宁波银行
002142
浙江
公众企业

宁波银行股份有限公司

吸收公众存款;发放短期、中期和长期贷款;办理国内结算;办理票据贴现;发行金融债券;代理发行、代理兑付、承销政府债券;买卖政府债券;从事同业拆借等

成立: 1997-04-10 上市: 2007-07-19

资产负债表
趋势20132014201520162017
资产467773000000.0,554113000000.0,716465000000.0,885020000000.0,1032040000000.046.78 百亿55.41 百亿71.65 百亿88.5 百亿103.2 百亿
现金及存放中央银行款项62194800000.0,70953900000.0,66189400000.0,93376700000.0,90193800000.06.22 百亿7.1 百亿6.62 百亿9.34 百亿9.02 百亿
存放同业及其他金融机构款项38964600000.0,30447600000.0,14200000000.0,17027900000.0,29550700000.03.9 百亿3.04 百亿1.42 百亿1.7 百亿2.96 百亿
贵金属33159000.0,0.0,1540480000.0,269586000.0,843573000.00.33 亿--15.4 亿2.7 亿8.44 亿
拆出资金548000000.0,2866600000.0,1381140000.0,6702520000.0,2045990000.05.48 亿28.67 亿13.81 亿67.03 亿20.46 亿
交易性金融资产1178910000.0,8878980000.0,7039890000.0,8276310000.0,146482000000.011.79 亿88.79 亿70.4 亿82.76 亿14.65 百亿
衍生金融资产7193450000.0,1293140000.0,3537560000.0,13939500000.0,31333800000.071.93 亿12.93 亿35.38 亿1.39 百亿3.13 百亿
买入返售金融资产39537800000.0,17079000000.0,10980600000.0,19731600000.0,1096970000.03.95 百亿1.71 百亿1.1 百亿1.97 百亿10.97 亿
应收利息2474310000.0,3015050000.0,2765150000.0,3963300000.0,4156450000.024.74 亿30.15 亿27.65 亿39.63 亿41.56 亿
应收账款0.0,0.0,0.0,0.0,0.0----------
发放贷款和垫款167302000000.0,204750000000.0,248399000000.0,292788000000.0,332199000000.016.73 百亿20.48 百亿24.84 百亿29.28 百亿33.22 百亿
存出保证金0.0,0.0,0.0,0.0,0.0----------
可供出售金融资产90355500000.0,120109000000.0,249258000000.0,280552000000.0,218843000000.09.04 百亿12.01 百亿24.93 百亿28.06 百亿21.88 百亿
持有至到期投资15950000000.0,16569100000.0,32671500000.0,39370700000.0,60782800000.01.6 百亿1.66 百亿3.27 百亿3.94 百亿6.08 百亿
长期股权投资13250000.0,0.0,0.0,0.0,0.00.13 亿--------
投资性房地产16609000.0,16596000.0,16559000.0,16598000.0,46726000.00.17 亿0.17 亿0.17 亿0.17 亿0.47 亿
固定资产2392070000.0,3352020000.0,3420260000.0,3517820000.0,4810960000.023.92 亿33.52 亿34.2 亿35.18 亿48.11 亿
在建工程0.0,0.0,1598040000.0,2241200000.0,1278050000.0----15.98 亿22.41 亿12.78 亿
无形资产147596000.0,208642000.0,244245000.0,287903000.0,342963000.01.48 亿2.09 亿2.44 亿2.88 亿3.43 亿
商誉0.0,0.0,0.0,0.0,0.0----------
递延所得税资产867712000.0,769245000.0,751245000.0,1166130000.0,4651060000.08.68 亿7.69 亿7.51 亿11.66 亿46.51 亿
其他资产2519160000.0,2248970000.0,1240380000.0,2216180000.0,8105680000.025.19 亿22.49 亿12.4 亿22.16 亿81.06 亿
负债442251000000.0,519948000000.0,671367000000.0,834634000000.0,974836000000.044.23 百亿51.99 百亿67.14 百亿83.46 百亿97.48 百亿
向中央银行借款200000000.0,0.0,1700000000.0,26000000000.0,2500000000.02.0 亿--17.0 亿2.6 百亿25.0 亿
