财务指标

注:公司进行财务结算的执行年度,由连续12个历月构成,许多公司的财务年度与实际的日历年度不一致。
显示全部数据 单位:
2024年年结日:12-31
导出数据
科目\年度
--
--

{"title":["\u65f6\u95f4\\\u79d1\u76ee",["\u57fa\u672c\u6bcf\u80a1\u6536\u76ca ","\u7f8e\u5143",""],["\u7a00\u91ca\u6bcf\u80a1\u6536\u76ca","\u7f8e\u5143",""],["\u6bcf\u80a1\u51c0\u8d44\u4ea7","\u7f8e\u5143",""],["\u6bcf\u80a1\u73b0\u91d1\u6d41","\u7f8e\u5143",""],["\u6bcf\u80a1\u8d44\u672c\u516c\u79ef","\u7f8e\u5143",""],["\u76f8\u5bf9\u5e74\u521d\u6bcf\u80a1\u51c0\u8d44\u4ea7\u589e\u957f\u7387","%",""],["\u76f8\u5bf9\u5e74\u521d\u8d44\u4ea7\u603b\u8ba1\u589e\u957f\u7387","%",""],["\u76f8\u5bf9\u5e74\u521d\u5f52\u5c5e\u6bcd\u516c\u53f8\u7684\u80a1\u4e1c\u6743\u76ca\u589e\u957f\u7387","%",""],["\u6d41\u52a8\u6bd4\u7387","",""],["\u4ea7\u6743\u6bd4\u7387","%",""],["\u5f52\u5c5e\u6bcd\u516c\u53f8\u80a1\u4e1c\u7684\u6743\u76ca\/\u8d1f\u503a\u5408\u8ba1","%",""]],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2025-03-31
2025\u5e74\u4e00\u5b63\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-09-30
2024\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2024-06-30
2024\u5e74\u4e2d\u62a5","2024-03-31
2024\u5e74\u4e00\u5b63\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-09-30
2023\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2023-06-30
2023\u5e74\u4e2d\u62a5","2023-03-31
2023\u5e74\u4e00\u5b63\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-09-30
2022\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2022-06-30
2022\u5e74\u4e2d\u62a5","2022-03-31
2022\u5e74\u4e00\u5b63\u62a5"],["-0.25","-0.10","-0.51","-0.38","-0.22","-0.11","-0.61","-0.52","-0.63","-0.40","-1.42","-1.09","-0.66","-0.47"],["-0.25","-0.10","-0.51","-0.38","-0.22","-0.11","-0.61","-0.52","-0.63","-0.40","-1.42","-1.09","-0.66","-0.47"],["0.24","0.33","0.41","0.51","0.22","0.32","0.43","0.41","0.42","","","","",""],["-0.13","-0.07","-0.40","-0.32","-0.20","-0.12","-0.43","-0.36","-0.30","","","","",""],["2.37","2.35","2.34","2.36","2.07","2.06","2.07","2.04","2.02","","","","",""],["-42.11","-19.82","-3.55","18.70","-47.98","-24.37","","","","","","","",""],["-15.60","-13.58","7.18","21.98","-40.79","-24.35","21.10","33.20","51.29","-22.65","","","",""],["-40.58","-19.40","8.26","30.00","-47.43","-23.65","222.89","186.14","194.00","-80.58","","","",""],["2.16","7.00","10.57","7.31","3.28","5.40","5.19","2.71","2.29","0.89","","","",""],["0.74","0.31","0.23","0.16","0.39","0.23","0.24","0.54","0.70","12.14","","","",""],["1.35","3.19","4.44","6.20","2.54","4.42","4.21","1.87","1.43","0.08","","","",""]]}

{"title":["\u65f6\u95f4\\\u79d1\u76ee",["\u62a5\u8868\u6838\u5fc3\u6307\u6807","","TN"],["*\u51c0\u5229\u6da6","\u7f8e\u5143",""],["*\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u7684\u51c0\u5229\u6da6","\u7f8e\u5143",""],["\u62a5\u8868\u5168\u90e8\u6307\u6807","","TN"],["\u5e02\u573a\u3001\u9500\u552e\u548c\u7ba1\u7406\u8d39\u7528","\u7f8e\u5143",""],["\u7814\u53d1\u8d39\u7528","\u7f8e\u5143",""],["\u8425\u4e1a\u8d39\u7528\u5408\u8ba1","\u7f8e\u5143",""],["\u8425\u4e1a\u5229\u6da6","\u7f8e\u5143",""],["\u51c0\u5229\u606f\u8d39\u7528","\u7f8e\u5143",""],["\u5176\u4e2d\uff1a\u5229\u606