Exemple #1
0
def cwbbzy(response, stock_code):
    '''

    :param response: 财务报表摘要的数据 str
    :param stock_code: 股票代码
    :return:
    '''
    zd_list = [
        "YEAREND_DATE", "OPERATING_RECEIPT", "COST_IN_BUSINESS",
        "OPERATING_PROFIT", "TOTAL_PROFIT", "INCOME_TAX_EXPENSE", "NET_PROFIT",
        "BASIC_PER_SHARE_PROFIT", "MONETARY_RESOURCES", "ACCOUNTS_RECEIVABLE",
        "STOCK", "TOTAL_CURRENT_ASSETS", "NET_FIXED_ASSETS", "TOTAL_ASSETS",
        "TOTAL_CURRENT_LIABILITIES", "TOTAL_NON_CURRENT_LIABILTIES",
        "TOTAL_LIABILITIES", "OWNER_S_EQUITY",
        "BALANCE_CASH_AND_CASH_EQUIVALENTS_BEGINNING_PERIOD",
        "NET_CASH_FLOW_ARISIONG_FROM_OPERATIONG_ACTIVITIES",
        "NET_CASH_FLOW_ARISIONG_FROM_INVESTMENT_ACTIVITIES",
        "NET_CASH_FLOW_ARISIONG_FROM_FINANCING_ACTIVITIES",
        "NET_INCRWASE_IN_CASH_AND_CASH_EQUICALENTS",
        "BALANCE_CASH_AND_CASH_EQUIVALENTS_END_PERIOD"
    ]
    cwbbzy_data = [{j[0]: j[1]
                    for j in i} for i in (zip(zd_list, it) for it in zip(*[
                        item.strip().split(",")[1:-1]
                        for item in response.text.strip().split("\n")
                    ]))]
    db_report_date = LmInnerReportDBMgr.get_code('lm_stock_data', stock_code,
                                                 'financial_report_date')
    if db_report_date:
        if date_turn_timestamp(db_report_date, cwbbzy_data[0]['YEAREND_DATE']):
            LmInnerReportDBMgr.save_set_result('lm_stock_data',
                                               {'code': stock_code},
                                               'report.cwbbzy', cwbbzy_data)
    else:
        LmInnerReportDBMgr.save_insert_result(
            'lm_stock_data', {
                'code': stock_code,
                'financial_report_date': cwbbzy_data[0]['YEAREND_DATE'],
                'report': {
                    'cwbbzy': cwbbzy_data
                }
            })
Exemple #2
0
def zycwzb(response, stock_code):
    '''

    :param response: 主要财务指标的数据 str
    :param stock_code: 股票代码
    :return:
    '''
    zd_list = [
        "YEAREND_DATE", "BASIC_PER_SHARE_PROFIT", "NET_ASSET_VALUE_PER_SHARE",
        "NET_CASH_FLOW_ARISIONG_FROM_OPERATING_ACTIVITIES_PER_SHARE",
        "MAIN_BUSINESS_INCOME", "MAIN_BUSINESS_PROFIT", "OPERATIONG_PROFIT",
        "INCOME_FROM_INVESTMENT", "NON_BALANCE_OF_PAYMENTS_NET_AMOUNT",
        "TOTAL_PROFIT", "NET_MARGIN",
        "NET_PROFIT_DEDUCTION_RECURRENT_PROFIT_AND_LOSS",
        "NET_AMOUNT_OPERATIONG_ACTIVITIES_CASH_FLOW",
        "NET_INCREASE_IN_CASH_AND_CASH_EQUIVALENTS", "TOTAL_ASSETS",
        "CURRENT_ASSETS", "TOTAL_LIABILITIES", "CURRENT_LIABILITIES",
        "STOCKHOLDERS_S_EQUITY_DOES_NOT_MINORITY_EQUITY",
        "NET_ASSET_YIELD_WEIGHTED"
    ]
    zycwzb_data = [{j[0]: j[1]
                    for j in i} for i in (zip(zd_list, it) for it in zip(*[
                        item.strip().split(",")[1:-1]
                        for item in response.text.strip().split("\n")
                    ]))]
    db_report_date = LmInnerReportDBMgr.get_code('lm_stock_data', stock_code,
                                                 'financial_report_date')
    if db_report_date:
        if date_turn_timestamp(db_report_date, zycwzb_data[0]['YEAREND_DATE']):
            LmInnerReportDBMgr.save_set_result('lm_stock_data',
                                               {'code': stock_code},
