报告期,2021-03-31,2020-12-31,2020-09-30,2020-06-30,2020-03-31,2019-12-31,2019-09-30,2019-06-30,2019-03-31,2018-12-31,2018-09-30,2018-06-30,2017-12-31,2016-12-31,2015-12-31, 营业收入(万元),257383,789408,552987,361031,190893,771499,545967,350450,183268,637756,456298,303529,542407,428937,314936, 营业成本(万元),177192,548899,378778,250823,134367,525634,368551,236601,122401,438732,317228,213595,382836,288562,211817, 营业利润(万元),14575,48363,36322,22797,12644,47140,42517,26118,14564,34639,24668,16228,19129,13767,6380, 利润总额(万元),14602,48330,36169,22626,12387,47337,42672,26267,14674,34654,24610,16173,19005,16037,7494, 所得税费用(万元),4346,13899,9776,6386,3253,12424,10878,6657,3676,9856,7088,4833,7201,5524,2729, 净利润(万元),10256,34431,26392,16240,9135,34913,31794,19610,10998,24798,17522,11340,11803,10512,4765, 基本每股收益,0.25,0.87,0.67,0.42,0.24,0.95,0.87,0.54,0.3,0.66,0.48,0.31,0.33,--,--, 货币资金(万元),186761,198038,151583,120310,185641,152368,71644,129264,103711,29856,107031,63441,42957, 应收账款(万元),58864,36024,29521,21443,17980,25852,12063,16691,8637,--,10055,7384,8254, 存货(万元),48037,61817,61637,51353,56231,97082,63107,46525,71158,42111,59147,61724,47580, 流动资产合计(万元),329866,336693,315417,280267,291641,301490,255225,224597,237758,209609,235003,213778,149892, 固定资产净额(万元),--,45090,--,49848,--,52151,52882,53601,32066,32966,33869,18359,9551, 资产总计(万元),448339,418388,394160,362298,372505,383169,335400,305207,318276,274428,295560,260119,180507, 流动负债合计(万元),214110,209074,193074,168545,173991,235854,191101,173068,205622,176855,210004,218225,151398, 非流动负债合计(万元),16981,768,743,783,777,800,823,846,782,668,0,14,3, 负债合计(万元),231092,209842,193817,169328,174768,236654,191924,173914,206404,177523,210004,218239,151401, 所有者权益(或股东权益)合计(万元),217248,208547,200343,192969,197737,146515,143476,131293,111872,96905,85557,41880,29106, 期初现金及现金等价物余额(万元),191453,140782,140782,140782,140782,91942,91942,91942,91942,92461,92461,92461,28715,3950,2381, 经营活动产生的现金流量净额(万元),-3609,33021,8883,3585,5995,34219,34831,19939,7166,14817,-2136,2667,54431,75283,20320, 投资活动产生的现金流量净额(万元),-5313,-19558,-40384,-66075,-9648,15292,-65147,9379,-19193,-14549,-47866,-76950,10891,-52174,-29321, 筹资活动产生的现金流量净额(万元),-2765,37208,37026,37058,44379,-672,-547,-247,0,-786,-476,-108,-1577,1656,10570, 现金及现金等价物净增加额(万元),-11687,50671,5524,-25432,40727,48839,-30864,29071,-12027,-518,-50478,-74391,63745,24765,1569, 期末现金及现金等价物余额(万元),179766,191453,146306,115350,181508,140782,61078,121013,79916,91942,41982,18070,92461,28715,3950,