同业及其他金融机构存放款项89986900000.0,86634300000.0,68632500000.0,44584100000.0,27292400000.09.0 百亿8.66 百亿6.86 百亿4.46 百亿2.73 百亿
吸收存款255278000000.0,306532000000.0,355686000000.0,511405000000.0,565254000000.025.53 百亿30.65 百亿35.57 百亿51.14 百亿56.53 百亿
拆入资金13015000000.0,14072000000.0,20200600000.0,34832800000.0,94606100000.01.3 百亿1.41 百亿2.02 百亿3.48 百亿9.46 百亿
交易性金融负债0.0,1272100000.0,182682000.0,6230920000.0,5430880000.0--12.72 亿1.83 亿62.31 亿54.31 亿
衍生金融负债7228840000.0,1303490000.0,3355300000.0,12164300000.0,35168900000.072.29 亿13.03 亿33.55 亿1.22 百亿3.52 百亿
卖出回购金融资产款37139800000.0,28155100000.0,46497700000.0,62451200000.0,45988800000.03.71 百亿2.82 百亿4.65 百亿6.25 百亿4.6 百亿
应付职工薪酬1018890000.0,1098770000.0,1495980000.0,1863050000.0,1996110000.010.19 亿10.99 亿14.96 亿18.63 亿19.96 亿
应交税费683906000.0,795134000.0,899812000.0,1260190000.0,3035860000.06.84 亿7.95 亿9.0 亿12.6 亿30.36 亿
应付利息4961450000.0,5587630000.0,6195880000.0,7160300000.0,8375890000.049.61 亿55.88 亿61.96 亿71.6 亿83.76 亿
预计负债0.0,0.0,0.0,0.0,0.0----------
应付债券(及存款证)18466200000.0,50655400000.0,144057000000.0,112985000000.0,171499000000.01.85 百亿5.07 百亿14.41 百亿11.3 百亿17.15 百亿
递延所得税负债3000.0,3871000.0,6122000.0,0.0,0.03,000.0 元3.87 百万6.12 百万----
其他负债14271300000.0,23809300000.0,22175300000.0,13397200000.0,13332800000.01.43 百亿2.38 百亿2.22 百亿1.34 百亿1.33 百亿
所有者权益25521900000.0,34164200000.0,45097300000.0,50386100000.0,57206000000.02.55 百亿3.42 百亿4.51 百亿5.04 百亿5.72 百亿
股本2883820000.0,3249830000.0,3899790000.0,3899790000.0,5069730000.028.84 亿32.5 亿39.0 亿39.0 亿50.7 亿
其他权益工具0.0,0.0,4824690000.0,4824690000.0,6719950000.0----48.25 亿48.25 亿67.2 亿
其中:优先股0.0,0.0,0.0,0.0,0.0----------
资本公积7162870000.0,10598200000.0,9948240000.0,9948240000.0,8779910000.071.63 亿1.06 百亿99.48 亿99.48 亿87.8 亿
库存股0.0,0.0,0.0,0.0,0.0----------
其他综合收益0.0,309130000.0,1312880000.0,757027000.0,-2074140000.0--3.09 亿13.13 亿7.57 亿(20.74 亿)
外币报表折算差额0.0,0.0,0.0,0.0,0.0----------
盈余公积1970840000.0,2531960000.0,3181120000.0,3946750000.0,4857150000.019.71 亿25.32 亿31.81 亿39.47 亿48.57 亿
一般风险准备2859910000.0,4054720000.0,5055800000.0,6686970000.0,7858600000.028.6 亿40.55 亿50.56 亿66.87 亿78.59 亿
未分配利润10629200000.0,13347300000.0,16778900000.0,20214500000.0,25878100000.01.06 百亿1.33 百亿1.68 百亿2.02 百亿2.59 百亿
未确认投资损失0.0,0.0,0.0,0.0,0.0----------
归属母公司股东权益合计25506700000.0,34091100000.0,45001400000.0,50278000000.0,57089200000.02.55 百亿3.41 百亿4.5 百亿5.03 百亿5.71 百亿
少数股东权益15195000.0,73115000.0,95871000.0,108111000.0,116727000.00.15 亿0.73 亿0.96 亿1.08 亿1.17 亿
利润表
趋势20132014201520162017
