cn-stock-finance is a paid API for AI agents from agentdatum.com, paid per call via x402, $0.01/call, status unknown (last checked 2026-09-13).
Retrieves Chinese A-share financial statements (income/profit/balance sheet/cash flow) and research report PDF links from East Money (东财) data source.
A-share Financial Reports / Research — Eastmoney A-share financial statements (revenue, net profit, balance sheet, cash flow) plus research report PDF links. Domestic sources have risk controls; uses local collection script pushed to VPS cache.
Returns A-share company financial statement data in three core tables (income statement with revenue and net profit, balance sheet with assets and liabilities, cash flow statement) plus links to available research report PDFs sourced from East Money (东方财富), served from a cached VPS layer populated by a local scraping script.
GEThttps://agentdatum.com/api/v1/d/cn-stock-financeChoose this endpoint when you need structured A-share financial statement data (income/balance sheet/cash flow) and research report PDF links for China-listed companies, particularly when sourcing from East Money (东方财富). Preferred over generic web scraping when you need reliable, cached, structured output at low cost ($0.01 per call) without handling China-specific access restrictions yourself.
{
"type": "json",
"example": {
"source": "新浪财经/东方财富 via akshare(本地采集)",
"symbol": "600519",
"data_type": "A股基本面",
"field_note": "finance_main 为历年核心财务指标(每股收益/净资产收益率/毛利率等);balance_sheet/profit_sheet 为资产负债表与利润表分期数据",
"collected_at": "2026-08-13T08:40:21Z",
"finance_main": [
{
"日期": "2022-03-31",
"非主营比重": 0.0009,
"三项费用比重": 7.2135,
"主营利润比重": 106.1746,
"投资收益率(%)": null,
"股息发放率(%)": null,
"股本报酬率(%)": 1429.0836,
"营业利润率(%)": 74.3963,
"资产报酬率(%)": 7.1436,
"销售净利率(%)": 55.5866,
"销售毛利率(%)": null,
"存货周转率(次)": 0.0734,
"净利润增长率(%)": 21.5278,
"净资产增长率(%)": 17.7646,
"净资产报酬率(%)": 8.3534,
"净资产收益率(%)": 8.34,
"总资产利润率(%)": 7.1436,
"总资产增长率(%)": 16.7661,
"主营业务利润(元)": 25493720473.86,
"加权每股收益(元)": 13.73,
"存货周转天数(天)": 1226.158,
"摊薄每股收益(元)": 14.2908,
"主营业务利润率(%)": 78.9383,
"主营业务成本率(%)": 7.6323,
"总资产净利润率(%)": 7.0891,
"成本费用利润率(%)": 262.9426,
"固定资产周转率(次)": null,
"应收账款周转率(次)": null,
"每股未分配利润(元)": 141.667,
"每股资本公积金(元)": 1.0945,
"加权净资产收益率(%)": 8.7,
"每股收益_调整后(元)": 13.73,
"应收账款周转天数(天)": null,
"每股经营性现金流(元)": -5.4737,
"主营业务收入增长率(%)": 18.4258,
"每股净资产_调整前(元)": 171.0784,
"每股净资产_调整后(元)": 164.6102,
"调整后的每股净资产(元)": null,
"扣除非经常性损益后的净利润(元)": 17243064446.83,
"扣除非经常性损益后的每股收益(元)": null
},
{
"日期": "2022-03-31",
"非主营比重": 0.0009,
"三项费用比重": 7.2135,
"主营利润比重": 106.1746,
"投资收益率(%)": null,
"股息发放率(%)": null,
"股本报酬率(%)": 1429.0836,
"营业利润率(%)": 74.3963,
"资产报酬率(%)": 7.1436,
"销售净利率(%)": 55.5866,
"销售毛利率(%)": null,
"存货周转率(次)": 0.0734,
"净利润增长率(%)": 21.5278,
"净资产增长率(%)": 17.7646,
"净资产报酬率(%)": 8.3534,
"净资产收益率(%)": 8.34,
"总资产利润率(%)": 7.1436,
"总资产增长率(%)": 16.7661,
"主营业务利润(元)": 25493720473.86,
"加权每股收益(元)": 13.73,
"存货周转天数(天)": 1226.158,
"摊薄每股收益(元)": 14.2908,
"主营业务利润率(%)": 78.9383,
"主营业务成本率(%)": 7.6323,
"总资产净利润率(%)": 7.0891,
"成本费用利润率(%)": 262.9426,
"固定资产周转率(次)": null,
"应收账款周转率(次)": null,
"每股未分配利润(元)": 141.667,
"每股资本公积金(元)": 1.0945,
"加权净资产收益率(%)": 8.7,
"每股收益_调整后(元)": 13.73,
"应收账款周转天数(天)": null,
"每股经营性现金流(元)": -5.4737,
