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:
2020年年结日:12-31
导出数据
科目\年度
--
--

{"title":["\u93c3\u5815\u68ff\\\u7ec9\u6220\u6d30",["\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\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":[["2020-12-31
2020\u5e74\u5e74\u62a5","2020-09-30
2020\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2020-06-30
2020\u5e74\u4e2d\u62a5","2020-03-31
2020\u5e74\u4e00\u5b63\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-09-30
2019\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2019-06-30
2019\u5e74\u4e2d\u62a5","2019-05-31
2019\u5e74\u5176\u4ed6"],["-0.63","-0.52","-0.50","-0.01","0.00","0.00","0.00","0.00"],["-0.63","-0.52","-0.50","-0.01","0.00","0.00","0.00","0.00"],["2.13","0.67","0.67","0.67","","","",""],["0.0094","-0.03","-0.03","-0.01","","","",""],["2.58","0.78","0.77","0.67","","","",""],["17506.83","17567.38","17559.12","17518.42","","","",""],["24383.41","24383.41","24383.43","24383.44","","","",""],["1.30","6.97","30.79","14.89","1.07","0.38","",""],["0.31","0.30","0.29","0.29","15.14","14.75","",""],["3.22","3.36","3.45","3.40","0.07","0.07","",""]]}

{"title":["\u93c3\u5815\u68ff\\\u7ec9\u6220\u6d30",["\u5e02\u573a\u3001\u9500\u552e\u548c\u7ba1\u7406\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"],["\u7a0e\u524d\u5229\u6da6","\u7f8e\u5143"],["\u7a0e\u540e\u5229\u6da6","\u7f8e\u5143"],["\u51c0\u5229\u6da6","\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":[["2020-12-31
2020\u5e74\u5e74\u62a5","2020-09-30
2020\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2020-06-30
2020\u5e74\u4e2d\u62a5","2020-03-31
2020\u5e74\u4e00\u5b63\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-09-30
2019\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2019-06-30
2019\u5e74\u4e2d\u62a5","2019-05-31
2019\u5e74\u5176\u4ed6"],["1441262.00","1177099.00","1080065.00","50636.00","4578.00","4403.00","4218.00","4110.00"],["1045493.00","782789.00","773289.00","-43036.00","4578.00","4403.00","4218.00","4110.00"],["-1045493.00","-782789.00","-773289.00","43036.00","-4578.00","-4403.00","-4218.00","-4110.00"],["-395769.00","-394310.00","-306776.00","-93672.00","","","",""],["395769.00","394310.00","306776.00","93672.00","","","",""],["-1045493.00","-782789.00","-773289.00","43036.00","-4578.00","-4403.00","-4218.00","-4110.00"],["-1045493.00","-782789.00","-773289.00","43036.00","-4578.00","-4403.00","-4218.00","-4110.00"],["-1045493.00","-782789.00","-773289.00","43036.00","-4578.00","-4403.00","-4218.00","-4110.00"],["-1397492.00","-1135286.00","-1047999.00","-21770.00","-4578.00","-4403.00","-4218.00","-4110.00"],["-0.63","-0.52","-0.50","-0.01","0.00","0.00","0.00","0.00"],["-0.63","-0.52","-0.50","-0.01","0.00","0.00","0.00","0.00"]]}

