['id',
'code',
'pubDate',
'pe_ratio',
'turnover_ratio',
'pb_ratio',
'ps_ratio',
'pcf_ratio',
'capitalization',
'market_cap',
'circulating_cap',
'circulating_market_cap',
'day',
'pe_ratio_lyr',
'id.1',
'code.1',
'day.1',
'pubDate.1',
'statDate',
'cash_equivalents',
'settlement_provi',
'lend_capital',
'trading_assets',
'bill_receivable',
'account_receivable',
'advance_payment',
'insurance_receivables',
'reinsurance_receivables',
'reinsurance_contract_reserves_receivable',
'interest_receivable',
'dividend_receivable',
'other_receivable',
'bought_sellback_assets',
'inventories',
'non_current_asset_in_one_year',
'other_current_assets',
'total_current_assets',
'loan_and_advance',
'hold_for_sale_assets',
'hold_to_maturity_investments',
'longterm_receivable_account',
'longterm_equity_invest',
'investment_property',
'fixed_assets',
'constru_in_process',
'construction_materials',
'fixed_assets_liquidation',
'biological_assets',
'oil_gas_assets',
'intangible_assets',
'development_expenditure',
'good_will',
'long_deferred_expense',
'deferred_tax_assets',
'other_non_current_assets',
'total_non_current_assets',
'total_assets',
'shortterm_loan',
'borrowing_from_centralbank',
'deposit_in_interbank',
'borrowing_capital',
'trading_liability',
'notes_payable',
'accounts_payable',
'advance_peceipts',
'sold_buyback_secu_proceeds',
'commission_payable',
'salaries_payable',
'taxs_payable',
'interest_payable',
'dividend_payable',
'other_payable',
'reinsurance_payables',
'insurance_contract_reserves',
'proxy_secu_proceeds',
'receivings_from_vicariously_sold_securities',
'non_current_liability_in_one_year',
'other_current_liability',
'total_current_liability',
'longterm_loan',
'bonds_payable',
'longterm_account_payable',
'specific_account_payable',
'estimate_liability',
'deferred_tax_liability',
'other_non_current_liability',
'total_non_current_liability',
'total_liability',
'paidin_capital',
'capital_reserve_fund',
'treasury_stock',
'specific_reserves',
'surplus_reserve_fund',
'ordinary_risk_reserve_fund',
'retained_profit',
'foreign_currency_report_conv_diff',
'equities_parent_company_owners',
'minority_interests',
'total_owner_equities',
'total_sheet_owner_equities',
'id.2',
'code.2',
'day.2',
'pubDate.2',
'statDate.1',
'goods_sale_and_service_render_cash',
'net_deposit_increase',
'net_borrowing_from_central_bank',
'net_borrowing_from_finance_co',
'net_original_insurance_cash',
'net_cash_received_from_reinsurance_business',
'net_insurer_deposit_investment',
'net_deal_trading_assets',
'interest_and_commission_cashin',
'net_increase_in_placements',
'net_buyback',
'tax_levy_refund',
'other_cashin_related_operate',
'subtotal_operate_cash_inflow',
'goods_and_services_cash_paid',
'net_loan_and_advance_increase',
'net_deposit_in_cb_and_ib',
'original_compensation_paid',
'handling_charges_and_commission',
'policy_dividend_cash_paid',
'staff_behalf_paid',
'tax_payments',
'other_operate_cash_paid',
'subtotal_operate_cash_outflow',
'net_operate_cash_flow',
'invest_withdrawal_cash',
'invest_proceeds',
'fix_intan_other_asset_dispo_cash',
'net_cash_deal_subcompany',
'other_cash_from_invest_act',
'subtotal_invest_cash_inflow',
'fix_intan_other_asset_acqui_cash',
'invest_cash_paid',
'impawned_loan_net_increase',
'net_cash_from_sub_company',
'other_cash_to_invest_act',
'subtotal_invest_cash_outflow',
'net_invest_cash_flow',
'cash_from_invest',
'cash_from_mino_s_invest_sub',
'cash_from_borrowing',
'cash_from_bonds_issue',
'other_finance_act_cash',
'subtotal_finance_cash_inflow',
'borrowing_repayment',
'dividend_interest_payment',
'proceeds_from_sub_to_mino_s',
'other_finance_act_payment',
'subtotal_finance_cash_outflow',
'net_finance_cash_flow',
'exchange_rate_change_effect',
'cash_equivalent_increase',
'cash_equivalents_at_beginning',
'cash_and_equivalents_at_end',
'id.3',
'code.3',
'day.3',
'pubDate.3',
'statDate.2',
'total_operating_revenue',
'operating_revenue',
'interest_income',
'premiums_earned',
'commission_income',
'total_operating_cost',
'operating_cost',
'interest_expense',
'commission_expense',
'refunded_premiums',
'net_pay_insurance_claims',
'withdraw_insurance_contract_reserve',
'policy_dividend_payout',
'reinsurance_cost',
'operating_tax_surcharges',
'sale_expense',
'administration_expense',
'financial_expense',
'asset_impairment_loss',
'fair_value_variable_income',
'investment_income',
'invest_income_associates',
'exchange_income',
'operating_profit',
'non_operating_revenue',
'non_operating_expense',
'disposal_loss_non_current_liability',
'total_profit',
'income_tax_expense',
'net_profit',
'np_parent_company_owners',
'minority_profit',
'basic_eps',
'diluted_eps',
'other_composite_income',
'total_composite_income',
'ci_parent_company_owners',
'ci_minority_owners',
'id.4',
'code.4',
'day.4',
'pubDate.4',
'statDate.3',
'eps',
'adjusted_profit',
'operating_profit.1',
'value_change_profit',
'roe',
'inc_return',
'roa',
'net_profit_margin',
'gross_profit_margin',
'expense_to_total_revenue',
'operation_profit_to_total_revenue',
'net_profit_to_total_revenue',
'operating_expense_to_total_revenue',
'ga_expense_to_total_revenue',
'financing_expense_to_total_revenue',
'operating_profit_to_profit',
'invesment_profit_to_profit',
'adjusted_profit_to_profit',
'goods_sale_and_service_to_revenue',
'ocf_to_revenue',
'ocf_to_operating_profit',
'inc_total_revenue_year_on_year',
'inc_total_revenue_annual',
'inc_revenue_year_on_year',
'inc_revenue_annual',
'inc_operation_profit_year_on_year',
'inc_operation_profit_annual',
'inc_net_profit_year_on_year',
'inc_net_profit_annual',
'inc_net_profit_to_shareholders_year_on_year',
'inc_net_profit_to_shareholders_annual']
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