报告日期 |
---|
基本每股收益(元) |
每股净资产(元) |
每股经营活动产生的现金流量净额(元) |
主营业务收入(万元) |
主营业务利润(万元) |
营业利润(万元) |
投资收益(万元) |
营业外收支净额(万元) |
利润总额(万元) |
净利润(万元) |
净利润(扣除非经常性损益后)(万元) |
经营活动产生的现金流量净额(万元) |
现金及现金等价物净增加额(万元) |
总资产(万元) |
流动资产(万元) |
总负债(万元) |
流动负债(万元) |
股东权益不含少数股东权益(万元) |
净资产收益率加权(%) |
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 | 2015-09-30 | 2015-06-30 | 2015-03-31 | 2014-12-31 | 2014-09-30 | 2014-06-30 | 2014-03-31 | 2013-12-31 | 2013-09-30 | 2013-06-30 | 2013-03-31 | 2012-12-31 | 2012-09-30 | 2012-06-30 | 2012-03-31 | 2011-12-31 | 2011-09-30 | 2011-06-30 | 2011-03-31 | 2010-12-31 | 2010-09-30 | 2010-06-30 | 2010-03-31 | 2009-12-31 | 2009-09-30 | 2009-06-30 | 2009-03-31 | 2008-12-31 | 2008-09-30 | 2008-06-30 | 2008-03-31 | 2007-12-31 | 2007-09-30 | 2007-06-30 | 2006-12-31 | 2006-09-30 | 2006-06-30 | 2005-12-31 | 2004-12-31 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
0.07 | 0.63 | -0.27 | -0.38 | 0.04 | 2.37 | 2.21 | 1.64 | -0.01 | 0.03 | 0.12 | 0.10 | 0.08 | -4.00 | -4.56 | -4.50 | 0.07 | 0.29 | 0.14 | 0.03 | 0.01 | 0.03 | 0.01 | 0.01 | -0.01 | 0.03 | -0.01 | -0.01 | -0.00 | 0.05 | -0.02 | -0.01 | -0.04 | -0.01 | 0.00 | 0.01 | 0.00 | -0.12 | -0.04 | 0.02 | 0.00 | 0.06 | 0.13 | 0.09 | 0.05 | 0.43 | 0.37 | 0.27 | 0.05 | 0.46 | 0.41 | 0.26 | 0.11 | 0.46 | 0.36 | 0.21 | 0.12 | 0.56 | 0.34 | 0.20 | -- | 0.23 | 0.12 | 1.74 | 1.72 |
-- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | 2.54 | 2.59 | 2.61 | 2.60 | 2.68 | 2.63 | 5.34 | 5.32 | 5.24 | 3.42 | 3.30 | 3.25 | 3.20 | 3.06 | 3.00 | 2.89 | 2.79 | 2.63 | 3.91 | 3.79 | 3.58 | 2.09 | 1.90 | -- | -- | -- | -- |
-- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | -- | 0.41 | 0.27 | 0.13 | 0.23 | 0.22 | 0.12 | 0.19 | 0.11 | -0.02 | 0.28 | -0.03 | 0.38 | 0.47 | 0.32 | 0.09 | 0.63 | 0.44 | 0.18 | -0.18 | 0.26 | 0.42 | 0.64 | 0.05 | -- | 0.70 | 1.03 | 0.22 |
35,593 | 161,466 | 119,819 | 78,393 | 28,349 | 123,766 | 84,319 | 52,066 | 17,746 | 102,026 | 70,965 | 46,284 | 21,404 | 1,176,064 | 1,185,839 | 1,160,767 | 634,105 | 1,287,026 | 557,532 | 33,062 | 13,162 | 51,484 | 36,612 | 23,904 | 10,546 | 50,115 | 33,421 | 21,598 | 10,130 | 50,795 | 37,872 | 23,932 | 8,499 | 56,934 | 42,555 | 27,545 | 11,246 | 61,764 | 45,655 | 31,131 | 13,373 | 68,387 | 54,787 | 34,609 | 13,479 | 70,931 | 52,761 | 35,604 | 12,597 | 53,429 | 39,906 | 25,667 | 11,418 | 52,724 | 39,687 | 25,096 | 10,684 | 39,248 | 27,293 | 16,726 | 30,960 | 21,272 | 12,471 | 25,783 | 19,732 |