{"title":["\u93c3\u5815\u68ff\\\u7ec9\u6220\u6d30",["\u5176\u4e2d\uff1a\u73b0\u91d1\u4e0e\u73b0\u91d1\u7b49\u4ef7\u7269","\u7f8e\u5143"],["\u9884\u4ed8\u6b3e\u9879","\u7f8e\u5143"],["\u6d41\u52a8\u8d44\u4ea7\u7279\u6b8a\u9879\u76ee","\u7f8e\u5143"],["\u603b\u73b0\u91d1","\u7f8e\u5143"],["\u8d27\u5e01\u8d44\u91d1","\u7f8e\u5143"],["\u6d41\u52a8\u8d44\u4ea7\u5408\u8ba1","\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"],["\u77ed\u671f\u8d1f\u503a","\u7f8e\u5143"],["\u5e94\u4ed8\u8d1f\u503a","\u7f8e\u5143"],["\u6d41\u52a8\u8d1f\u503a\u5408\u8ba1","\u7f8e\u5143"],["\u975e\u6d41\u52a8\u8d1f\u503a\u9012\u5ef6\u6536\u5165","\u7f8e\u5143"],["\u975e\u6d41\u52a8\u8d1f\u503a\u5408\u8ba1","\u7f8e\u5143"],["\u8d1f\u503a\u5408\u8ba1","\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"],["\u6743\u76ca\u7279\u6b8a\u9879\u76ee","\u7f8e\u5143"],["\u80a1\u4e1c\u6743\u76ca\u5408\u8ba1","\u7f8e\u5143"]],"report":[["2020-12-31
2020\u5e74\u5e74\u62a5","2020-09-30
2020\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2020-06-30
2020\u5e74\u4e2d\u62a5","2020-03-31
2020\u5e74\u4e00\u5b63\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-09-30
2019\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2019-05-31
2019\u5e74\u5176\u4ed6"],["135809.00","301714.00","326849.00","412970.00","108667.00","113991.00","239620.00"],["11614.00","46789.00","81964.00","74764.00","","",""],["","","","","220996.00","",""],["135809.00","58196024.00","","","108667.00","",""],["135809.00","301714.00","","","108667.00","",""],["147423.00","348503.00","408813.00","487734.00","329663.00","113991.00","239620.00"],["57895769.00","57894310.00","57806776.00","57593672.00","","210483.00","74572.00"],["57895769.00","57894310.00","57806776.00","57593672.00","","210483.00","74572.00"],["58043192.00","58242813.00","58215589.00","58081406.00","329663.00","324474.00","314192.00"],["","","","","280000.00","280000.00","280000.00"],["113083.00","50000.00","13276.00","32758.00","29241.00","23877.00","13302.00"],["113083.00","50000.00","13276.00","32758.00","309241.00","303877.00","293302.00"],["1437500.00","1437500.00","1437500.00","1437500.00","","",""],["1437500.00","1437500.00","1437500.00","1437500.00","","",""],["1550583.00","1487500.00","1450776.00","1470258.00","309241.00","303877.00","293302.00"],["235.00","232.00","231.00","230.00","144.00","144.00","144.00"],["6049837.00","5787136.00","5777643.00","4961320.00","24856.00","24856.00","24856.00"],["5000001.00","5000001.00","5000007.00","5000008.00","20422.00","20597.00","20890.00"],["51492608.00","51755312.00","51764806.00","51611140.00","","",""],["56492609.00","56755313.00","56764813.00","56611148.00","20422.00","20597.00","20890.00"]]}

{"title":["\u93c3\u5815\u68ff\\\u7ec9\u6220\u6d30",["\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"],["\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":[["2020-12-31
2020\u5e74\u5e74\u62a5","2020-09-30
2020\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2020-06-30
2020\u5e74\u4e2d\u62a5","2020-03-31
2020\u5e74\u4e00\u5b63\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-09-30
2019\u5e74\u4e09\u5b63\u62a5(\u7d2f\u8ba1)","2019-06-30
2019\u5e74\u4e2d\u62a5","2019-05-31
2019\u5e74\u5176\u4ed6"],["21936.00","-207928.00","-186983.00","-100862.00","-548.00","-373.00","-188.00","-80.00"],["-57895769.00","-57500000.00","-57500000.00","-57500000.00","","","",""],["57900975.00","57900975.00","57905165.00","57905165.00","109215.00","114364.00","169365.00","239700.00"],["135809.00","301714.00","326849.00","412970.00","108667.00","113991.00","169177.00","239620.00"],["108667.00","108667.00","108667.00","108667.00","","","",""],["27142.00","193047.00","218182.00","304303.00","108667.00","113991.00","169177.00","239620.00"]]}