                                               'report.zycwzb', zycwzb_data)
    else:
        LmInnerReportDBMgr.save_insert_result(
            'lm_stock_data', {
                'code': stock_code,
                'financial_report_date': zycwzb_data[0]['YEAREND_DATE'],
                'report': {
                    'zycwzb': zycwzb_data
                }
            })
Exemple #3
0
def zcfzb(response, stock_code):
    '''

    :param response: 资产负债表的数据 str
    :param stock_code: 股票代码
    :return:
    '''
    zd_list = [
        "YEAREND_DATE",
        "CURRENCY_CAPITAL",
        "SETTLEMENT_RESERVE",
        "DEMOLITION_CAPITAL",
        "TRANSACTIONAL_ASS",
        "DERIVATIVE_ASS",
        "BILL_RECEIVABLE",
        "ACCOUNTS_RECEIVABLE",
        "ADVANCE_PAYMENT",
        "PREMIUMS_RECEIVABLE",
        "ACCOUNT_REINSURANCE_RECEIVABLE",
        "RESERVE_CONTRACT_REINSURANCE_REVEIVABLE",
        "INTEREST_DECIVABLE",
        "DIVIDEND_DECIVABLE",
        "OTHER_DECIVABLES",
        "EXPORT_REBATE_DECIVABLE",
        "SUBSIDYS_DECIVABLE",
        "CASH_DEPOSIT_AS_COLLATERAL_DECIVABLE",
        "INTERNAL_RECEIVABLE",
        "BUY_BACK_THE_SALE_OF_FINANCIAL_ASS",
        "STOCK",
        "DEFERRED_EXPENSES",
        "PENDING_CURRENT_ASSETS_PROFIT_LOSS",
        "NON_CURRENT_ASSETS_DUE_WITHIN_ONE_YEAR",
        "OTHER_CURRENT_ASSETS",
        "TOTAL_CURRENT_ASSETS",
        "LOANS_AND_ADVANCES",
        "FINANCIAL_ASSETS_AVAILABLE_FOR_SALE",
        "HOLDING_TO_MATURIY_INVESTMENT",
        "LONG_TERM_RECIVABLES",
        "LONG_TERM_EQUITY_INVESTMENT",
        "OTHER_LONG_TERM_INVESTMENT",
        "INVESTMENT_REAL_ESTATE",
        "ORIGINAL_VALUE_OF_FIXED_ASSETS",
        "ACCUMULATED_DEPRECIATION",
        "NET_VALUE_OF_FIXED_ASSETS",
        "FIXED_ASSETS_IMPAIRMENT_RESERVES",
        "FIXED_ASSETS",
        "CONSTRUCTION_IN_PROCESS",
        "ENGINEERING_MATERIALS",
        "CLEAR_OF_FIXED_ASSETS",
        "BIOLOGICAL_ASSETS",
        "PUBLIC_WELFARE_BIOLOGICAL_ASSETS",
        "OIL_AND_GAS_ASSETS",
        "IMMATERIAL_ASSETS",
        "DEVELOPMENT_AMOUNT_OF_EXPENDITURE",
        "GOODWILL",
        "LONG_TERM_PREPAID_EXPENSES",
        "RIGHT_OF_SPLIT_SHARE_CIRCULATION",
        "DEFERRED_TAX_ASSETS",
        "OTHER_NON_CURRENT_ASSETS",
        "TOTAL_NON_CURRENT_ASSETS",
        "TOTAL_ASSETS",
        "MONEY_BORROWED_FOR_SHORT_TIME",
        "BORROWING_FROM_THE_CENTRAL_BANK",
        "DEPOSIT_TAKING_AND_INTERBANK_DEPOSIT",
        "LOANS_FROM_OTHER_BANKS",
        "TRANSACTIONAL_FINANCIAL_LIABILTIES",
        "DERIVATIVE_FINANCIAL_LIABILTIES",
        "BILL_PAYABLE",
        "ACCOUNTS_PAYABLE",
        "DEPOSIT_RECEIVED",
        "FINANCIAL_ASSETS_SOLD_FOR_REPURCHASE",
        "HANDING_FEE_AND_COMMISSION",
        "SALARY_PAYABLE_TO_EMPLOYEES",
        "TAX_PAYABLE",
        "INTEREST_PAYABLE",
        "DIVIDENDS_PAYABLE",
        "OTHER_ACCOUNTS_PAYABLES",
        "MARGIN_PAYABLE",
        "INTERNAL_PAYABLES",
        "OTHER_PAYABLE",
        "ACCRUED_EXPENSES",
        "PROJECTED_CURRENT_LIABILITIES",
        "ACCOUNTS_PAYABLE_REINSURANCE",
        "INSURANCE_CONTRACT_RESERVES",
        "BUY_ANDSELL_SECURITIES_BY_PROXY",
        "ACTING_UNDERWEITING_SECURITIES",
        "INTERNATIONAL_TICKET_SETTLAEMENT",
        "DOMESTIC_TICKET_SETTLAEMENT",
        "DEFERRED_INCOME",
        "SHORT_TERM_BONDS_PAYABLE",
        "NON_CURRENT_LIABILITIES_DUE_WITHIN_ONE_YEAR",
        "OTHER_CURRENT_LIABILITIES",
