报告日期,2021-03-31,2020-12-31,2020-09-30,2020-06-30,2020-03-31,2019-12-31,2019-09-30,2019-06-30,2019-03-31,2018-12-31,2018-09-30,2018-06-30,2017-12-31,2016-12-31,2016-06-30,2015-12-31,2014-12-31, 基本每股收益(元),0.37,2.15,1.14,0.75,0.59,3.37,1.6,1.16,0.54,2.71,1.24,0.85,2.3,1.54,0.71,0.45,0.01, 每股净资产(元),--,--,--,--,--,--,--,7.33,--,6.67,--,4.81,4.81,4.32,3.31,2.6,2.98, 每股经营活动产生的现金流量净额(元),--,--,--,--,--,--,--,1.34,--,1.75,--,1.27,1.31,--,--,-0.78,35.82, 主营业务收入(万元),22280,129859,82457,55796,21381,145082,78994,55922,23192,101280,52449,36430,70441,51351,18920,26157,2398, 主营业务利润(万元),10120,59325,34615,23603,9381,61033,30764,21290,9497,42521,22253,14876,32489,20879,8709,9207,718, 营业利润(万元),7316,43207,21473,14608,5991,27162,12810,9362,4330,20246,9960,6840,17543,7775,3513,2439,21, 投资收益(万元),183,344,0,--,--,100,100,100,--,--,--,--,--,63,28,--,--, 营业外收支净额(万元),35,1067,1326,288,275,1820,-4,-4,--,1482,-35,-2,899,158,-18,-25,-1, 利润总额(万元),7352,44274,22800,14896,6266,28981,12806,9358,4330,21728,9925,6839,18443,7933,3495,2414,20, 净利润(万元),5315,31006,16384,10844,4733,21905,9619,6954,3239,16262,7435,5124,13782,5727,2634,1671,15, 净利润(扣除非经常性损益后)(万元),4915,28416,15178,10485,4505,20152,9583,6931,3223,15113,--,5115,13291,5687,2633,1991,15, 经营活动产生的现金流量净额(万元),-3110,43850,26401,10687,3014,14690,9670,8049,-4087,10487,-109,7615,7885,2500,3548,-2875,358, 现金及现金等价物净增加额(万元),6661,-19616,249,-11287,4437,72060,69826,-946,-4141,1965,-6202,7840,1295,2263,-1126,4905,-76, 总资产(万元),204250,201417,177959,176520,146097,142155,125016,52448,--,50335,--,40295,35322,23186,16473,13597,670, 流动资产(万元),127787,127107,123002,124114,130196,126088,109258,38721,--,42204,--,33077,29379,21984,16119,13433,669, 总负债(万元),39457,42964,36449,41392,13446,14350,9463,8484,--,10333,--,11422,6474,6858,4205,3962,640, 流动负债(万元),37636,42087,36067,40989,13404,14308,9463,8484,--,10333,--,11422,6474,6858,4205,3962,640, 股东权益不含少数股东权益(万元),156673,151258,136700,130982,132634,127805,115553,43963,--,40002,--,28872,28848,16327,12268,9634,30, 净资产收益率加权(%),3.45,22.38,12.35,8.22,3.62,33.23,22.47,16.57,7.78,47.23,--,16.31,60.88,45.1,24.05,99.51,69.14,