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",""],["\u6bcf\u80a1\u51c0\u8d44\u4ea7","\u7f8e\u5143",""],["\u6bcf\u80a1\u8d44\u672c\u516c\u79ef","\u7f8e\u5143",""],["\u6bcf\u80a1\u51c0\u8d44\u4ea7","%",""],["\u8d44\u4ea7\u603b\u8ba1","%",""],["\u5f52\u5c5e\u6bcd\u516c\u53f8\u7684\u80a1\u4e1c\u6743\u76ca","%",""],["\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","2024-12-31
2024\u5e74\u5e74\u62a5","2024-06-30
2024\u5e74\u4e2d\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-06-30
2023\u5e74\u4e2d\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-06-30
2022\u5e74\u4e2d\u62a5","2021-12-31
2021\u5e74\u5e74\u62a5","2021-06-30
2021\u5e74\u4e2d\u62a5","2020-12-31
2020\u5e74\u5e74\u62a5","2020-06-30
2020\u5e74\u4e2d\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-06-30
2019\u5e74\u4e2d\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5","2018-06-30
2018\u5e74\u4e2d\u62a5","2017-12-31
2017\u5e74\u5e74\u62a5"],["1.20","5.40","3.78","5.44","3.61","-6.37","-6.33","3.89","2.64","4.75","0.51","4.03","2.44","0.09","",""],["23.66","23.30","23.02","20.06","18.93","15.95","16.55","24.28","23.26","21.20","17.55","17.98","16.79","14.82","",""],["8.61","8.38","9.11","9.11","9.27","9.20","9.51","9.67","9.28","9.24","10.33","10.50","10.21","10.09","",""],["1.52","16.18","14.78","25.74","18.68","-34.29","-31.84","14.50","9.68","17.92","-2.40","21.37","13.31","","",""],["3.40","17.99","14.85","25.74","18.89","-32.27","-29.70","14.30","11.46","22.43","1.92","22.04","13.25","-5.43","6.33",""],["2.65","18.36","14.78","25.74","18.68","-32.33","-29.81","14.82","9.99","22.84","1.46","21.44","13.39","-5.85","5.66",""],["0.01","0.0037","0.0076","0.0069","0.0087","0.0069","0.0075","0.0060","0.02","0.01","0.02","0.01","0.0078","0.0090","0.01","0.0045"],["90.42","268.70","132.28","144.54","115.58","144.86","132.75","167.30","41.44","94.42","53.54","71.47","128.02","110.99","91.43","222.08"]]}

{"title":["\u65f6\u95f4\\\u79d1\u76ee",["\u62a5\u8868\u6838\u5fc3\u6307\u6807","","TN"],["*\u51c0\u5229\u6da6","\u7f8e\u5143",""],["*\u603b\u6536\u5165","\u7f8e\u5143",""],["*\u5f52\u5c5e\u4e8e\u6bcd\u516c\u53f8\u80a1\u4e1c\u7684\u51c0\u5229\u6da6","\u7f8e\u5143",""],["\u62a5\u8868\u5168\u90e8\u6307\u6807","","TN"],["\u603b\u6536\u5165","\u7f8e\u5143",""],["\u5176\u4ed6\u8d39\u7528","\u7f8e\u5143",""],["\u8d39\u7528\u5408\u8ba1","\u7f8e\u5143",""],["\u8425\u4e1a\u5229\u6da6","\u7f8e\u5143",""],["\u6301\u7eed\u7ecf\u8425\u4e1a\u52a1\u7684\u7a0e\u524d\u5229\u6da6","\u7f8e\u5143",""],["\u6301\u7eed\u7ecf\u8425\u4e1a\u52a1\u5229\u6da6 ","\u7f8e\u5143",""],["\u5176\u4ed6\u5f71\u54cd\u51c0\u5229\u6da6\u7684\u635f\u76ca","\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",""]],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-06-30
2024\u5e74\u4e2d\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-06-30
2023\u5e74\u4e2d\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-06-30
2022\u5e74\u4e2d\u62a5","2021-12-31
2021\u5e74\u5e74\u62a5","2021-06-30
2021\u5e74\u4e2d\u62a5","2020-12-31
2020\u5e74\u5e74\u62a5","2020-06-30
2020\u5e74\u4e2d\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-06-30
2019\u5e74\u4e2d\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5","2018-06-30
2018\u5e74\u4e2d\u62a5","2017-12-31
2017\u5e74\u5e74\u62a5"],["","","","","","","","","","","","","","","",""],["63317452.00","277440667.00","194339335.00","279547901.00","185523359.00","-327636273.00","-325445439.00","194432844.00","131722388.00","236363206.00","25319691.00","192772276.00","116805056.00","4450354.00","67058702.00","150448388.00"],["3229821.00","6621008.00","3383667.00","7596926.00","3980049.00","9201155.00","4597821.00","8241031.00","3814212.00","6596705.00","3431802.00","7480604.00","3607374.00","7321494.00","3433287.00","6776304.00"],["63317452.00","277440667.00","194339335.00","279547901.00","185523359.00","-327636273.00","-325445439.00","194432844.00","131722388.00","236363206.00","25319691.00","192772276.00","116805056.00","4450354.00","67058702.00","150448388.00"],["","","","","","","","