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\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":[["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","2019-03-31
2019\u5e74\u4e00\u5b63\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5"],["0.04","0.04","0.04","0.04","0.16","0.12","0.06","0.00",""],["0.04","0.04","0.04","0.04","0.16","0.12","0.06","0.00",""],["0.14","0.14","0.14","0.14","0.14","0.14","0.14","0.0012",""],["-0.02","-0.02","-0.0091","-0.0027","-0.0083","-0.0098","-0.0052","-0.0003",""],["0.05","0.02","","","0.02","0.05","0.09","0.0034",""],["0.0001","0.00","0.00","0.00","","","","",""],["0.16","0.19","0.27","0.37","256739.89","255722.42","254533.60","490.76",""],["0.0001","0.00","0.00","0.00","22315.52","22315.52","22315.50","-61.59",""],["0.51","1.30","26.33","7.57","17.31","20.93","11.12","0.34","0.27"],["2.18","1.99","1.85","1.88","1.86","1.85","1.87","77.86","4.13"],["0.46","0.50","0.54","0.53","0.54","0.54","0.53","0.01","0.24"]]}

{"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"],["\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"],["\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","2019-03-31
2019\u5e74\u4e00\u5b63\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5"],["2392686.00","1321473.00","263181.00","167129.00","327399.00","245980.00","134230.00","13739.00","2694.00"],["2392686.00","1321473.00","263181.00","167129.00","327399.00","245980.00","134230.00","13739.00","2694.00"],["-2392686.00","-1321473.00","-263181.00","-167129.00","-327399.00","-245980.00","-134230.00","-13739.00","-2694.00"],["1261249.00","1201382.00","1114579.00","1128747.00","4554158.00","3322448.00","1760594.00","",""],["-1131437.00","-120091.00","851398.00","961618.00","4226759.00","3076468.00","1626364.00","-13739.00","-2694.00"],["-1131437.00","-120091.00","851398.00","961618.00","4226759.00","3076468.00","1626364.00","-13739.00","-2694.00"],["-1131437.00","-120091.00","851398.00","961618.00","4226759.00","3076468.00","1626364.00","-13739.00","-2694.00"],["-1131437.00","-120091.00","851398.00","961618.00","4226759.00","3076468.00","1626364.00","-13739.00","-2694.00"],["0.04","0.04","0.04","0.04","0.16","0.12","0.06","0.00",""],["0.04","0.04","0.04","0.04","0.16","0.12","0.06","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"],["\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"],["\u5e94\u4ed8\u8d26\u6b3e","\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)","2019-06-30
2019\u5e74\u4e2d\u62a5","2019-03-31
2019\u5e74\u4e00\u5b63\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5"],["849909.00","974317.00","1261642.00","1492046.00","1589795.00","1618729.00","1784487.00","103332.00","25000.00"],["10833.00","47084.00","83333.00","109585.00","62738.00","101988.00","138629.00","120233.00",""],["849909.00","294229857.00","","","293643953.00","","","","25000.00"],["849909.00","974317.00","","","1589795.00","","","","25000.00"],["860742.00","1021401.00","1344975.00","1601631.00","1652533.00","1720717.00","1923116.00","223565.00","25000.00"],["293315407.00","293255540.00","293168737.00","293182905.00","292054158.00","290822448.00","289260594.00","451998.00","89354.00"],["293315407.00","293255540.00","293168737.00","293182905.00","292054158.00","290822448.00","289260594.00","451998.00","89354.00"],["294176149.00","294276941.00","294513712.00","294784536.00","293706691.00","292543165.00","291183710.00","675563.00","114354.00"],["916939.00","371225.00","26078.00","161682.00","86595.00","82220.00","2600.00","219708.00","18000.00"],["779411.00","414571.00","25000.00","50000.00","8860.00","","170269.00","196300.00","74048.00"],["1696350.00","785796.00","51078.00","211682.00","95455.00","82220.00","172869.00","666996.00","92048.00"],["9187500.00","9187500.00","9187500.00","9187500.00","9187500.00","9187500.00","","",""],["9187500.00","9187500.00","9187500.00","9187500.00","9187500.00","9187500.00","9187500.00","",""],["10883850.00","9973296.00","9238578.00","9399182.00","9282955.00","9269720.00","9360369.00","666996.00","92048.00"],["811.00","801.00","791.00","790.00","800.00","811.00","826.00","719.00","719.00"],["1906570.00","895230.00","","","775141.00","1925420.00","3375505.00","24281.00","24281.00"],["5000009.00","5000005.00","5000004.00","5000004.00","5000006.00","5000005.00","5000001.00","8567.00","22306.00"],["278292290.00","279303640.00","280275130.00","280385350.00","279423730.00","278273440.00","276823340.00","",""],["283292299.00","284303645.00","285275134.00","285385354.00","284423736.00","283273445.00","281823341.00","8567.00","22306.00"]]}

{"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","2019-03-31
2019\u5e74\u4e00\u5b63\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5"],["-739886.00","-615478.00","-328153.00","-97749.00","-299976.00","-353836.00","-188078.00","-1936.00",""],["","","","","-287500000.00","-287500000.00","-287500000.00","",""],["","","","","289364771.00","289447565.00","289447565.00","80268.00","25000.00"],["849909.00","974317.00","1261642.00","1492046.00","1589795.00","1618729.00","1784487.00","103332.00","25000.00"],["1589795.00","1589795.00","1589795.00","1589795.00","25000.00","25000.00","25000.00","25000.00",""],["-739886.00","-615478.00","-328153.00","-97749.00","1564795.00","1593729.00","1759487.00","78332.00","25000.00"]]}