营业收入12761500000.0,15356700000.0,19516200000.0,23645000000.0,25314300000.01.28 百亿1.54 百亿1.95 百亿2.36 百亿2.53 百亿
利息净收入11258700000.0,13354700000.0,15616700000.0,17060400000.0,16389000000.01.13 百亿1.34 百亿1.56 百亿1.71 百亿1.64 百亿
利息收入23494900000.0,28175500000.0,31831100000.0,33753500000.0,36524200000.02.35 百亿2.82 百亿3.18 百亿3.38 百亿3.65 百亿
利息支出12236200000.0,14820800000.0,16214300000.0,16693100000.0,20135300000.01.22 百亿1.48 百亿1.62 百亿1.67 百亿2.01 百亿
手续费及佣金净收入1619340000.0,2485040000.0,3989790000.0,6046620000.0,5899940000.016.19 亿24.85 亿39.9 亿60.47 亿59.0 亿
手续费及佣金收入1795830000.0,2696650000.0,4400490000.0,6709150000.0,6375500000.017.96 亿26.97 亿44.0 亿67.09 亿63.76 亿
手续费及佣金支出176492000.0,211606000.0,410701000.0,662540000.0,475565000.01.76 亿2.12 亿4.11 亿6.63 亿4.76 亿
投资收益120799000.0,164941000.0,398447000.0,942832000.0,3344690000.01.21 亿1.65 亿3.98 亿9.43 亿33.45 亿
其中:对联营合营企业的投资收益0.0,0.0,0.0,0.0,0.0----------
公允价值变动净收益-154182000.0,148680000.0,240506000.0,1583970000.0,-5559760000.0(1.54 亿)1.49 亿2.41 亿15.84 亿(55.6 亿)
汇兑收益-114378000.0,-830135000.0,-761599000.0,-2012690000.0,5205060000.0(1.14 亿)(8.3 亿)(7.62 亿)(20.13 亿)52.05 亿
其他业务收入31215000.0,33540000.0,32366000.0,23867000.0,30552000.00.31 亿0.34 亿0.32 亿0.24 亿0.31 亿
营业支出6701450000.0,8330170000.0,11498200000.0,13991700000.0,15134400000.067.01 亿83.3 亿1.15 百亿1.4 百亿1.51 百亿
营业税金及附加771271000.0,866826000.0,1057180000.0,563896000.0,247472000.07.71 亿8.67 亿10.57 亿5.64 亿2.47 亿
业务及管理费4448670000.0,4924680000.0,6640500000.0,8100520000.0,8766640000.044.49 亿49.25 亿66.41 亿81.01 亿87.67 亿
资产减值损失1480050000.0,2521150000.0,3780860000.0,5320940000.0,6108070000.014.8 亿25.21 亿37.81 亿53.21 亿61.08 亿
其他业务成本1457000.0,17514000.0,19654000.0,6326000.0,12239000.01.46 百万0.18 亿0.2 亿6.33 百万0.12 亿
营业利润6060030000.0,7026580000.0,8018030000.0,9653330000.0,10179900000.060.6 亿70.27 亿80.18 亿96.53 亿1.02 百亿
营业外收入32983000.0,20149000.0,41839000.0,53422000.0,29527000.00.33 亿0.2 亿0.42 亿0.53 亿0.3 亿
营业外支出41635000.0,39834000.0,44941000.0,54676000.0,46088000.00.42 亿0.4 亿0.45 亿0.55 亿0.46 亿
利润总额6051380000.0,7006890000.0,8014930000.0,9652080000.0,10163300000.060.51 亿70.07 亿80.15 亿96.52 亿1.02 百亿
所得税1204110000.0,1372760000.0,1447940000.0,1829340000.0,807627000.012.04 亿13.73 亿14.48 亿18.29 亿8.08 亿
净利润6051380000.0,7006890000.0,8014930000.0,9652080000.0,10163300000.060.51 亿70.07 亿80.15 亿96.52 亿1.02 百亿
归属于母公司所有者的净利润4847070000.0,5627470000.0,6544330000.0,7810420000.0,9333570000.048.47 亿56.27 亿65.44 亿78.1 亿93.34 亿
少数股东损益194000.0,6664000.0,22658000.0,12325000.0,22145000.019.4 万6.66 百万0.23 亿0.12 亿0.22 亿