        "TOTAL_CURRENT_LIABILITIES",
        "LONG_TERM_LOAN",
        "BONDS_PAYABLE",
        "LONG_TERM_PAYABLES",
        "ACCOUNT_PAYABLE_SPECIAL_FUNDS",
        "PROJECTED_NON)CURRENT_LIABILITIES",
        "LONG_TERM_DEFERRED_INCOME",
        "DEFERRED_TAX_LIABILITY",
        "OTHER_NON_CURRENT_LIABILTIES",
        "TOTAL_NON_CURRENT_LIABILTIES",
        "TOTAL_LIABILITIES",
        "PAID_IN_CAPITAL",
        "CAPITAL_SURPLUS",
        "REDUCE:STOCK_THIGH",
        "SPECIAL_RESERVE",
        "SURPLUS_PUBLIC_ACCUMULATION",
        "GENERAL_RISK_RESERVE",
        "UNCERTAIN_INVESTMENT_LOSS",
        "UNDISTRIBUTED_PROFIT",
        "QUASI_DISTRIBUTIVE_CASH)DIVIDEND",
        "CONVERSION_BALANCE_OF_FOREIGN_CURRENCY_STATEMENTS",
        "TOTAL_EQUITY_ATTRIBUTABLE_TO_SHAREHOLDERS_OF_THE_PARENT_COMPANY",
        "MINORITY_SHAREHOLDER_RIGHT_AND_INTERESTS",
        "OWNER_S_EQUITY",
        "LIABILITIES_AND_OWNER_S_EQUITY",
    ]
    zcfzb_data = [{j[0]: j[1]
                   for j in i} for i in (zip(zd_list, it) for it in zip(*[
                       item.strip().split(",")[1:-1]
                       for item in response.text.strip().split("\n")
                   ]))]

    db_report_date = LmInnerReportDBMgr.get_code('lm_stock_data', stock_code,
                                                 'financial_report_date')
    if db_report_date:
        if date_turn_timestamp(db_report_date, zcfzb_data[0]['YEAREND_DATE']):
            LmInnerReportDBMgr.save_set_result('lm_stock_data',
                                               {'code': stock_code},
                                               'report.zcfzb', zcfzb_data)
            LmInnerReportDBMgr.save_insert_result(
                'lm_stock_data', {
                    'code': stock_code,
                    'financial_report_date': zcfzb_data[0]['YEAREND_DATE'],
                })
    else:

        LmInnerReportDBMgr.save_insert_result(
            'lm_stock_data', {
                'code': stock_code,
                'financial_report_date': zcfzb_data[0]['YEAREND_DATE'],
                'report': {
                    'zcfzb': zcfzb_data
                }
            })
Exemple #4
0
def lrb(response, stock_code):
    '''

    :param response: 利润表的数据 str
    :param stock_code: 股票代码
    :return:
    '''
    zd_list = [
        "YEAREND_DATE", "GROSS_REVENUE", "OPERATIONG_RECEIPT",
        "INTEREST_REVENUE", "EARNED_PREMIUM", "POUNDAGE_AND_COMMISSION_INCOME",
        "SALES_INCOME_OF_REAL_ESTATE", "OTHER_BUSINESS_INCOME",
        "TOTAL_OPERATING_COST", "COST_IN_BUSINESS", "INTEREST_EXPENSE",
        "POUNDAGE_AND_COMMISSION_EXPENSES", "SALE_COST_OF_REAL_ESTATE",
        "RESEARCH_AND_DEV_ELOPMENT_COST", "SURRENDER_VALUE",
        "PAYMENT_NET_EXPENDITURE", "EXTRACT_INSURANCE_CONTRACT_RESERVE_NET",
        "EXPENDITURE_DIVIDEND_POLICY", "REINSURANCE_EXPENSES",
        "OTHER_BUSINESS_COSTS", "BUSINESS_TAXES_AND_SURCHARGES",
        "SELLING_EXPENSES", "MANAGEMENT_EXPENSES", "FINANCIAL_EXPENSES",
        "ASSETS_IMPAIRMENT_LOSS", "FAIR_VALUE_CHANGE_INCOME",
        "INVESTMENT_PROFIT",
        "INVESTMENT_INCOME_FOR_VENTURES_AND_JOINT_VENTURES",
        "EXCHANGE_EARNINGS", "FUTURES_PROFIT_AND_LOSS", "MANAGED_INCOME",
        "SUBSIDY_INCOME", "OTHER_BUSINESS_PROFITS", "OPERATING_PROFIT",
        "NON_BUSINESS_INCOME", "NON_BUSINESS_ESPENDITURE",
        "DISPOSAL_LOSS_OF_NON_CURRENT_ASSETS", "TOTAL_PROFIT",