f\u6536\u5165","\u7f8e\u5143",""],["\u6301\u7eed\u7ecf\u8425\u4e1a\u52a1\u7279\u6b8a\u9879\u76ee","\u7f8e\u5143",""],["\u7a0e\u524d\u5229\u6da6","\u7f8e\u5143",""],["\u7a0e\u540e\u5229\u6da6","\u7f8e\u5143",""],["\u51c0\u5229\u6da6","\u7f8e\u5143",""],["\u5176\u4e2d\uff1a\u4f18\u5148\u80a1\u80a1\u5229","\u7f8e\u5143",""],["\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u7684\u51c0\u5229\u6da6","\u7f8e\u5143",""],["\u57fa\u672c\u6bcf\u80a1\u6536\u76ca","\u7f8e\u5143",""],["\u7a00\u91ca\u6bcf\u80a1\u6536\u76ca","\u7f8e\u5143",""]],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2025-03-31
2025\u5e74\u4e00\u5b63\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-09-30
2024\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2024-06-30
2024\u5e74\u4e2d\u62a5","2024-03-31
2024\u5e74\u4e00\u5b63\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-09-30
2023\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2023-06-30
2023\u5e74\u4e2d\u62a5","2023-03-31
2023\u5e74\u4e00\u5b63\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-09-30
2022\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2022-06-30
2022\u5e74\u4e2d\u62a5","2022-03-31
2022\u5e74\u4e00\u5b63\u62a5"],["","","","","","","","","","","","","",""],["-8631000.00","-3188000.00","-16328000.00","-12078661.00","-7044000.00","-3507000.00","-13745000.00","-10090923.00","-9095263.00","-3857722.00","-13690947.00","-10580410.00","-6364096.00","-4504659.00"],["-9021000.00","-3389000.00","-16479000.00","-12078661.00","-7044000.00","-3507000.00","-13745000.00","-10090923.00","-9095263.00","-3857722.00","-13690947.00","-10580410.00","-6364096.00","-4504659.00"],["","","","","","","","","","","","","",""],["1889000.00","1076000.00","6520000.00","5343691.00","2411000.00","1204000.00","7047000.00","5813392.00","4720931.00","1955514.00","5228437.00","4098115.00","3333836.00","2805644.00"],["4517000.00","2258000.00","8790000.00","7047112.00","4833000.00","2406000.00","10586000.00","7577907.00","4913366.00","1939551.00","5384710.00","3315858.00","2266833.00","965308.00"],["6131000.00","3334000.00","14784000.00","12390803.00","7044000.00","3610000.00","17155000.00","13391299.00","9634297.00","3895065.00","10613147.00","7413973.00","5600669.00","3770952.00"],["-6131000.00","-3334000.00","-14784000.00","-12390803.00","-7044000.00","-3610000.00","-16790000.00","-13391299.00","-9634297.00","-3895065.00","-10613147.00","-7413973.00","-5600669.00","-3770952.00"],["-275000.00","","-526000.00","","-200000.00","","-478000.00","","","","","","",""],["275000.00","","526000.00","","200000.00","","478000.00","","","","","","",""],["-2500000.00","146000.00","-1544000.00","312142.00","","103000.00","3045000.00","3300376.00","539004.00","37343.00","-3077800.00","-3166437.00","-763427.00","-733707.00"],["-8631000.00","-3188000.00","-16328000.00","-12078661.00","-7044000.00","-3507000.00","-13745000.00","-10090923.00","-9095293.00","-3857722.00","-13690947.00","-10580410.00","-6364096.00","-4504659.00"],["-8631000.00","-3188000.00","-16328000.00","-12078661.00","-7044000.00","-3507000.00","-13745000.00","-10090923.00","-9095293.00","-3857722