财务摘要

2024年三季报2024年中报2024年一季报2023年年报
利润表摘要
营业总收入(元)5,244,578,856.694,420,881,411.832,825,168,942.3419,997,073,933.2
营业总成本(元)7,313,777,925.576,001,048,705.613,490,317,680.2124,624,367,528.88
营业收入(元)5,244,578,856.694,420,881,411.832,825,168,942.3419,997,073,933.2
营业利润(元)-2,696,703,230.73-2,080,653,568.19-816,286,354.82-15,981,434,469.56
利润总额(元)-3,360,655,240.54-2,534,301,440.88-992,662,610.41-16,998,752,497.01
净利润(元)-3,285,594,905.39-2,541,657,678.06-1,011,166,116.79-18,223,900,891.29
归属母公司股东的净利润(元)-3,128,431,823.37-2,404,264,444.88-971,412,940.47-17,460,488,708.37
非经常性损益(元)-747,479,082.7-569,273,360.75-91,159,444.93-1,302,991,452.7
归属母公司股东的净利润(扣除非经常性损益)(元)-2,380,952,740.67-1,834,991,084.13-880,253,495.54-16,157,497,255.67
资产负债表摘要
流动资产(元)89,883,229,289.9890,640,939,421.1692,552,004,465.9495,851,127,815.25
固定资产(元)831,302,386.51857,160,805.591,257,480,283.081,278,510,657.4
长期股权投资(元)1,701,762,721.381,712,472,838.811,720,198,441.951,720,035,318.21
资产总计(元)100,282,898,936.86101,108,078,701.35103,533,678,787.84107,224,892,775.44
流动负债(元)136,838,816,573.24136,939,171,740.07137,355,923,460.08140,538,589,943.3
非流动负债(元)5,711,121,367.95,728,459,591.626,197,578,309.235,740,138,994.17
负债合计(元)142,549,937,941.14142,667,631,331.69143,553,501,769.31146,278,728,937.47
股东权益(元)-42,267,039,004.28-41,559,552,630.34-40,019,822,981.47-39,053,836,162.03
归属母公司股东的权益(元)-44,751,168,213.84-44,063,435,900.03-42,621,346,308.02-41,646,706,286.35
资本公积(元)205,301,401.7205,301,401.7205,301,401.7205,301,401.7
盈余公积(元)201,246,063.77201,246,063.77201,246,063.77201,246,063.77
未分配利润(元)-48,313,389,889.98-47,589,222,511.49-46,156,371,007.08-45,184,958,066.61
现金流量表摘要
经营活动产生现金净流量(元)29,697,693.043,283,909.34-2,414,413.68-611,478,430.01
投资活动产生现金净流量(元)-16,572,795.8-18,864,426.79-21,811,044.41-44,154,605.21
筹资活动产生现金净流量(元)-216,107,108.52-195,487,796.29-76,957,451.77-157,277,828.41
现金及现金等价物净增加(元)-202,982,211.28-211,068,313.74-101,182,909.86-810,711,724.78