        "INCOME_TAX_EXPENSE", "UNCINFIRMED_INVESTMENT_LOSS", "NET_MARGIN",
        "VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN",
        "NET_PROFIT_OF_THE_MERGED_PARTY_BEFORE_MERGER",
        "MINORITY_SHAREHOLDER_PROFIT_AND_LOSS", "BASIC_PER_SHARE_PROFIT",
        "BILUTED_EARNINGS_PER_SHARE"
    ]

    lrb_data = [{j[0]: j[1]
                 for j in i} for i in (zip(zd_list, it) for it in zip(*[
                     item.strip().split(",")[1:-1]
                     for item in response.text.strip().split("\n")
                 ]))]
    for i in range(len(lrb_data)):
        '''
        处理单季度归属母公司净利润数据
        '''
        try:
            first_data = lrb_data[i]
            second_data = lrb_data[i + 1]
            first_date_obj = get_date_object(first_data['YEAREND_DATE'])
            second_date_obj = get_date_object(second_data['YEAREND_DATE'])
            if first_date_obj.month == 3 or first_date_obj.year != second_date_obj.year:
                # 3月的库里数据就是单季度的,则直接设置新字段存入mongo
                # print('三月的数据,可直接存入库中...first: {},second: {}'.format(first_data['YEAREND_DATE'],
                #                                                     second_data['YEAREND_DATE']))
                SIGNLE_VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN = float(
                    first_data['VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN'])
            elif first_date_obj.year == second_date_obj.year and (
                    first_date_obj.month - second_date_obj.month) == 3:
                # 6月- 3月 9月 - 6月,或12月 - 9月,直接将数据做减法
                # print('month相差3个月,则做减法输出 first: {},second: {}'.format(first_data['YEAREND_DATE'],
                #                                                       second_data['YEAREND_DATE']))
                try:
                    SIGNLE_VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN = float(
                        first_data[
                            'VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN']
                    ) - float(second_data[
                        'VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN'])
                except ValueError:
                    print('净利润数据为:--,无法计算,则忽略')
                    SIGNLE_VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN = ''
            else:
                print('未上市的财报不需要处理')
                # print('有问题的数据 first:{},second:{}'.format(first_data['YEAREND_DATE'], second_data['YEAREND_DATE']))
                SIGNLE_VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN = ''
        except IndexError:
            first_data = lrb_data[i]
            # print('最后一条数据,不需要进行任何操作first: {}'.format(first_data['YEAREND_DATE']))
            SIGNLE_VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN = float(
                first_data['VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN'])
        lrb_data[i][
            'SIGNLE_VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN'] = SIGNLE_VEST_IN_PARENT_COMPANY_PROPRIETOR_NET_MARGIN
    db_report_date = LmInnerReportDBMgr.get_code('lm_stock_data', stock_code,
                                                 'financial_report_date')
    if db_report_date:
        if date_turn_timestamp(db_report_date, lrb_data[0]['YEAREND_DATE']):
            LmInnerReportDBMgr.save_set_result('lm_stock_data',
                                               {'code': stock_code},