","","","","","","","",""],["3229821.00","6621008.00","3383667.00","7596926.00","3980049.00","9201155.00","4597821.00","8241031.00","3814212.00","6596705.00","3431802.00","7480604.00","3607374.00","7321494.00","3433287.00","6776304.00"],["6354068.00","12519056.00","6028723.00","10136220.00","4824669.00","10244338.00","5445976.00","12360203.00","5928203.00","9714416.00","4479902.00","8744684.00","4239230.00","8630598.00","4282853.00","7850041.00"],["6354068.00","12519056.00","6028723.00","10136220.00","4824669.00","10244338.00","5445976.00","12360203.00","5928203.00","9714416.00","4479902.00","8744684.00","4239230.00","8630598.00","4282853.00","7850041.00"],["-3124247.00","-5898048.00","-2645056.00","-2539294.00","-844620.00","-1043183.00","-848155.00","-4119172.00","-2113991.00","-3117711.00","-1048100.00","-1264080.00","-631856.00","-1309104.00","-849566.00","-1073737.00"],["-3124247.00","-5898048.00","-2645056.00","-2539294.00","-844620.00","-1043183.00","-848155.00","-4119172.00","-2113991.00","-3117711.00","-1048100.00","-1264080.00","-631856.00","-1309104.00","-849566.00","-1073737.00"],["-3124247.00","-5898048.00","-2645056.00","-2539294.00","-844620.00","-1043183.00","-848155.00","-4119172.00","-2113991.00","-3117711.00","-1048100.00","-1264080.00","-631856.00","-1309104.00","-849566.00","-1073737.00"],["66441699.00","283338715.00","196984391.00","282087195.00","186367979.00","-326593090.00","-324597284.00","198552016.00","133836379.00","239480917.00","26367791.00","194036356.00","117436912.00","5759458.00","67908268.00","151522125.00"],["63317452.00","277440667.00","194339335.00","279547901.00","185523359.00","-327636273.00","-325445439.00","194432844.00","131722388.00","236363206.00","25319691.00","192772276.00","116805056.00","4450354.00","67058702.00","150448388.00"],["63317452.00","277440667.00","194339335.00","279547901.00","185523359.00","-327636273.00","-325445439.00","194432844.00","131722388.00","236363206.00","25319691.00","192772276.00","116805056.00","4450354.00","67058702.00","150448388.00"],["1.20","5.40","3.78","5.44","3.61","-6.37","-6.33","3.89","2.64","4.75","0.51","4.03","2.44","0.09","",""]]}

{"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"],["\u73b0\u91d1\u548c\u73b0\u91d1\u7b49\u4ef7\u7269","\u7f8e\u5143",""],["\u603b\u6295\u8d44","\u7f8e\u5143",""],["\u5e94\u6536\u6b3e\u9879 ","\u7f8e\u5143",""],["\u5176\u4ed6\u8d44\u4ea7(\u8d44\u4ea7\u7279\u6b8a\u9879\u76ee)","\u7f8e\u5143",""],["\u603b\u73b0\u91d1","\u7f8e\u5143",""],["\u8d27\u5e01\u8d44\u91d1","\u7f8e\u5143",""],["\u8d44\u4ea7\u5408\u8ba1 ","\u7f8e\u5143",""],["\u5e94\u4ed8\u6b3e\u9879 ","\u7f8e\u5143",""],["\u5176\u4ed6\u8d1f\u503a(\u8d1f\u503a\u7279\u6b8a\u9879\u76ee)","\u7f8e\u5143",""],["\u8d1f\u503a\u5408\u8ba1 ","\u7f8e\u5143",""],["\u666e\u901a\u80a1 ","\u7f8e\u5143",""],["\u8d44\u672c\u516c\u79ef","\u7f8e\u5143",""],["\u7559\u5b58\u6536\u76ca ","\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","2024-12-31
2024\u5e74\u5e74\u62a5","2024-06-30
2024\u5e74\u4e2d\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-06-30
2023\u5e74\u4e2d\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-06-30
2022\u5e74\u4e2d\u62a5","2021-12-31
2021\u5e74\u5e74\u62a5","2021-06-30
2021\u5e74\u4e2d\u62a5","2020-12-31
2020\u5e74\u5e74\u62a5","2020-06-30
2020\u5e74\u4e2d\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-06-30
2019\u5e74\u4e2d\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5","2018-06-30
2018\u5e74\u4e2d\u62a5","2017-12-31