9,525 | 42,491 | 31,671 | 20,274 | 7,101 | 34,184 | 24,631 | 15,299 | 4,542 | 29,180 | 20,868 | 13,418 | 5,845 | 30,483 | 27,653 | 19,684 | 15,338 | 41,658 | 20,296 | 6,888 | 2,932 | 11,661 | 8,838 | 5,503 | 2,145 | 10,744 | 6,409 | 3,919 | 1,884 | 7,942 | 5,190 | 3,718 | 1,079 | 10,814 | 8,419 | 6,244 | 2,474 | 10,783 | 10,074 | 7,680 | 3,468 | 16,430 | 15,876 | 9,968 | 2,943 | 22,359 | 17,608 | 11,890 | 4,101 | 17,223 | 14,479 | 9,236 | 4,166 | 17,763 | 13,845 | 8,684 | 10,684 | 14,932 | 10,475 | 5,978 | 9,596 | 5,869 | 3,650 | 7,380 | 5,126 |
4,544 | 40,458 | 17,524 | 10,969 | 2,357 | 145,428 | 141,339 | 110,660 | -322 | 10,561 | 11,033 | 9,104 | 6,837 | -239,007 | -316,157 | -311,843 | 5,849 | 17,903 | 7,902 | 1,461 | 317 | 654 | 144 | 47 | -383 | -20 | -1,210 | -1,415 | -342 | -563 | -3,163 | -1,881 | -1,911 | -2,847 | -1,864 | -1,002 | -1,272 | -6,984 | -2,131 | 689 | 252 | 1,827 | 6,121 | 3,867 | 960 | 9,436 | 7,981 | 5,774 | 1,049 | 8,494 | 8,029 | 5,304 | 2,294 | 8,398 | 7,408 | 4,663 | 0 | 6,157 | 4,696 | 2,411 | 4,152 | 1,856 | 1,001 | 2,919 | 2,131 |
37 | 310 | 120 | 72 | -11 | 133,752 | 133,639 | 105,668 | 171 | 603 | 243 | 145 | 68 | 150,476 | -6,076 | -3,712 | -7,909 | 5,991 | 532 | 145 | 68 | 355 | 250 | 216 | 164 | 381 | 392 | 327 | 236 | 3,346 | 254 | -- | -- | 359 | -- | 3 | -- | 466 | 3 | 3 | -- | 423 | 2 | 2 | -- | 309 | 1 | 1 | -- | 131 | 1 | 1 | -- | 1 | 1 | 1 | 0 | 1 | 1 | 4 | 83 | 62 | 97 | -57 | 3 |
8 | -1,286 | -29,762 | -29,772 | -31 | 20 | -104 | -108 | -100 | -6,889 | -215 | -16 | -0 | -33,459 | 69 | 40 | 53 | -229 | -128 | 248 | 141 | 751 | 369 | 301 | 55 | 1,276 | 874 | 880 | 190 | 2,849 | 1,340 | 783 | -44 | 2,349 | 1,931 | 1,423 | 1,411 | 698 | 455 | 463 | 5 | 1,084 | 510 | 546 | 194 | 307 | 92 | 125 | 109 | 1,155 | 761 | 372 | -8 | 1,778 | -- | -- | -- | -- | -- | 670 | 612 | 484 | 161 | 203 | 307 |
4,552 | 39,172 | -12,239 | -18,803 | 2,325 | 145,448 | 141,235 | 110,552 | -423 | 3,672 | 10,818 | 9,088 | 6,837 | -272,466 | -316,088 | -311,803 | 5,903 | 17,674 | 7,774 | 1,710 | 458 | 1,404 | 514 | 348 | -328 | 1,256 | -336 | -535 | -152 | 2,285 | -1,823 | -1,098 | -1,955 | -498 | 66 | 421 | 139 | -6,286 | -1,677 | 1,152 | 257 | 2,910 | 6,631 | 4,413 | 1,154 | 9,743 | 8,073 | 5,899 | 1,158 | 9,649 | 8,790 | 5,676 | 2,285 | 10,176 | 8,031 | 5,011 | 0 | 7,067 | 5,293 | 3,082 | 4,764 | 2,340 | 1,162 | 3,122 | 2,437 |
