金流量净额(万元),-3271,227772,227927,-50,-30,-184,-124,-100,-474,-200,6073,-340,-171,241,421,1291,800, 现金及现金等价物净增加额(万元),151484,24805,91277,-4883,-2403,15967,-28175,3934,12592,9728,16948,9383,2654,252,178,96,-859, 期末现金及现金等价物余额(万元),232335,80851,147323,--,53643,56046,11903,--,40078,37215,27487,10539,3810,1156,1083,904,809,