其他综合收益-736382000.0,1035210000.0,1003850000.0,-555941000.0,-2831320000.0(7.36 亿)10.35 亿10.04 亿(5.56 亿)(28.31 亿)
综合收益总额4110880000.0,6669340000.0,7570840000.0,7266800000.0,6524400000.041.11 亿66.69 亿75.71 亿72.67 亿65.24 亿
归属于母公司所有者的综合收益总额4110690000.0,6662850000.0,7548090000.0,7254560000.0,6502410000.041.11 亿66.63 亿75.48 亿72.55 亿65.02 亿
归属于少数股东的综合收益总额195000.0,6492000.0,22756000.0,12240000.0,21991000.019.5 万6.49 百万0.23 亿0.12 亿0.22 亿
其他综合收益-736382000.0,1035210000.0,1003850000.0,-555941000.0,-2831320000.0(7.36 亿)10.35 亿10.04 亿(5.56 亿)(28.31 亿)
归属于母公司所有者的其他综合收益总额0.0,1035380000.0,1003750000.0,-555856000.0,-2831160000.0--10.35 亿10.04 亿(5.56 亿)(28.31 亿)
归属于少数股东的其他综合收益总额0.0,-172000.0,98000.0,-85000.0,-154000.0--(17.2 万)9.8 万(8.5 万)(15.4 万)
每股收益
基本每股收益(元)1.68,1.89,1.68,1.95,1.81.68 元1.89 元1.68 元1.95 元1.8 元
稀释每股收益(元)1.68,1.89,1.68,1.95,1.791.68 元1.89 元1.68 元1.95 元1.79 元
现金流量表
趋势20132014201520162017
现金的期初余额0.0,0.0,0.0,0.0,0.0----------
经营活动产生的现金流量净额38737100000.0,22776300000.0,19560500000.0,109412000000.0,18001000000.03.87 百亿2.28 百亿1.96 百亿10.94 百亿1.8 百亿
客户存款和同业存放款项净增加额104102000000.0,59584300000.0,46288100000.0,141847000000.0,53376200000.010.41 百亿5.96 百亿4.63 百亿14.18 百亿5.34 百亿
向中央银行借款净增加额200000000.0,0.0,1700000000.0,24300000000.0,0.02.0 亿--17.0 亿2.43 百亿--
向其他金融机构拆入资金净增加额0.0,13906300000.0,8572400000.0,2817140000.0,29961600000.0--1.39 百亿85.72 亿28.17 亿3.0 百亿
收取利息、手续费及佣金的现金18104000000.0,19877800000.0,22144200000.0,23080900000.0,27080700000.01.81 百亿1.99 百亿2.21 百亿2.31 百亿2.71 百亿
收到其他与经营活动有关的现金273869000.0,242023000.0,984383000.0,4211260000.0,0.02.74 亿2.42 亿9.84 亿42.11 亿--
经营活动现金流入小计122680000000.0,93610400000.0,87431600000.0,196256000000.0,118882000000.012.27 百亿9.36 百亿8.74 百亿19.63 百亿11.89 百亿
客户贷款及垫款净增加额26078000000.0,38470200000.0,41902900000.0,49491700000.0,45193600000.02.61 百亿3.85 百亿4.19 百亿4.95 百亿4.52 百亿
存放中央银行和同业款项净增加额21872200000.0,11830300000.0,0.0,14723200000.0,0.02.19 百亿1.18 百亿--1.47 百亿--
拆出资金净增加额0.0,0.0,0.0,0.0,0.0----------
支付给职工以及为职工支付的现金2029280000.0,2444170000.0,3238480000.0,4358150000.0,5321910000.020.29 亿24.44 亿32.38 亿43.58 亿53.22 亿
支付的各项税费2170730000.0,2422100000.0,2791540000.0,3389150000.0,3338620000.021.71 亿24.22 亿27.92 亿33.89 亿33.39 亿
支付手续费及佣金的现金10050300000.0,13126500000.0,17399300000.0,11645200000.0,14759600000.01.01 百亿1.31 百亿1.74 百亿1.16 百亿1.48 百亿
支付其他与经营活动有关的现金1406870000.0,2340900000.0,2538870000.0,3237180000.0,8767090000.014.07 亿23.41 亿25.39 亿32.37 亿87.67 亿