3,838 | 33,266 | -14,522 | -20,237 | 1,991 | 146,052 | 142,311 | 112,065 | -567 | 2,186 | 8,646 | 7,008 | 5,362 | -280,064 | -319,204 | -314,703 | 5,106 | 15,932 | 6,796 | 1,508 | 411 | 1,157 | 506 | 318 | -208 | 1,115 | -245 | -476 | -180 | 2,385 | -963 | -425 | -1,661 | -413 | 152 | 421 | 102 | -5,450 | -1,614 | 859 | 156 | 2,654 | 5,783 | 3,827 | 1,046 | 8,393 | 6,751 | 4,888 | 962 | 8,232 | 7,395 | 4,758 | 1,914 | 8,339 | 6,555 | 3,699 | 1,428 | 5,602 | 3,174 | 1,780 | 3,964 | 1,839 | 864 | 2,088 | 2,059 |
2,667 | 15,106 | 14,375 | 8,836 | 1,977 | 8,687 | 5,409 | 3,231 | -778 | 8,163 | 4,616 | 2,212 | 1,886 | -176,509 | -321,794 | -317,003 | 4,760 | 15,502 | 6,904 | 1,301 | 294 | 510 | 159 | 39 | -275 | -20 | -1,015 | -1,221 | -558 | -2,367 | -2,308 | -1,146 | -1,653 | -2,464 | -1,519 | -795 | -1,077 | -6,136 | -- | 458 | -- | 1,799 | -- | 2,836 | -- | 8,110 | -- | 4,727 | -- | 7,245 | -- | 4,429 | 0 | 6,782 | 0 | 3,440 | -- | 4,974 | 0 | 1,302 | 3,284 | -- | 750 | 1,850 | 1,750 |
-8,891 | 20,469 | 7,941 | 1,861 | -2,886 | 27,713 | 14,954 | 11,988 | -732 | 9,853 | 8,076 | 3,312 | 1,557 | 46,816 | -10,311 | -5,858 | -22,374 | 888 | 26,731 | 3,596 | -157 | 15,692 | 6,111 | 2,978 | 986 | 6,318 | 2,335 | -843 | -977 | 3,764 | -2,950 | -1,555 | -6,345 | 1,276 | -1,523 | 1,898 | 1,306 | 10,159 | 18,421 | 12,060 | 5,623 | 10,432 | 10,024 | 5,383 | 4,155 | 2,360 | -481 | 5,005 | -552 | 6,867 | 8,463 | 5,827 | 1,661 | 11,365 | 7,911 | 3,240 | -2,217 | 3,148 | 5,031 | 5,720 | 458 | 4,907 | 5,564 | 8,277 | 267 |
-27,247 | 33,739 | -586 | -3,618 | -3,730 | -25 | 37 | -1,651 | -1,493 | -454 | -1,369 | -5,515 | 1,117 | -66,057 | -68,932 | -5,050 | -32,098 | 71,605 | 45,182 | -254 | -2,078 | -1,180 | 1,007 | -421 | -3,878 | 2,882 | -771 | -1,148 | 3,895 | 343 | -1,088 | -1,194 | -1,005 | -4,278 | -5,275 | -2,057 | -23 | -2,593 | 6,175 | -531 | 5,563 | -21,540 | -13,724 | -9,289 | 7,148 | 26,537 | 41,914 | -1,389 | -1,711 | -3,361 | -4,662 | -3,587 | -3,171 | -4,115 | -4,122 | -4,204 | 0 | 7,914 | 13,774 | -1,526 | 2,360 | 1,860 | -- | -836 | 1,258 |
