报告日期,2022-06-30,2022-03-31,2021-12-31,2021-09-30,2021-06-30,2021-03-31,2020-12-31,2020-09-30,2020-06-30,2020-03-31,2019-12-31,2019-09-30,2019-06-30,2019-03-31,2018-12-31,2018-09-30,2018-06-30,2018-03-31,2017-12-31,2017-09-30,2017-06-30,2017-03-31,2016-12-31,2016-09-30,2016-06-30,2016-03-31,2015-12-31,2014-12-31,2014-06-30,2013-12-31,2012-12-31,2011-12-31, 基本每股收益(元),0.53,0.22,1.05,0.85,0.58,0.25,0.97,0.72,0.47,0.25,1.04,0.77,0.56,0.23,0.88,0.69,0.51,0.19,0.77,0.6,0.45,0.19,0.76,0.59,0.43,0.2,0.67,0.75,0.54,0.57,0.47,0.48, 每股净资产(元),--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,3.75,--,--,--,3.35,--,--,--, 每股经营活动产生的现金流量净额(元),--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,--,0.5,--,1.14,1.11,0.58,0.78,0.68,1.06, 主营业务收入(万元),752440,360337,1448970,1100427,736681,335188,1145167,820849,512338,204484,885411,675009,461393,221539,844262,646115,434141,185413,700373,516821,350620,160057,537079,392145,265698,129248,457397,555924,331696,557041,531372,550757, 主营业务利润(万元),119024,53896,220206,197632,135282,61409,227523,165734,103920,41946,185147,138068,94596,43942,169000,128445,86703,35679,146559,104551,68723,31444,123248,92845,64391,30410,109536,124206,68139,105721,87652,82816, 营业利润(万元),57052,23239,108367,89143,62785,26775,102609,78715,51418,18105,81795,62778,45909,18253,71558,56316,40201,14605,61805,46444,34309,14429,54040,42004,30846,13757,47026,51067,33201,39960,29098,27726, 投资收益(万元),5897,3977,21675,16547,9810,3675,22752,15814,8955,3630,12820,8490,5993,2765,9660,6708,4951,1478,5378,3704,2806,1141,2668,1704,846,253,849,346,268,427,1286,543, 营业外收支净额(万元),-24,-7,-61,-88,-36,-5,29,-33,-27,-6,484,276,281,-30,977,702,821,260,1723,3199,2588,385,1013,318,-66,178,938,1194,-131,-82,353,-74, 利润总额(万元),57028,23231,108307,89055,62749,26770,102638,78682,51391,18099,82279,63054,46190,18223,72535,57018,41023,14865,63528,49643,36897,14815,55053,42322,30780,13934,47964,52261,33070,39878,29451,27651, 净利润(万元),45612,19021,90847,73852,50466,22071,83793,62659,41023,15230,64460,47809,34849,14474,54655,42992,31556,12005,47453,37204,28126,11815,40261,31282,22856,10722,35742,39778,25076,30403,22020,19426, 净利润(扣除非经常性损益后)(万元),43905,18508,86054,71918,49175,21863,78207,59222,38274,13487,54295,39463,28749,12362,45723,37372,27095,10890,40929,32003,24021,10682,37316,29484,22071,10516,34129,38015,24741,29609,20355,18464, 经营活动产生的现金流量净额(万元),44344,22505,1588,14598,15981,42618,91351,109376,84151,-1494,91489,82833,46237,22488,43173,39315,28388,13939,51862,54964,40383,11780,37971,28023,26451,22471,60614,51792,27285,36634,18655,14623, 现金及现金等价物净增加额(万元),55536,77414,22493,84483,99257,144673,144199,148766,104250,35063,-5195,79656,13010,7029,-7321,-18751,9976,3800,-72780,-70943,-73721,-85071,96611,-35588,5258,-2895,-26048,17149,7304,15946,-904,16442, 总资产(万元),1091025,1150510,1039725,1065493,1027565,1016991,810668,806740,736631,711161,627938,621604,642152,639991,562564,581000,558073,592792,515650,506155,481868,500162,458043,--,326278,--,314292,306096,315426,302254,265844,235886, 流动资产(万元),712546,768422,668645,699546,671426,676960,480643,494098,435053,419930,336312,433423,453879,453189,389120,420259,408289,448959,398843,400426,380296,401006,361454,--,234361,--,224422,218893,227557,214190,183779,162630, 总负债(万元),474532,531020,436952,475790,462743,443582,276346,296973,249579,231998,159518,171242,206504,207281,142464,175139,165284,202797,135363,137581,123408,140590,109403,--,100891,--,95556,112600,138072,135747,123404,115479, 流动负债(万元),361933,418894,326474,368407,355332,338731,269714,289729,243606,225645,152973,166657,202648,202823,139525,170260,161219,197865,133175,135843,121670,138663,107475,--,98920,--,93699,110476,135769,128318,109875,106701, 股东权益不含少数股东权益(万元),571128,579239,559982,548527,525789,534007,492229,470209,450085,444126,431108,414944,401961,399579,385153,373501,362052,361196,349252,338934,329936,332185,320017,--,199342,--,192630,171191,156421,145249,121806,99870, 净资产收益率加权(%),7.9,3.34,17.22,14,9.67,4.39,18.21,13.84,9.08,3.49,15.85,11.92,8.65,3.69,14.95,11.8,8.65,3.38,14.25,11.26,8.49,3.62,19.95,15.7,11.51,5.42,19.9,25.33,16.13,23.07,19.88,22.13,