经营活动现金流出小计83942900000.0,70834100000.0,67871100000.0,86844500000.0,100881000000.08.39 百亿7.08 百亿6.79 百亿8.68 百亿10.09 百亿
投资活动产生的现金流量净额-41531400000.0,-62631400000.0,-131140000000.0,-46579500000.0,-79867500000.0(4.15 百亿)(6.26 百亿)(13.11 百亿)(4.66 百亿)(7.99 百亿)
收回投资收到的现金490506000000.0,707696000000.0,1841490000000.0,3714980000000.0,3195640000000.049.05 百亿70.77 百亿184.15 百亿371.5 百亿319.56 百亿
取得投资收益收到的现金5736880000.0,10277200000.0,15070200000.0,37231300000.0,21433800000.057.37 亿1.03 百亿1.51 百亿3.72 百亿2.14 百亿
处置固定资产、无形资产和其他长期资产收回的现金净额0.0,0.0,0.0,0.0,0.0----------
处置子公司及其他营业单位收到的现金净额0.0,0.0,0.0,0.0,0.0----------
收到其他与投资活动有关的现金14119000.0,17045000.0,1510000.0,617000.0,203944000.00.14 亿0.17 亿1.51 百万61.7 万2.04 亿
投资活动现金流入小计496257000000.0,717990000000.0,1856560000000.0,3752210000000.0,3217270000000.049.63 百亿71.8 百亿185.66 百亿375.22 百亿321.73 百亿
购建固定资产、无形资产和其他长期资产支付的现金1415480000.0,1135930000.0,1007980000.0,1465960000.0,998170000.014.15 亿11.36 亿10.08 亿14.66 亿9.98 亿
投资支付的现金536373000000.0,779486000000.0,1986630000000.0,3797320000000.0,3296140000000.053.64 百亿77.95 百亿198.66 百亿379.73 百亿329.61 百亿
取得子公司及其他营业单位支付的现金净额0.0,0.0,0.0,0.0,0.0----------
支付其他与投资活动有关的现金0.0,0.0,67264000.0,0.0,0.0----0.67 亿----
投资活动现金流出小计537789000000.0,780622000000.0,1987700000000.0,3798790000000.0,3297140000000.053.78 百亿78.06 百亿198.77 百亿379.88 百亿329.71 百亿
筹资活动产生的现金流量净额6770800000.0,33325200000.0,92919500000.0,-37803200000.0,54068900000.067.71 亿3.33 百亿9.29 百亿(3.78 百亿)5.41 百亿
吸收投资收到的现金15000000.0,3126510000.0,4824690000.0,0.0,1895250000.00.15 亿31.27 亿48.25 亿--18.95 亿
发行债券收到的现金7986500000.0,37180700000.0,133075000000.0,226940000000.0,456500000000.079.86 亿3.72 百亿13.31 百亿22.69 百亿45.65 百亿
取得借款收到的现金0.0,0.0,0.0,0.0,0.0----------
收到其他与筹资活动有关的现金0.0,0.0,0.0,0.0,0.0----------
筹资活动现金流入小计8001500000.0,40307300000.0,137900000000.0,226940000000.0,458395000000.080.02 亿4.03 百亿13.79 百亿22.69 百亿45.84 百亿
偿还债务支付的现金0.0,5000000000.0,39680700000.0,259080000000.0,395930000000.0--50.0 亿3.97 百亿25.91 百亿39.59 百亿
分配股利、利润或偿付利息支付的现金1230710000.0,1982070000.0,5299330000.0,5663220000.0,8396350000.012.31 亿19.82 亿52.99 亿56.63 亿83.96 亿
支付其他与筹资活动有关的现金0.0,0.0,0.0,0.0,0.0----------
筹资活动现金流出小计1230710000.0,6982070000.0,44980100000.0,264743000000.0,404326000000.012.31 亿69.82 亿4.5 百亿26.47 百亿40.43 百亿
汇率变动对现金的影响-71786000.0,-11437000.0,-76540000.0,-226817000.0,206786000.0(0.72 亿)(0.11 亿)(0.77 亿)(2.27 亿)2.07 亿
现金及现金等价物净增加额3904720000.0,-6541370000.0,-18736500000.0,24802300000.0,-7590820000.039.05 亿(65.41 亿)(1.87 百亿)2.48 百亿(75.91 亿)