                                               'report.lrb', lrb_data)
    else:
        LmInnerReportDBMgr.save_insert_result(
            'lm_stock_data', {
                'code': stock_code,
                'financial_report_date': lrb_data[0]['YEAREND_DATE'],
                'report': {
                    'lrb': lrb_data
                }
            })
Exemple #5
0
def xjllb(response, stock_code):
    '''

    :param response: 现金流量表的数据 str
    :param stock_code: 股票代码
    :return:
    '''
    zd_list = [
        "YEAREND_DATE", "SELLING_CASH_RECEIVED_FROM_SERVICES",
        "NET_INCREASE_IN_CUSTOMER_DEPOSITS_AND_TRADE_DEPOSITS",
        "NET_INCREASE_IN_BORROWING_FROM_THE_CENTRAL_BANK",
        "FROM_OTHER_FINANCIAL_INSTITUIONS_NET_INCREASE_OF_LOANS",
        "CASH_RECEIVED_FROM_THE_PERMIUMS_OF_THE_ORIGINAL_INSURANCE_CONTRACT",
        "RECEIPT_OF_REINSURANCE_NET_CASH",
        "INSURED_SAVINGS_AND_INVESTMENT_FUND_NET_INCREASE",
        "DISPOSAL_OF_NET_INCREASE_IN_TRANSACTION_FINANCIAL_ASSETS",
        "CASH_FOR_INTEREST,COMMISSION_AND_COMMISSION", "NET_INCREASE_OF_LOANS",
        "NET_INCREASE_IN_REPO_BUSINESS_FUNDS", "THE_TAX_AND_FEE_RECEIVED",
        "OTHER_CASH_RELATED_TO_BUSINESS_ACTIVITIES_RECEIVED",
        "CASH_INFLOWS_FROM_OPERATING_ACTIVITIES",
        "CASH_FOR_PURCHASE_OF_GOODS_AND_LABOR_SERVICES",
        "NET_INCREASE_IN_LOANS_AND_ADVANCES",
        "NET_INCREASE_OF_NET_INCREASE_OF_CENTRAL_BANK_AND_INDUSTRY",
        "CASH_PAID_FOR_THE_ORIGINAL_INSURANCE_CONTRACT",
        "CASH_FOR_PAYMENT_OF_INTEREST,COMMISSION_AND_COMMISSION",
        "CASH_PAYMENT_OF_POLICY_BONUS", "CASH_PAID_TO_WORKERS_AND_WORKERS",
        "VARIOUS_TAXES_AND_FEES_PAID",
        "OTHER_CASH_RELATED_TO_BUSIONESS_ACTIVITIES",
        "OPERATING_CASH_OUTFLOWSUBTOTAL",
        "NET_CASH_FLOW_GENERATED_BY_OPERAtiNG_ACTIVITI",
        "CASH_RECEIVED_FROM_THE_RETURN_OF_INVESTMENT",
        "CASH_RECEIVED_FROM_THE_PROCEEDS_OF_INVESTMENT",
        "NET_CASH_RECOVERED_FROM_THE_DISPOSAL_OF_FIX_ASSETS,INTANGIBLE_ASSETS_AND_OTHER_LONG_TERM_ASSETS",
        "NET_ASHT_RECEIVED_BY_THE_SUBSIDIARY_AND_OTHER_BUSINESS_UNITS",
        "OTHER_CASH_RELATED_TO_INVESTMENT_ACTIVITIES_RECEIVED",
        "REDUCTION_OF_CASH_RECEIVED_BY_PLEDGE_AND_FIX_DEPOSIT",
        "CASH_INFLOW_FROM_INVESTMENT_ACTIVITIES",
        "CASH_PAID_FOR_PURCHASE_OF_FIX_ASSETS,INTANGIBLE_ASSET_AND_OTHER_LONG_TERM_ASSET",
        "THE_CASH_PAID_BY_THE_INVESTMENT", "NET_INCREASE_IN_MORTGAGE_LOAN",
        "NET_CASH_PAID_BY_SUBSIDIARY_AND_OTHER_BUSINESS_UNITS",
        "OTHER_CASH_RELATED_TO_INVESTMENT_ACTIVITIEs",
        "INCREASE_THE_AMOUNT_OF_CASH_PAID_BY_PLEDGE_AND_FIX_DEPOSIT",
        "CASH_OUTFLOW_FOR_INVESTMENT_ACTIVITIES",
        "NET_CASH_FLOW_GENERATED_BY_INVESTMENT_ACTIVITIES",
        "CASH_RECEIVED_BY_INVESTMENT",
        "AMONG_THEM:SUBSIDIARY_COMPANY_ABSORBS_THE_CASH_RECEIVED_BY_THE_MINORITY_SHAREHOLDERS",
        "CHASH_RECEIVED_FROM_THE_LOAN",
        "CASH_RECEIVED_FROM_THE_ISSUANCE_OF_BONDS",
        "RECEIVING_OTHER_CASH_RELATED_TO_FUND_RAISING_ACTIVITIES",
        "CASH_INFLOW_FROM_FINANCING_ACTIVITIES", "CASH_IN_PAYMENT_OF_DEBT",
        "CASH_PAID_FOR_DISTRBUTION_OG_DIVIDENDS,PROFITS,OR_PAYMENT_OF_INTEREST",
        "AMONG_THEM:THE_DIVIDEND_AND_PROFIT_PAID_BY_SUBSIDIARY_TO_MINORITY_SHAREHOLDERS",
        "PAYMENT_OF_OTHER_CASH_RELATED_TO_FUND_RAISIONG_ACTIVItiES",
        "CASH_OUTFLOW_FOR_FINANCING_ACTIVITIES",
        "NET_CASH_FLOW_GENERATED_BY_FUND_RAISING_ACTIVITIES",