.00","-13690947.00","-10580410.00","-6364096.00","-4504659.00"],["-8631000.00","-3188000.00","-16328000.00","-12078661.00","-7044000.00","-3507000.00","-13745000.00","-10090923.00","-9095263.00","-3857722.00","-13690947.00","-10580410.00","-6364096.00","-4504659.00"],["390000.00","201000.00","151000.00","","","","","","","","","","",""],["-9021000.00","-3389000.00","-16479000.00","-12078661.00","-7044000.00","-3507000.00","-13745000.00","-10090923.00","-9095263.00","-3857722.00","-13690947.00","-10580410.00","-6364096.00","-4504659.00"],["-0.25","-0.10","-0.51","-0.38","-0.22","-0.11","-0.61","-0.52","-0.63","-0.40","-1.42","-1.09","-0.66","-0.47"],["-0.25","-0.10","-0.51","-0.38","-0.22","-0.11","-0.61","-0.52","-0.63","-0.40","-1.42","-1.09","-0.66","-0.47"]]}

{"title":["\u65f6\u95f4\\\u79d1\u76ee",["\u62a5\u8868\u6838\u5fc3\u6307\u6807","","TN"],["*\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1","\u7f8e\u5143",""],["*\u8d44\u4ea7\u5408\u8ba1","\u7f8e\u5143",""],["*\u8d1f\u503a\u5408\u8ba1","\u7f8e\u5143",""],["*\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1","\u7f8e\u5143",""],["\u62a5\u8868\u5168\u90e8\u6307\u6807","","TN"],["\u5176\u4e2d\uff1a\u73b0\u91d1\u4e0e\u73b0\u91d1\u7b49\u4ef7\u7269","\u7f8e\u5143",""],["\u9884\u4ed8\u6b3e\u9879","\u7f8e\u5143",""],["\u603b\u73b0\u91d1","\u7f8e\u5143",""],["\u8d27\u5e01\u8d44\u91d1","\u7f8e\u5143",""],["\u6d41\u52a8\u8d44\u4ea7\u5408\u8ba1","\u7f8e\u5143",""],["\u56fa\u5b9a\u8d44\u4ea7\u51c0\u989d","\u7f8e\u5143",""],["\u51c0\u65e0\u5f62\u8d44\u4ea7","\u7f8e\u5143",""],["\u975e\u6d41\u52a8\u8d44\u4ea7\u7279\u6b8a\u9879\u76ee","\u7f8e\u5143",""],["\u975e\u6d41\u52a8\u8d44\u4ea7\u5408\u8ba1","\u7f8e\u5143",""],["\u8d44\u4ea7\u5408\u8ba1","\u7f8e\u5143",""],["\u5e94\u4ed8\u8d26\u6b3e","\u7f8e\u5143",""],["\u5e94\u4ed8\u8d1f\u503a","\u7f8e\u5143",""],["\u6d41\u52a8\u8d1f\u503a\u7279\u6b8a\u9879\u76ee","\u7f8e\u5143",""],["\u6d41\u52a8\u8d1f\u503a\u5408\u8ba1","\u7f8e\u5143",""],["\u975e\u6d41\u52a8\u8d1f\u503a\u7279\u6b8a\u9879\u76ee","\u7f8e\u5143",""],["\u975e\u6d41\u52a8\u8d1f\u503a\u5408\u8ba1","\u7f8e\u5143",""],["\u8d1f\u503a\u5408\u8ba1","\u7f8e\u5143",""],["\u4f18\u5148\u80a1","\u7f8e\u5143",""],["\u666e\u901a\u80a1","\u7f8e\u5143",""],["\u8d44\u672c\u516c\u79ef","\u7f8e\u5143",""],["\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1","\u7f8e\u5143",""],["\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1","\u7f8e\u5143",""]],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2025-03-31
2025\u5e74\u4e00\u5b63\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-09-30
2024\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2024-06-30
2024\u5e74\u4e2d\u62a5","2024-03-31
2024\u5e74\u4e00\u5b63\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-09-30
2023\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2023-06-30
2023\u5e74\u4e2d\u62a5","2023-03-31
