002456 欧菲光
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资530,8023.00%515,332500,1891,041,1841,356,698
投资性房地产322,74145.84%221,296302,09424,9060
固定资产3,225,703-1.14%3,262,9273,966,2914,942,6398,225,564
在建工程719,118-9.34%793,213858,947483,073371,028
无形资产1,038,9409.26%950,882859,7941,056,7211,880,200
商誉122,2710.00%122,271122,271122,271122,271
其他非流动资产1,570,971-16.13%1,873,0551,409,1301,847,1411,436,450
7,530,546-2.69%7,738,9768,018,7159,517,93513,392,210

流动资产
货币资金1,710,2938.62%1,574,4973,240,4973,628,4763,371,620
应收账款6,002,190-4.63%6,293,8873,804,8756,414,07711,302,305
存货3,398,86835.18%2,514,3082,222,2323,512,9724,947,188
其他流动资产2,595,96342.95%1,816,0551,051,1441,563,7261,213,739
13,707,31512.37%12,198,74710,318,74715,119,25020,834,853

流动负债
短期借款3,373,45429.20%2,611,0322,751,4281,805,7743,207,912
应付票据490,044-16.04%583,683439,399695,9791,635,451
应付帐款7,037,7624.19%6,754,6414,683,3694,217,3657,093,567
其他流动负债3,371,934-11.50%3,810,1714,347,4074,571,0434,503,929
14,273,1943.73%13,759,52712,221,60311,290,16116,440,859
流动资产净值(565,879)-63.74%(1,560,781)(1,902,855)3,829,0894,393,993
资产总额减流动负债6,964,66712.73%6,178,1956,115,86013,347,02417,786,203

非流动负债
长期借款1,421,74336.61%1,040,7281,356,2442,694,5576,809,382
应付债券0--0000
其他非流动负债1,085,10713.83%953,310770,135966,2101,979,266
2,506,85025.72%1,994,0382,126,3793,660,7678,788,648

总权益
    实收股本3,311,2081.64%3,257,8173,257,8173,262,2632,694,739
    储备项目312,390113.72%146,171(9,370)5,171,2754,762,714
股东权益3,623,5986.45%3,403,9893,248,4478,433,5397,457,454
非控股权益834,2196.93%780,168741,0331,252,7191,540,102