231,297 | 235,778 | 208,485 | 198,704 | 184,632 | 185,960 | 179,546 | 175,158 | 170,637 | 172,393 | 172,368 | 166,104 | 171,938 | 170,064 | 874,627 | 1,249,521 | 1,558,739 | 1,639,370 | 1,551,432 | 177,107 | 171,691 | 171,883 | 185,131 | 182,404 | 177,558 | 182,555 | 172,824 | 169,953 | 180,801 | 183,368 | 198,779 | 195,881 | 195,093 | 192,427 | 194,306 | 198,134 | 194,518 | 196,065 | 198,127 | 191,882 | 198,064 | 194,918 | 199,624 | 193,414 | 181,377 | 170,968 | 183,768 | 138,642 | 127,954 | 121,852 | 110,664 | 105,565 | 97,415 | 91,258 | 84,544 | 78,061 | 73,267 | 71,479 | 66,012 | 47,494 | 44,737 | -- | -- | 37,462 | 31,258 |
109,553 | 126,819 | 102,007 | 92,614 | 81,027 | 80,891 | 85,661 | 80,236 | 77,356 | 77,859 | 86,890 | 78,983 | 83,368 | 79,797 | 779,127 | 1,153,727 | 1,286,802 | 1,365,649 | 1,280,203 | 75,586 | 68,254 | 67,136 | 78,142 | 73,713 | 68,697 | 72,479 | 68,239 | 69,740 | 79,201 | 81,055 | 71,228 | 65,985 | 63,429 | 62,787 | 63,188 | 67,305 | 64,789 | 66,323 | 86,675 | 81,159 | 88,391 | 87,124 | 101,309 | 95,845 | 97,746 | 86,837 | 102,263 | 57,137 | 52,057 | 46,626 | 46,999 | 47,465 | 46,005 | 49,289 | 47,742 | 45,361 | 0 | 43,037 | 38,805 | 24,974 | 20,252 | -- | -- | 14,149 | 11,177 |
131,269 | 139,589 | 160,089 | 156,023 | 119,737 | 123,067 | 120,494 | 118,490 | 111,226 | 112,425 | 105,958 | 101,309 | 108,826 | 112,319 | 855,038 | 1,225,450 | 1,211,367 | 1,297,096 | 1,218,359 | 66,436 | 62,127 | 62,721 | 76,749 | 74,021 | 69,689 | 74,461 | 66,091 | 63,451 | 69,549 | 71,935 | 90,695 | 87,260 | 87,704 | 83,379 | 84,690 | 88,250 | 84,954 | 86,603 | 84,832 | 76,116 | 81,633 | 78,670 | 80,247 | 75,992 | 62,281 | 52,360 | 66,803 | 76,911 | 68,387 | 63,247 | 52,882 | 50,420 | 43,314 | 39,058 | 34,129 | 30,501 | 0 | 25,818 | 22,945 | 28,654 | 27,666 | -- | -- | 28,327 | 22,968 |
88,007 | 96,648 | 88,844 | 84,699 | 78,427 | 81,670 | 78,778 | 76,725 | 66,829 | 67,928 | 67,041 | 62,119 | 69,928 | 74,443 | 802,649 | 1,172,976 | 1,156,109 | 1,244,068 | 1,165,859 | 64,298 | 59,897 | 60,403 | 74,500 | 71,702 | 67,673 | 72,180 | 64,351 | 61,645 | 67,686 | 69,965 | 89,041 | 85,557 | 85,935 | 81,543 | 83,425 | 86,945 | 83,608 | 85,217 | 76,494 | 67,960 | 73,780 | 70,439 | 68,683 | 64,231 | 50,650 | 40,731 | 51,233 | 61,388 | 52,817 | 47,539 | 40,236 | 40,381 | 37,314 | 34,058 | 29,129 | 25,501 | 0 | 20,818 | 17,945 | 16,854 | 17,648 | -- | -- | 18,194 | 12,951 |