2023\u5e74\u4e00\u5b63\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5"],["","","","","","","","","","",""],["8617000.00","11689000.00","14503000.00","17414145.00","7041782.00","10227507.00","13396000.00","11872408.00","12198410.00","805636.00","4149176.00"],["14998000.00","15357000.00","17770000.00","20222266.00","9816550.00","12541701.00","16579000.00","18234981.00","20711168.00","10588692.00","13690063.00"],["6381000.00","3668000.00","3267000.00","2808121.00","2774768.00","2314194.00","3183000.00","6362573.00","8512758.00","9783056.00","9540886.00"],["8617000.00","11689000.00","14503000.00","17414145.00","7041782.00","10227507.00","13396000.00","11872408.00","12198410.00","805636.00","4149176.00"],["","","","","","","","","","",""],["12834000.00","13270000.00","15658000.00","16565142.00","7306069.00","10077573.00","13589000.00","14875476.00","17097676.00","7718518.00","10468645.00"],["624000.00","584000.00","625000.00","2065863.00","814999.00","629751.00","664000.00","1286266.00","1409084.00","555486.00","788004.00"],["12834000.00","13270000.00","15658000.00","16565142.00","7306069.00","10077573.00","13589000.00","14875476.00","17097676.00","7718518.00","10468645.00"],["12834000.00","13270000.00","15658000.00","16565142.00","7306069.00","10077573.00","13589000.00","14875476.00","17097676.00","7718518.00","10468645.00"],["13458000.00","13854000.00","16283000.00","18631005.00","8121068.00","10707324.00","14618000.00","16161742.00","18506760.00","8274004.00","11256650.00"],["1033000.00","911000.00","810000.00","829216.00","848664.00","903011.00","945000.00","973414.00","1020664.00","1047231.00","1082442.00"],["234000.00","286000.00","339000.00","391250.00","443750.00","496250.00","549000.00","601250.00","653750.00","706250.00","758750.00"],["273000.00","306000.00","338000.00","370795.00","403068.00","435116.00","467000.00","498575.00","529994.00","561207.00","592221.00"],["1540000.00","1503000.00","1487000.00","1591261.00","1695482.00","1834377.00","1961000.00","2073239.00","2204408.00","2314688.00","2433413.00"],["14998000.00","15357000.00","17770000.00","20222266.00","9816550.00","12541701.00","16579000.00","18234981.00","20711168.00","10588692.00","13690063.00"],["1317000.00","1187000.00","1174000.00","1536663.00","1668043.00","1321313.00","2463000.00","1784992.00","1455232.00","1179932.00","663170.00"],["4768000.00","650000.00","229000.00","874797.00","677356.00","531239.00","228000.00","551217.00","354828.00","504959.00","748460.00"],["143000.00","141000.00","138000.00","135757.00","133406.00","131081.00","128000.00","3629704.00","6273329.00","7636524.00","7637267.00"],["6228000.00","1978000.00","1541000.00","2547217.00","2478805.00","1983633.00","2819000.00","5965913.00","8083389.00","9321415.00","9048897.00"],["153000.00","1690000.00","1726000.00","260904.00","295963.00","330561.00","364000.00","396660.00","429369.00","461641.00","491989.00"],["153000.00","1690000.00","1726000.00","260904.00","295963.00","330561.00","364000.00","396660.00","429369.00","461641.00","491989.00"],["6381000.00","3668000.00","3267000.00","2808121.00","2774768.00","2314194.00","3183000.00","6362573.00","8512758.00","9783056.00","9540886.00"],["4000.00","4000.00","4000.00","4614.00","","","","","","8553.00","8532.00"],["36000.00","35000.00","35000.00","34312.00","31669.00","31634.00","31000.00","29303.00","29253.00","9674.00","9674.00"],["85586000.00","83027000.00","82452000.00","81083405.00","65562938.00","65211241.00","64874000.00","59697475.00","59027867.00","42409578.00","41894417.00"],["8617000.00","11689000.00","14503000.00","17414145.00","7041782.00","10227507.00","13396000.00","11872408.00","12198410.00","805636.00","4149176.00"],["8617000.00","11689000.00","14503000.00","17414145.00","7041782.00","10227507.00","13396000.00","11872408.00","12198410.00","805636.00","4149176.00"]]}

