600076 康欣新材
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0--0000
投资性房地产24,460-5.10%25,77527,52821,35313,453
固定资产869,253-6.77%932,3721,005,3871,040,6731,030,800
在建工程4,5411.86%4,4588,4195,33356,280
无形资产1,530,851-2.14%1,564,3251,607,4781,656,8831,701,098
商誉131,7830.00%131,783146,927146,927146,927
其他非流动资产156,812-8.04%170,523200,178220,221178,775
2,717,700-3.94%2,829,2362,995,9173,091,3913,127,333

流动资产
货币资金138,494-22.21%178,045335,851699,586320,052
应收账款143,79167.78%85,70321,422143,444299,041
存货3,848,271-0.13%3,853,3293,848,2103,772,5193,261,462
其他流动资产45,681-9.60%50,53149,659294,489132,329
4,176,2360.21%4,167,6084,255,1424,910,0384,012,886

流动负债
短期借款265,657-13.06%305,569861,7401,567,1261,667,000
应付票据0--00017,323
应付帐款119,806184.47%42,11642,147135,590196,872
其他流动负债1,364,0738.18%1,260,895957,335785,588529,483
1,749,5368.76%1,608,5801,861,2222,488,3042,410,678
流动资产净值2,426,700-5.17%2,559,0282,393,9202,421,7331,602,207
资产总额减流动负债5,144,400-4.53%5,388,2645,389,8375,513,1244,729,540

非流动负债
长期借款700,125-6.02%745,000520,000570,000442,300
应付债券0--00099,750
其他非流动负债130,211-35.59%202,15483,00562,336187,466
830,336-12.33%947,154603,005632,336729,516

总权益
    实收股本1,344,5430.00%1,344,5431,344,5431,344,5431,034,264
    储备项目2,874,404-4.23%3,001,4983,349,8803,491,3902,917,991
股东权益4,218,947-2.92%4,346,0424,694,4234,835,9333,952,255
非控股权益95,1160.05%95,06992,40944,85647,769