99,776 | 95,938 | 48,132 | 42,417 | 64,645 | 62,654 | 58,860 | 56,502 | 59,250 | 59,816 | 66,277 | 64,639 | 62,993 | 57,630 | 18,490 | 22,992 | 346,297 | 341,191 | 332,055 | 110,586 | 109,489 | 109,079 | 108,428 | 108,240 | 107,714 | 107,922 | 106,561 | 106,331 | 111,083 | 111,263 | 107,917 | 108,453 | 107,217 | 108,878 | 109,443 | 109,712 | 109,393 | 109,291 | 113,127 | 115,600 | 116,263 | 116,078 | 119,207 | 117,251 | 118,926 | 118,437 | 116,796 | 61,555 | 59,429 | 58,467 | 57,630 | 54,993 | 53,949 | 52,035 | 50,250 | 47,395 | 46,925 | 45,496 | 42,901 | 18,584 | 16,804 | -- | -- | 8,594 | 6,408 |
3.92 | 41.96 | -26.22 | -38.52 | 3.13 | 238.62 | 239.83 | 192.69 | -0.95 | 3.72 | 13.96 | 11.46 | 8.89 | -139.23 | -177.49 | -172.83 | 1.49 | 7.91 | 5.12 | 1.37 | 0.38 | 1.07 | 0.47 | 0.29 | -0.19 | 1.02 | -0.23 | -0.44 | -0.16 | 2.17 | -0.89 | -0.39 | -1.54 | -0.38 | 0.14 | 0.38 | 0.09 | -4.83 | -1.41 | 0.74 | 0.13 | 2.22 | 4.85 | 3.21 | 0.84 | 10.59 | 10.11 | 8.29 | 1.65 | 14.94 | -- | 8.84 | 0.00 | 17.15 | 0.00 | 7.86 | -- | 20.46 | 0.00 | -- | 35.81 | -- | -- | 27.80 | 38.44 |
营业利润率
净资产收益率
2022-03-31 | 2021-12-31 | 2021-09-30 | 2021-06-30 | 2021-03-31 | 2020-12-31 | |
---|---|---|---|---|---|---|
总资产利润率(%) | 1.66 | 14.11 | -6.95 | -10.17 | 1.08 | 78.59 |
主营业务利润率(%) | 26.76 | 26.32 | 26.43 | 25.86 | 25.05 | 27.62 |
总资产净利润率(%) | 1.64 | 15.78 | -7.35 | -10.51 | 1.08 | 81.56 |
成本费用利润率(%) | 15.09 | 28.65 | -12.43 | -28.97 | 9.35 | 135.73 |
营业利润率(%) | 12.77 | 25.06 | 14.63 | 13.99 | 8.31 | 117.50 |
主营业务成本率(%) | 72.49 | 72.64 | 72.44 | 72.87 | 73.63 | 71.21 |
销售净利率(%) | 10.79 | 20.61 | -12.10 | -25.78 | 7.06 | 118.08 |
净资产收益率(%) | 3.85 | 34.67 | -30.17 | -47.71 | 3.08 | 233.11 |
股本报酬率(%) | 7.21 | 220.00 | -27.24 | 118.66 | 3.76 | 424.57 |
净资产报酬率(%) | 3.84 | 121.72 | -29.96 | 147.95 | 3.08 | 359.25 |
资产报酬率(%) | 1.66 | 49.66 | -6.95 | 31.78 | 1.08 | 121.50 |
销售毛利率(%) | -- | -- | -- | -- | -- | -- |
三项费用比重(%) | 11.52 | 11.00 | 8.58 | 8.65 | 12.81 | 14.20 |
非主营比重(%) | 0.98 | -2.49 | 242.20 | 157.95 | -1.81 | 91.97 |
主营利润比重(%) | 209.24 | 108.47 | -258.77 | -107.82 | 305.39 | 23.50 |
流动比率
资产负债率
2022-03-31 | 2021-12-31 | 2021-09-30 | 2021-06-30 | 2021-03-31 | 2020-12-31 | |
