时间净资产净资产(不含商誉)有形资产年累计收入2003-9-30211,029,534211,029,534201,122,519323,670,585 2003-12-31549,630,230549,630,230539,782,506418,420,384 2004-3-31544,913,760544,913,760535,125,32713,747,351 2004-6-30538,482,670538,482,670528,753,52893,530,425 2004-9-30546,384,417546,384,417530,199,208215,323,073 2004-12-31570,932,822570,932,822554,853,030399,304,888 2005-3-31566,540,731566,540,731550,520,23031,603,587 2005-6-30564,213,186564,213,186548,317,130120,603,120 2005-9-30574,872,261574,872,261559,061,572252,465,329 2005-12-31580,513,941580,513,941451,281,772473,257,778 2006-3-31569,715,088569,715,088554,136,37636,246,404 2006-6-30586,393,937586,393,937570,907,091183,203,241 2006-9-30597,262,960597,262,960581,775,315326,879,311 2006-12-31603,478,233603,478,233586,277,623571,574,272 2007-3-31605,037,092605,037,092587,936,89581,176,277 2007-6-30623,619,787623,619,787606,616,123287,916,851 2007-9-30909,371,188909,371,188880,992,681497,639,272 2007-12-31954,973,723954,973,723929,924,5621,043,314,576 2008-3-31956,094,147929,018,938904,017,72751,300,110 2008-6-30970,371,674943,296,465918,527,287329,493,148 2008-9-30989,668,312962,593,104937,815,981588,346,348 2008-12-31961,022,633954,821,640930,156,514975,279,831 2009-3-31975,894,178969,693,185945,039,93787,242,563 2009-6-301,403,784,0141,397,583,0201,368,897,079555,351,325 2009-9-301,436,570,8301,430,369,8371,401,691,642924,528,798 2009-12-311,506,278,0271,500,077,0341,471,821,0381,610,901,071 2010-3-311,500,889,4421,494,688,4481,466,445,15484,532,094
季度收入自由现金流年累计净利润季度净利润年分红派息率024,391,3180
94,749,79927,531,8483,140,53016,054,10358.31% 13,747,351(4,716,470)(4,716,470)
79,783,0734,906,5439,623,013
121,792,64812,808,2907,901,747
183,981,816(364,787,824)23,265,12110,456,83112,843,28255.20% 31,603,587(5,392,091)(5,392,091)
88,999,5335,123,64610,515,737
131,862,20915,782,72110,659,074
220,792,449(177,362,849)24,563,5778,780,856
36,246,404(12,447,000)(12,447,000)
146,956,8374,981,84817,428,848
143,676,07115,850,87210,869,024
244,694,961206,470,98926,166,87010,315,99816,054,10361.35% 81,176,277(13,052,816)(13,052,816)
206,740,5745,386,19818,439,014
209,722,42115,923,32710,537,128
545,675,304(27,866,337)51,557,52735,634,20010,177,05119.74% 51,300,1101,120,4241,120,424
278,193,03825,065,00223,944,578
258,853,20039,261,64114,196,639
386,933,483(353,330,368)43,260,3303,998,68922,526,19352.07% 87,242,56314,871,54514,871,545
468,108,76254,584,95839,713,412
369,177,47387,371,77432,786,817
686,372,273(181,782,569)155,346,73767,974,963
84,532,094(5,146,499)(5,146,499)
最大市盈率最小市盈率
000.000.00
2.56 2.09
2.80 2.25
966,456,992 2.73 1.79
1,006,592,249780,229,422 1.84 1.4348.92
956,824,539752,937,435 1.68 1.3241.1332.36
797,888,880627,715,437 1.41 1.1135.3227.79
695,142,643484,833,905 1.230.8629.6020.65
659,823,651431,855,377 1.150.7525.1516.46
630,926,255531,390,797 1.090.9225.6921.63
685,510,191497,677,175 1.200.8739.1528.42
671,061,474441,487,830 1.140.7527.4818.08
714,407,548557,077,375 1.200.9329.0022.62
659,823,651560,288,193 1.090.9325.2221.41
605,239,676 1.0023.68
1.814
2.60
1.6256.04
2.3944.29
2.7058.8439.33
3.04 1.4741.3720.09
2.40 1.2731.7516.78
1.78 1.1339.5525.07
2.61 1.5644.6026.67
2.97 1.7557.323
3.83
2.3550.6636.98
23.45
41.15
最大市销率最小市销率净资产收益率销售净利率总资产收益率
3.25 2.52 1.28%
2.40 1.89 1.87%
1.91 1.50 1.72%
1.63 1.14 1.76%
1.510.99 1.87%
1.33 1.12 1.66%
1.43 1.04 1.25%
1.250.82 1.68%
1.30 1.02 1.50%
1.150.98 1.66%
1.970.98 1.57%
1.67 1.51%
1.98 1.24%
2.19
3.14%
2.55
3.89%
2.72 1.32
3.63%
2.10 1.11
3.46%
1.75 1.11
2.08%
2.51 1.50 2.59%
3.47 2.05 2.55%
2.58 2.88%
2.26 5.12%
3.46
4.68%
经营活动现金净流量
10656996.13
-25624607.57
8612961.78
149595194.3
-38787565.54
-95284659.09
-78724363.68
固定资产+在建工程+工程物资+固定资产清理+生产性生物资产+油气资产+无形资产+开发支出+商誉
216627910.4
521446273.4
666068724.1
560189137.2
493336569
719122096.2
769392527.5
财务费用+补贴收入+营业外收入-营业外支出所得税比率少数股东比率折旧和摊销
13504964.020.172461156121593499.24
16950572.660.134251026132069222.1
21100701.260.136438057138474421.17
32776331.210.202778569142357454.58
35378168.520.235693755 1.1099629444832235.41
44151617.410.2880115770.9395807642264725.86
29791748.510.154412111 1.02294277344110509.76