加:期初现金及现金等价物余额48306700000.0,52211400000.0,45670000000.0,26933500000.0,51735900000.04.83 百亿5.22 百亿4.57 百亿2.69 百亿5.17 百亿
期末现金及现金等价物余额52211400000.0,45670000000.0,26933500000.0,51735900000.0,44145000000.05.22 百亿4.57 百亿2.69 百亿5.17 百亿4.41 百亿
补充资料
净利润4847260000.0,5634130000.0,6566990000.0,7822740000.0,9355720000.048.47 亿56.34 亿65.67 亿78.23 亿93.56 亿
资产减值准备1480050000.0,2521150000.0,3780860000.0,5320940000.0,6108070000.014.8 亿25.21 亿37.81 亿53.21 亿61.08 亿
固定资产折旧245341000.0,296508000.0,332382000.0,343192000.0,392775000.02.45 亿2.97 亿3.32 亿3.43 亿3.93 亿
无形资产摊销19612000.0,27130000.0,50696000.0,57752000.0,75233000.00.2 亿0.27 亿0.51 亿0.58 亿0.75 亿
长期待摊费用摊销264531000.0,0.0,0.0,0.0,437037000.02.65 亿------4.37 亿
待摊费用减少(减:增加)0.0,297828000.0,350917000.0,421364000.0,0.0--2.98 亿3.51 亿4.21 亿--
预提费用增加(减:减少)0.0,0.0,0.0,0.0,0.0----------
处置固定资产、无形资产和其他长期资产的损失14563000.0,-100000.0,-338000.0,-227000.0,8674000.00.15 亿(10.0 万)(33.8 万)(22.7 万)8.67 百万
固定资产报废损失0.0,0.0,0.0,0.0,0.0----------
公允价值变动损失154182000.0,-148680000.0,-240506000.0,-1583970000.0,5559760000.01.54 亿(1.49 亿)(2.41 亿)(15.84 亿)55.6 亿
财务费用0.0,0.0,0.0,0.0,0.0----------
投资损失-120799000.0,-164941000.0,-14465500000.0,-16923700000.0,-19709000000.0(1.21 亿)(1.65 亿)(1.45 百亿)(1.69 百亿)(1.97 百亿)
递延所得税资产减少-236359000.0,-98467000.0,-887384000.0,-229567000.0,-2541170000.0(2.36 亿)(0.98 亿)(8.87 亿)(2.3 亿)(25.41 亿)
递延所得税负债增加0.0,3868000.0,573018000.0,-6122000.0,0.0--3.87 百万5.73 亿(6.12 百万)--
存货的减少0.0,0.0,0.0,0.0,0.0----------
经营性应收项目的减少-46906000000.0,-25427000000.0,-33317500000.0,-65950000000.0,-40512000000.0(4.69 百亿)(2.54 百亿)(3.33 百亿)(6.6 百亿)(4.05 百亿)
经营性应付项目的增加78974700000.0,39834900000.0,56816900000.0,180139000000.0,58825900000.07.9 百亿3.98 百亿5.68 百亿18.01 百亿5.88 百亿
其他0.0,0.0,0.0,0.0,0.0----------
(间接法)经营活动产生的现金流量净额38737100000.0,22776300000.0,19560500000.0,109412000000.0,18001000000.03.87 百亿2.28 百亿1.96 百亿10.94 百亿1.8 百亿
经营流量净额前后对比调整项目0.0,0.0,0.0,0.0,0.0----------
债务转为资本0.0,0.0,0.0,0.0,0.0----------
一年内到期的可转换公司债券0.0,0.0,0.0,0.0,0.0----------
融资租入固定资产0.0,0.0,0.0,0.0,0.0----------
现金的期末余额0.0,0.0,0.0,0.0,0.0----------
现金的期初余额0.0,0.0,0.0,0.0,0.0----------
现金等价物的期末余额0.0,0.0,0.0,0.0,0.0----------
现金等价物的期初余额0.0,0.0,0.0,0.0,0.0----------
(间接法)现金及现金等价物净增加额0.0,0.0,0.0,0.0,0.0----------
期末现金及现金等价物余额52211400000.0,45670000000.0,26933500000.0,51735900000.0,44145000000.05.22 百亿4.57 百亿2.69 百亿5.17 百亿4.41 百亿
其中:子公司吸收少数股东投资受到的现金0.0,50000000.0,0.0,0.0,0.0--0.5 亿------
其中:子公司支付给少数股东的股利、利润或偿付的利息0.0,0.0,0.0,0.0,0.0----------
现金的期末余额0.0,0.0,0.0,0.0,0.0----------

动态
暂时还有没有动态