{"title":["\u65f6\u95f4\\\u79d1\u76ee",["\u7ecf\u8425\u6d3b\u52a8\u4ea7\u751f\u7684\u73b0\u91d1\u6d41\u91cf\u51c0\u989d","\u7f8e\u5143",""],["\u6295\u8d44\u6d3b\u52a8\u4ea7\u751f\u7684\u73b0\u91d1\u6d41\u91cf\u51c0\u989d","\u7f8e\u5143",""],["\u5176\u4e2d\uff1a\u8d44\u672c\u6027\u652f\u51fa","\u7f8e\u5143",""],["\u7b79\u8d44\u6d3b\u52a8\u4ea7\u751f\u7684\u73b0\u91d1\u6d41\u91cf\u51c0\u989d","\u7f8e\u5143",""],["\u671f\u672b\u73b0\u91d1\u53ca\u73b0\u91d1\u7b49\u4ef7\u7269\u4f59\u989d","\u7f8e\u5143",""],["\u5176\u4e2d\uff1a\u671f\u521d\u73b0\u91d1\u53ca\u73b0\u91d1\u7b49\u4ef7\u7269\u4f59\u989d","\u7f8e\u5143",""],["\u73b0\u91d1\u53ca\u73b0\u91d1\u7b49\u4ef7\u7269\u51c0\u589e\u52a0\u989d","\u7f8e\u5143",""]],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2025-03-31
2025\u5e74\u4e00\u5b63\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-09-30
2024\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2024-06-30
2024\u5e74\u4e2d\u62a5","2024-03-31
2024\u5e74\u4e00\u5b63\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-09-30
2023\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2023-06-30
2023\u5e74\u4e2d\u62a5","2023-03-31
2023\u5e74\u4e00\u5b63\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-09-30
2022\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2022-06-30
2022\u5e74\u4e2d\u62a5","2022-03-31
2022\u5e74\u4e00\u5b63\u62a5"],["-4611000.00","-2314000.00","-13968000.00","-10967238.00","-6478000.00","-3651000.00","-13543000.00","-10430384.00","-8768464.00","-2882377.00","-8419553.00","-6783214.00","-5066508.00","-3680609.00"],["-374000.00","-156000.00","-84000.00","-47809.00","-11000.00","-11000.00","-65000.00","-40765.00","-37409.00","-14792.00","-241203.00","-206553.00","-22682.00",""],["-374000.00","-156000.00","-84000.00","-47809.00","-11000.00","-11000.00","-65000.00","-40765.00","-37409.00","-14792.00","-241203.00","-206553.00","-22682.00",""],["2161000.00","82000.00","16121000.00","13991161.00","206000.00","151000.00","16728000.00","14877980.00","15434902.00","147042.00","13593691.00","10543339.00","9846077.00","9012178.00"],["12834000.00","13270000.00","15658000.00","16565142.00","7306000.00","10078000.00","13589000.00","14875476.00","17097675.00","7718518.00","10468645.00","9089282.00","10292599.00","10867279.00"],["15658000.00","15658000.00","13589000.00","13589028.00","13589000.00","13589000.00","10469000.00","10468645.00","10468645.00","10468645.00","5535710.00","5535710.00","5535710.00","5535710.00"],["-2824000.00","-2388000.00","2069000.00","2976114.00","-6283000.00","-3511000.00","3120000.00","4406831.00","6629030.00","-2750127.00","4932935.00","3553572.00","4756887.00","5331569.00"]]}