        "EFFECT_OF_EXCHANGE_RATE_CHANGES_ON_CASH_AND_CASH_EQUIVALENTS",
        "NET_INCREASE_IN_CASH_AND_EQUIVALENTS",
        "ADD:THE_BALANCE_OF_CASH_AND_CASH_EQUIVALENTS",
        "END_OF_TERM_CASH_AND_CASH_EQUIVALENTS_BALANCE", "NET_PROFIT",
        "PROFIT_AND_LOSS_OF_MINORITY_SHAREHOLDERS",
        "UNIDENTIFIED_INVESTMENT_LOSSES", "ASSET_IMPAIRMENT_PREPARATION",
        "FIXED_ASSETS_DEPRECIATION,DEPLETION_OF_OIL_AND_GASASSETS,DEPRECIATION_OF_PRODUCTION_MATERIALS",
        "AMORTIZATION_OF_INTANGIBLE_ASSETS",
        "AMORTIZATION_OF_LONG_TERM_APPORTIONED_EXPENSES",
        "REDUCED_COAST_OF_APPORTIONED", "AN_INCREASE_IN_THE_ADVANCE_COAST",
        "DISPOSE_OF_LOSS_OF_FIXED_ASSETS,INTANGIBLE_ASSETS_AND_OTHER_LONG_TERM_ASSETS",
        "LOSS_OF_FIXED_ASSETS", "LOSS_OF_FAIR_VALUE_CHANGE",
        "INCREASE_IN_DEFERRED_INCOME(REDUCE:REDUCTION)",
        "EXPECTED_LIABILITIES", "FINANCIAL_COST", "INVESTMENT_LOSS",
        "DEFERRED_INCOME_TAX_ASSETS",
        "INCREASE_OF_DEFERRED_INCOME_TAX_LIABILITIES",
        "REDUCTION_IN_INVENTORY",
        "REDUCTION_OF_OPERATIONAL_RECEIVABLE_PROJECTS",
        "AN_INCREASE_IN_OPERATIONAL_PROJECTS",
        "REDUCTIONG_OF_COMPLETED_UNSETTLED_PAYMENTS(REDUCE:INCREASE)",
        "AN_INCREASE_IN_THE_SETTLEMENT_OF_UNCOMPLETED_FUNDS(REDUCE:REDUCTION)",
        "OTHER", "OPERATING_ACTIVIITIES_PRODUCE_NET_CASH_FLOW",
        "DEBT_TO_CAPITAL",
        "SWITCHING_COMPANY_BONDS_THAT_EXPIRE_WITHIN_ONE_YEAR",
        "FINANCING_IS_RENTED_INTO_FIXED_ASSETS", "FINAL_BALANCE_OF_CASH",
        "INITIAL_BALANCE_OF_CASH", "FINAL_BALANCE_OF_CASH_EQUIVALENTS",
        "THE_INITIAL_BALANCE_OF_THE_CASH_EQUIVALENTS",
        "NET_INCREASE_IN_CASH_AND_CASH_EQUIVALENTS"
    ]

    xjllb_data = [{j[0]: j[1]
                   for j in i} for i in (zip(zd_list, it) for it in zip(*[
                       item.strip().split(",")[1:-1]
                       for item in response.text.strip().split("\n")
                   ]))]
    db_report_date = LmInnerReportDBMgr.get_code('lm_stock_data', stock_code,
                                                 'financial_report_date')
    if db_report_date:
        if date_turn_timestamp(db_report_date, xjllb_data[0]['YEAREND_DATE']):
            LmInnerReportDBMgr.save_set_result('lm_stock_data',
                                               {'code': stock_code},
                                               'report.xjllb', xjllb_data)
    else:
        LmInnerReportDBMgr.save_insert_result(
            'lm_stock_data', {
                'code': stock_code,
                'financial_report_date': xjllb_data[0]['YEAREND_DATE'],
                'report': {
                    'xjllb': xjllb_data
                }
            })
Exemple #6
0
def xjllb(response, stock_code):
    zd_list = [
        "YEAREND_DATE", "NET_INCREASE_IN_CUSTOMER_DEPOSITS_AND_TRADE_DEPOSITS",
        "NET_INCREASE_IN_BORROWING_FROM_THE_CENTRAL_BANK",
        "FROM_OTHER_FINANCIAL_INSTITUIONS_NET_INCREASE_OF_LOANS",
        "CASH_FOR_INTEREST,COMMISSION_AND_COMMISSION",
        "OTHER_CASH_RELATED_TO_BUSINESS_ACTIVITIES_RECEIVED",
        "CASH_INFLOWS_FROM_OPERATING_ACTIVITIES",
        "NET_INCREASE_IN_LOANS_AND_ADVANCES",
        "NET_INCREASE_OF_NET_INCREASE_OF_CENTRAL_BANK_AND_INDUSTRY",
        "CASH_PAID_TO_WORKERS_AND_WORKERS", "VARIOUS_TAXES_AND_FEES_PAID",
        "OTHER_CASH_RELATED_TO_BUSIONESS_ACTIVITIES",