"主营业务收入增长率(%)": 18.4258,
"每股净资产_调整前(元)": 171.0784,
"每股净资产_调整后(元)": 164.6102,
"调整后的每股净资产(元)": null,
"扣除非经常性损益后的净利润(元)": 17243064446.83,
"扣除非经常性损益后的每股收益(元)": null
}
],
"profit_sheet": [
{
"报告日": "20020930",
"退保金": null,
"其他收益": null,
"分保费用": null,
"利息支出": null,
"利息收入": null,
"利息费用": null,
"已赚保费": null,
"托管收益": null,
"投资收益": null,
"期货损益": null,
"汇兑收益": null,
"研发费用": null,
"管理费用": 154188146.5,
"营业利润": 528274143.09,
"营业成本": 230795750.63,
"营业收入": 1363886224.32,
"补贴收入": 117934,
"财务费用": -15259418.53,
"销售费用": 240365513.08,
"营业总成本": 838206793.95,
"营业总收入": 1366363003.04,
"保单红利支出": null,
"信用减值损失": null,
"其他业务利润": 2476778.72,
"其他业务成本": null,
"其他业务收入": null,
"资产减值损失": null,
"资产处置收益": null,
"赔付支出净额": null,
"净敞口套期收益": null,
"房地产销售成本": null,
"房地产销售收入": null,
"营业税金及附加": 228116802.27,
"公允价值变动收益": null,
"手续费及佣金支出": null,
"手续费及佣金收入": null,
"提取保险合同准备金净额": null,
"对联营企业和合营企业的投资收益": null,
"以摊余成本计量的金融资产终止确认产生的收益": null
},
{
"报告日": "20020930",
"退保金": null,
"其他收益": null,
"分保费用": null,
"利息支出": null,
"利息收入": null,
"利息费用": null,
"已赚保费": null,
"托管收益": null,
"投资收益": null,
"期货损益": null,
"汇兑收益": null,
"研发费用": null,
"管理费用": 154188146.5,
"营业利润": 528274143.09,
"营业成本": 230795750.63,
"营业收入": 1363886224.32,
"补贴收入": 117934,
"财务费用": -15259418.53,
"销售费用": 240365513.08,
"营业总成本": 838206793.95,
"营业总收入": 1366363003.04,
"保单红利支出": null,
"信用减值损失": null,
"其他业务利润": 2476778.72,
"其他业务成本": null,
"其他业务收入": null,
"资产减值损失": null,
"资产处置收益": null,
"赔付支出净额": null,
"净敞口套期收益": null,
"房地产销售成本": null,
"房地产销售收入": null,
"营业税金及附加": 228116802.27,
"公允价值变动收益": null,
"手续费及佣金支出": null,
"手续费及佣金收入": null,
"提取保险合同准备金净额": null,
"对联营企业和合营企业的投资收益": null,
"以摊余成本计量的金融资产终止确认产生的收益": null
}
],
"balance_sheet": [
{
"存货": 1021098759.08,
"报告日": "20020930",
"债权投资": null,
"应收保费": null,
"应收利息": null,
"应收票据": 6167260,
"应收股利": null,
"应收账款": 69269778.56,
"待摊费用": 2059993.64,
"拆出资金": null,
"流动资产": null,
"货币资金": 1677224920.04,
"预付款项": 4912526.11,
"其他应收款": 47097802.98,
"内部应收款": null,
"应收保证金": null,
"应收补贴款": 8996282.41,
"结算备付金": null,
"非流动资产": null,
"其他债权投资": null,
"其他流动资产": null,
"应收出口退税": null,
"应收分保账款": null,
"应收款项融资": null,
"投资性房地产": null,
"流动资产合计": 2836827322.82,
"衍生金融资产": null,
"长期股权投资": 4000000,
"交易性金融资产": null,
"发放贷款及垫款": null,
"其他应收款(合计)": 47097802.98,
"买入返售金融资产": null,
"可供出售金融资产": null,
"应收分保合同准备金": null,
"应收票据及应收账款": 75437038.56,
"待处理流动资产损益": null,
"划分为持有待售的资产": null,
"一年内到期的非流动资产": null,
"以摊余成本计量的金融资产": null,
"以公允价值计量且其变动计入其他综合收益的金融资产": null
},
{
"存货": 1021098759.08,
"报告日": "20020930",
"债权投资": null,
"应收保费": null,
"应收利息": null,
"应收票据": 6167260,
"应收股利": null,
"应收账款": 69269778.56,
"待摊费用": 2059993.64,
"拆出资金": null,
"流动资产": null,
"货币资金": 1677224920.04,
"预付款项": 4912526.11,
"其他应收款": 47097802.98,
"内部应收款": null,
"应收保证金": null,
"应收补贴款": 8996282.41,
"结算备付金": null,
"非流动资产": null,
"其他债权投资": null,
"其他流动资产": null,
"应收出口退税": null,
"应收分保账款": null,
"应收款项融资": null,
"投资性房地产": null,
"流动资产合计": 2836827322.82,
"衍生金融资产": null,
"长期股权投资": 4000000,
"交易性金融资产": null,
"发放贷款及垫款": null,
"其他应收款(合计)": 47097802.98,
"买入返售金融资产": null,
"可供出售金融资产": null,
"应收分保合同准备金": null,
"应收票据及应收账款": 75437038.56,
"待处理流动资产损益": null,
"划分为持有待售的资产": null,
"一年内到期的非流动资产": null,
"以摊余成本计量的金融资产": null,
"以公允价值计量且其变动计入其他综合收益的金融资产": null
}
]
}
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