600496 精工钢构
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987,9071.70%971,402998,934937,209857,263
投资性房地产22,267-11.94%25,28542,99748,10241,009
固定资产1,537,249-1.47%1,560,1051,193,113969,354899,363
在建工程34,757115.80%16,106322,614135,791154,695
无形资产343,249-5.50%363,237404,478366,215342,734
商誉315,3120.00%315,312315,312315,312315,312
其他非流动资产1,276,213-8.76%1,398,7791,435,4151,591,152826,545
4,516,953-2.87%4,650,2254,712,8634,363,1353,436,920

流动资产
货币资金4,917,5837.41%4,578,2494,424,0892,766,2013,135,515
应收账款3,400,7095.02%3,238,0722,710,2252,301,0252,057,454
存货1,682,11617.54%1,431,1061,327,2281,359,4861,087,858
其他流动资产9,632,0042.15%9,429,5788,928,3757,566,7626,126,187
19,632,4115.12%18,677,00617,389,91713,993,47412,407,015

流动负债
短期借款825,738-32.63%1,225,6651,282,5371,949,7031,784,112
应付票据4,060,82820.01%3,383,7802,793,0702,644,3252,342,377
应付帐款5,222,236-4.59%5,473,2044,737,8114,023,9022,958,972
其他流动负债2,450,6052.58%2,389,0632,465,6881,856,8981,643,272
12,559,4070.70%12,471,71211,279,10610,474,8288,728,734
流动资产净值7,073,00313.98%6,205,2936,110,8113,518,6463,678,280
资产总额减流动负债11,589,9566.77%10,855,51910,823,6747,881,7817,115,201

非流动负债
长期借款555,142118.19%254,431649,132162,2850
应付债券1,996,0242.64%1,944,7151,872,15600
其他非流动负债114,7283.06%111,325301,923163,484238,059
2,665,89415.38%2,310,4712,823,212325,769238,059

总权益
    实收股本2,012,8850.00%2,012,8842,012,8812,012,8742,012,874
    储备项目6,875,2045.79%6,499,0675,960,5225,506,3644,848,219
股东权益8,888,0894.42%8,511,9527,973,4037,519,2386,861,093
非控股权益35,9738.69%33,09627,05936,77416,048