        "CASH_FOR_PAYMENT_OF_INTEREST,COMMISSION_AND_COMMISSION",
        "OPERATING_CASH_OUTFLOWSUBTOTAL",
        "NET_CASH_FLOW_GENERATED_BY_OPERAtiNG_ACTIVITI",
        "CASH_RECEIVED_FROM_THE_RETURN_OF_INVESTMENT",
        "CASH_RECEIVED_FROM_THE_PROCEEDS_OF_INVESTMENT",
        "NET_CASH_RECOVERED_FROM_THE_DISPOSAL_OF_FIX_ASSETS,INTANGIBLE_ASSETS_AND_OTHER_LONG_TERM_ASSETS",
        "NET_ASHT_RECEIVED_BY_THE_SUBSIDIARY_AND_OTHER_BUSINESS_UNITS",
        "OTHER_CASH_RELATED_TO_INVESTMENT_ACTIVITIES_RECEIVED",
        "CASH_INFLOW_FROM_INVESTMENT_ACTIVITIES",
        "THE_CASH_PAID_BY_THE_INVESTMENT",
        "CASH_PAID_FOR_PURCHASE_OF_FIX_ASSETS,INTANGIBLE_ASSET_AND_OTHER_LONG_TERM_ASSET",
        "OTHER_CASH_RELATED_TO_INVESTMENT_ACTIVITIEs",
        "CASH_OUTFLOW_FOR_INVESTMENT_ACTIVITIES",
        "NET_CASH_FLOW_GENERATED_BY_INVESTMENT_ACTIVITIES",
        "CASH_RECEIVED_BY_INVESTMENT",
        "CASH_RECEIVED_FROM_THE_ISSUANCE_OF_BONDS",
        "RECEIVING_OTHER_CASH_RELATED_TO_FUND_RAISING_ACTIVITIES",
        "CASH_INFLOW_FROM_FINANCING_ACTIVITIES", "CASH_IN_PAYMENT_OF_DEBT",
        "CASH_PAID_FOR_DISTRBUTION_OG_DIVIDENDS,PROFITS,OR_PAYMENT_OF_INTEREST",
        "PAYMENT_OF_OTHER_CASH_RELATED_TO_FUND_RAISIONG_ACTIVItiES",
        "CASH_OUTFLOW_FOR_FINANCING_ACTIVITIES",
        "NET_CASH_FLOW_GENERATED_BY_FUND_RAISING_ACTIVITIES",
        "EFFECT_OF_EXCHANGE_RATE_CHANGES_ON_CASH_AND_CASH_EQUIVALENTS",
        "NET_INCREASE_IN_CASH_AND_EQUIVALENTS",
        "ADD:THE_BALANCE_OF_CASH_AND_CASH_EQUIVALENTS",
        "END_OF_TERM_CASH_AND_CASH_EQUIVALENTS_BALANCE", "NET_PROFIT",
        "PROFIT_AND_LOSS_OF_MINORITY_SHAREHOLDERS",
        "ASSET_IMPAIRMENT_PREPARATION",
        "FIXED_ASSETS_DEPRECIATION,DEPLETION_OF_OIL_AND_GASASSETS,DEPRECIATION_OF_PRODUCTION_MATERIALS",
        "AMORTIZATION_OF_INTANGIBLE_ASSETS",
        "AMORTIZATION_OF_LONG_TERM_APPORTIONED_EXPENSES",
        "DISPOSE_OF_LOSS_OF_FIXED_ASSETS,INTANGIBLE_ASSETS_AND_OTHER_LONG_TERM_ASSETS",
        "LOSS_OF_FIXED_ASSETS", "FINANCIAL_COST", "INVESTMENT_LOSS",
        "LOSS_OF_FAIR_VALUE_CHANGE", "REDUCTION_IN_INVENTORY",
        "DEFERRED_INCOME_TAX_ASSETS",
        "INCREASE_OF_DEFERRED_INCOME_TAX_LIABILITIES",
        "REDUCTION_OF_OPERATIONAL_RECEIVABLE_PROJECTS",
        "AN_INCREASE_IN_OPERATIONAL_PROJECTS", "OTHER",
        "OPERATING_ACTIVIITIES_PRODUCE_NET_CASH_FLOW", "DEBT_TO_CAPITAL",
        "SWITCHING_COMPANY_BONDS_THAT_EXPIRE_WITHIN_ONE_YEAR",
        "FINANCING_IS_RENTED_INTO_FIXED_ASSETS", "FINAL_BALANCE_OF_CASH",
        "INITIAL_BALANCE_OF_CASH", "FINAL_BALANCE_OF_CASH_EQUIVALENTS",
        "THE_INITIAL_BALANCE_OF_THE_CASH_EQUIVALENTS",
        'INCREASE_THE_AMOUNT_OF_CASH_PAID_BY_PLEDGE_AND_FIX_DEPOSIT',
        'AMONG_THEM:THE_DIVIDEND_AND_PROFIT_PAID_BY_SUBSIDIARY_TO_MINORITY_SHAREHOLDERS',
        'AMONG_THEM:SUBSIDIARY_COMPANY_ABSORBS_THE_CASH_RECEIVED_BY_THE_MINORITY_SHAREHOLDERS',
        'NET_INCREASE_IN_MORTGAGE_LOAN',
        'REDUCTIONG_OF_COMPLETED_UNSETTLED_PAYMENTS(REDUCE:INCREASE)',
        'CHASH_RECEIVED_FROM_THE_LOAN',
        'CASH_FOR_PURCHASE_OF_GOODS_AND_LABOR_SERVICES',
        'INSURED_SAVINGS_AND_INVESTMENT_FUND_NET_INCREASE',
        'UNIDENTIFIED_INVESTMENT_LOSSES', 'EXPECTED_LIABILITIES',
        'CASH_PAYMENT_OF_POLICY_BONUS', 'SELLING_CASH_RECEIVED_FROM_SERVICES',
        'AN_INCREASE_IN_THE_ADVANCE_COAST',
        'CASH_PAID_FOR_THE_ORIGINAL_INSURANCE_CONTRACT',