2017\u5e74\u5e74\u62a5"],["","","","","","","","","","","","","","","",""],["1252893531.00","1220561103.00","1183568333.00","1031205699.00","973336042.00","820142417.00","850732178.00","1212024360.00","1161005838.00","1055566592.00","871823295.00","859315001.00","802291925.00","707576872.00","794071619.00","751565247.00"],["1266749601.00","1225103632.00","1192515909.00","1038340236.00","981757381.00","825804104.00","857140540.00","1219268888.00","1189021162.00","1066746150.00","888106358.00","871337970.00","808559080.00","713951774.00","802756895.00","754949388.00"],["13856070.00","4542529.00","8947576.00","7134537.00","8421339.00","5661687.00","6408362.00","7244528.00","28015324.00","11179558.00","16283063.00","12022969.00","6267155.00","6374902.00","8685276.00","3384141.00"],["1252893531.00","1220561103.00","1183568333.00","1031205699.00","973336042.00","820142417.00","850732178.00","1212024360.00","1161005838.00","1055566592.00","871823295.00","859315001.00","802291925.00","707576872.00","794071619.00","751565247.00"],["","","","","","","","","","","","","","","",""],["","","","31906.00","31906.00","28502.00","","33413.00","33413.00","","","","","","1142.00",""],["1264274712.00","1223953139.00","1192006862.00","1036197338.00","979955985.00","825009340.00","855738139.00","1218083447.00","1169439492.00","1066103981.00","887705175.00","870117197.00","807803530.00","712289111.00","796901967.00","754391555.00"],["2288357.00","1015743.00","380143.00","1997462.00","1769490.00","766262.00","1402401.00","1152028.00","19548257.00","642169.00","401183.00","1220773.00","755550.00","1662663.00","5853786.00","557833.00"],["186532.00","134750.00","128904.00","113530.00","","","","","","","","","","","",""],["","","","31906.00","31906.00","28502.00","","33413.00","33413.00","","","","","","1142.00",""],["","","","31906.00","31906.00","28502.00","","33413.00","33413.00","","","","","","1142.00",""],["1266749601.00","1225103632.00","1192515909.00","1038340236.00","981757381.00","825804104.00","857140540.00","1219268888.00","1189021162.00","1066746150.00","888106358.00","871337970.00","808559080.00","713951774.00","802756895.00","754949388.00"],["1198401.00","1210356.00","1290822.00","988632.00","980148.00","742594.00","734327.00","1046632.00","19352653.00","890350.00","714328.00","5575270.00","671981.00","625975.00","5138654.00","647316.00"],["12657669.00","3332173.00","7656754.00","6145905.00","7441191.00","4919093.00","5674035.00","6197896.00","8662671.00","10289208.00","15568735.00","6447699.00","5595174.00","5748927.00","3546622.00","2736825.00"],["13856070.00","4542529.00","8947576.00","7134537.00","8421339.00","5661687.00","6408362.00","7244528.00","28015324.00","11179558.00","16283063.00","12022969.00","6267155.00","6374902.00","8685276.00","3384141.00"],["531238.00","523782.00","523074.00","523074.00","523074.00","520759.00","514130.00","511029.00","499347.00","497854.00","496802.00","490235.00","481433.00","477594.00","476893.00","476602.00"],["456124733.00","438814252.00","468543305.00","468543305.00","476850504.00","473034896.00","488942389.00","482524034.00","463430224.00","460150626.00","513174170.00","501569490.00","488106886.00","481836193.00","481880247.00","481406778.00"],["796237560.00","781223069.00","714501954.00","562139320.00","495962464.00","346586762.00","361275659.00","728989297.00","697076267.00","594918112.00","358152323.00","357255276.00","313703606.00","225263085.00","311714479.00","269681867.00"],["1252893531.00","1220561103.00","1183568333.00","1031205699.00","973336042.00","820142417.00","850732178.00","1212024360.00","1161005838.00","1055566592.00","871823295.00","859315001.00","802291925.00","707576872.00","794071619.00","751565247.00"],["1252893531.00","1220561103.00","1183568333.00","1031205699.00","973336042.00","820142417.00","850732178.00","1212024360.00","1161005838.00","1055566592.00","871823295.00","859315001.00","802291925.00","707576872.00","794071619.00","751565247.00"]]}

{"title":["\u65f6\u95f4\\\u79d1\u76ee"],"report":[["2025-06-30
2025\u5e74\u4e2d\u62a5","2024-12-31
2024\u5e74\u5e74\u62a5","2024-06-30
2024\u5e74\u4e2d\u62a5","2023-12-31
2023\u5e74\u5e74\u62a5","2023-06-30
2023\u5e74\u4e2d\u62a5","2022-12-31
2022\u5e74\u5e74\u62a5","2022-06-30
2022\u5e74\u4e2d\u62a5","2021-12-31
2021\u5e74\u5e74\u62a5","2021-06-30
2021\u5e74\u4e2d\u62a5","2020-12-31
2020\u5e74\u5e74\u62a5","2020-06-30
2020\u5e74\u4e2d\u62a5","2019-12-31
2019\u5e74\u5e74\u62a5","2019-06-30
2019\u5e74\u4e2d\u62a5","2018-12-31
2018\u5e74\u5e74\u62a5","2018-06-30
2018\u5e74\u4e2d\u62a5","2017-12-31
2017\u5e74\u5e74\u62a5"]]}