---|---|---|---|---|---|---|
流动比率(%) | 1.24 | 1.31 | 1.15 | 1.09 | 1.03 | 0.99 |
速动比率(%) | 0.66 | 0.83 | 0.66 | 0.67 | 0.59 | 0.63 |
现金比率(%) | 21.83 | 48.12 | 13.59 | 10.49 | 11.18 | 15.33 |
利息支付倍数(%) | 951.33 | 1,605.81 | -558.94 | -1,455.16 | 504.27 | 8,772.46 |
资产负债率(%) | 56.75 | 59.20 | 76.79 | 78.52 | 64.85 | 66.18 |
长期债务与营运资金比率(%) | -- | -- | -- | -- | -- | -- |
股东权益比率(%) | 43.25 | 40.80 | 23.21 | 21.48 | 35.15 | 33.82 |
长期负债比率(%) | -- | -- | -- | -- | -- | -- |
股东权益与固定资产比率(%) | -- | 214.77 | -- | 85.39 | -- | 124.51 |
负债与所有者权益比率(%) | 131.23 | 145.12 | 330.79 | 365.55 | 184.51 | 195.68 |
长期资产与长期资金比率(%) | -- | -- | -- | -- | -- | -- |
资本化比率(%) | -- | -- | -- | -- | -- | -- |
固定资产净值率(%) | -- | 34.83 | -- | 37.48 | -- | 38.76 |
资本固定化比率(%) | 121.71 | 113.28 | 220.02 | 248.56 | 159.65 | 167.06 |
产权比率(%) | 87.98 | 100.48 | 183.58 | 198.44 | 120.85 | 129.86 |
清算价值比率(%) | -- | -- | -- | -- | -- | -- |
固定资产比重(%) | -- | 19.00 | -- | 25.15 | -- | 27.16 |
净利润增长率
净资产增长率
2022-03-31 | 2021-12-31 | 2021-09-30 | 2021-06-30 | 2021-03-31 | 2020-12-31 | |
---|---|---|---|---|---|---|
主营业务收入增长率(%) | 25.56 | 30.46 | 42.10 | 50.56 | 59.75 | 21.31 |
净利润增长率(%) | 91.77 | -77.23 | -110.18 | -118.03 | -- | 6,471.73 |
净资产增长率(%) | 54.14 | 52.94 | -18.05 | -24.68 | 9.23 | 4.88 |
总资产增长率(%) | 25.27 | 26.79 | 16.12 | 13.44 | 8.20 | 7.87 |
存货周转率(次)
总资产周转率(次)
2022-03-31 | 2021-12-31 | 2021-09-30 | 2021-06-30 | 2021-03-31 | 2020-12-31 | |
---|---|---|---|---|---|---|
应收账款周转率(次) | 1.38 | 6.64 | 4.01 | 2.64 | 1.05 | 5.20 |
应收账款周转天数(天) | 65.44 | 54.23 | 67.29 | 68.20 | 86.08 | 69.22 |
存货周转率(次) | 0.53 | 3.10 | 2.39 | 1.74 | 0.65 | 3.07 |
固定资产周转率(次) | -- | 3.39 | -- | 1.56 | -- | 2.37 |
总资产周转率(次) | 0.15 | 0.77 | 0.61 | 0.41 | 0.15 | 0.69 |
存货周转天数(天) | 169.88 | 116.03 | 112.94 | 103.52 | 138.97 | 117.11 |
总资产周转天数(天) | 590.55 | 470.16 | 444.44 | 441.61 | 588.24 | 521.21 |
流动资产周转率(次) | 0.30 | 1.55 | 1.31 | 0.90 | 0.35 | 1.56 |
流动资产周转天数(天) | 298.80 | 231.56 | 206.08 | 199.20 | 257.00 | 230.87 |
经营现金净流量对销售收入比率(%) | -0.25 | 0.13 | 0.07 | 0.02 | -0.10 | 0.22 |
资产的经营现金流量回报率(%) | -0.04 | 0.09 | 0.04 | 0.01 | -0.02 | 0.15 |
经营现金净流量与净利润的比率(%) | -2.32 | 0.62 | -- | -- | -1.44 | 0.19 |
经营现金净流量对负债比率(%) | -0.07 | 0.15 | 0.05 | 0.01 | -0.02 | 0.23 |
现金流量比率(%) | -10.10 | 21.18 | 8.94 | 2.20 | -3.68 | 33.93 |
|