        'RECEIPT_OF_REINSURANCE_NET_CASH',
        'NET_INCREASE_IN_CASH_AND_CASH_EQUIVALENTS',
        'NET_CASH_PAID_BY_SUBSIDIARY_AND_OTHER_BUSINESS_UNITS',
        'REDUCED_COAST_OF_APPORTIONED',
        'AN_INCREASE_IN_THE_SETTLEMENT_OF_UNCOMPLETED_FUNDS(REDUCE:REDUCTION)',
        'INCREASE_IN_DEFERRED_INCOME(REDUCE:REDUCTION)',
        'NET_INCREASE_IN_REPO_BUSINESS_FUNDS', 'THE_TAX_AND_FEE_RECEIVED',
        'DISPOSAL_OF_NET_INCREASE_IN_TRANSACTION_FINANCIAL_ASSETS',
        'REDUCTION_OF_CASH_RECEIVED_BY_PLEDGE_AND_FIX_DEPOSIT',
        'NET_INCREASE_OF_LOANS',
        'CASH_RECEIVED_FROM_THE_PERMIUMS_OF_THE_ORIGINAL_INSURANCE_CONTRACT'
    ]
    CJ_zd_list = [
        'INCREASE_THE_AMOUNT_OF_CASH_PAID_BY_PLEDGE_AND_FIX_DEPOSIT',
        'AMONG_THEM:THE_DIVIDEND_AND_PROFIT_PAID_BY_SUBSIDIARY_TO_MINORITY_SHAREHOLDERS',
        'AMONG_THEM:SUBSIDIARY_COMPANY_ABSORBS_THE_CASH_RECEIVED_BY_THE_MINORITY_SHAREHOLDERS',
        'NET_INCREASE_IN_MORTGAGE_LOAN',
        'REDUCTIONG_OF_COMPLETED_UNSETTLED_PAYMENTS(REDUCE:INCREASE)',
        'CHASH_RECEIVED_FROM_THE_LOAN',
        'CASH_FOR_PURCHASE_OF_GOODS_AND_LABOR_SERVICES',
        'INSURED_SAVINGS_AND_INVESTMENT_FUND_NET_INCREASE',
        'UNIDENTIFIED_INVESTMENT_LOSSES', 'EXPECTED_LIABILITIES',
        'CASH_PAYMENT_OF_POLICY_BONUS', 'SELLING_CASH_RECEIVED_FROM_SERVICES',
        'AN_INCREASE_IN_THE_ADVANCE_COAST',
        'CASH_PAID_FOR_THE_ORIGINAL_INSURANCE_CONTRACT',
        'RECEIPT_OF_REINSURANCE_NET_CASH',
        'NET_INCREASE_IN_CASH_AND_CASH_EQUIVALENTS',
        'NET_CASH_PAID_BY_SUBSIDIARY_AND_OTHER_BUSINESS_UNITS',
        'REDUCED_COAST_OF_APPORTIONED',
        'AN_INCREASE_IN_THE_SETTLEMENT_OF_UNCOMPLETED_FUNDS(REDUCE:REDUCTION)',
        'INCREASE_IN_DEFERRED_INCOME(REDUCE:REDUCTION)',
        'NET_INCREASE_IN_REPO_BUSINESS_FUNDS', 'THE_TAX_AND_FEE_RECEIVED',
        'DISPOSAL_OF_NET_INCREASE_IN_TRANSACTION_FINANCIAL_ASSETS',
        'REDUCTION_OF_CASH_RECEIVED_BY_PLEDGE_AND_FIX_DEPOSIT',
        'NET_INCREASE_OF_LOANS',
        'CASH_RECEIVED_FROM_THE_PERMIUMS_OF_THE_ORIGINAL_INSURANCE_CONTRACT'
    ]
    data = response.text.strip().split("\n")
    tmp_list = []
    for i in range(len(data)):
        if i in [
                1, 2, 17, 29, 31, 33, 38, 39, 47, 51, 52, 53, 55, 56, 59, 61,
                66, 67, 68, 70, 71, 72, 73, 74, 75, 80, 81, 84, 85, 86, 90, 95
        ]:
            continue
        tmp_list.append(data[i].strip().split("\t")[1:])
    for j in range(len(CJ_zd_list)):
        tmp_list.append(["0" for c in range(len(data[0]))])
    xjllb_data = [{j[0]: j[1]
                   for j in i}
                  for i in (zip(zd_list, it) for it in list(zip(*tmp_list)))]
    db_report_date = LmInnerReportDBMgr.get_code('lm_stock_data', stock_code,
                                                 'financial_report_date')
    if db_report_date:
        if date_turn_timestamp(db_report_date, xjllb_data[0]['YEAREND_DATE']):
            LmInnerReportDBMgr.save_set_result('lm_stock_data',
                                               {'code': stock_code},
                                               'report.xjllb', xjllb_data)
    else:
        LmInnerReportDBMgr.save_insert_result(
            'lm_stock_data', {
                'code': stock_code,
                'financial_report_date': xjllb_data[0]['YEAREND_DATE'],
                'report': {
                    'xjllb': xjllb_data
                }
            })