600067 冠城新材
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719,540-1.74%732,266657,351655,4801,012,113
投资性房地产273,926-2.05%279,666153,932166,5070
固定资产1,815,357-2.23%1,856,8061,856,6951,916,0771,313,311
在建工程30,246-31.44%44,11458,54825,385492,150
无形资产389,237-2.61%399,652413,706427,906442,234
商誉1,4140.00%1,4141,4141,4141,414
其他非流动资产2,224,5990.96%2,203,4092,193,8212,330,1312,203,404
5,454,319-1.14%5,517,3275,335,4685,522,9005,464,627

流动资产
货币资金700,229-55.33%1,567,5081,274,0691,551,113897,821
应收账款2,284,124-25.46%3,064,3533,346,6081,135,379864,902
存货9,437,303-5.62%9,998,99511,852,86614,192,03815,465,593
其他流动资产1,729,3463.16%1,676,4191,572,1921,490,9591,818,819
14,151,002-13.22%16,307,27418,045,73518,369,48819,047,136

流动负债
短期借款1,374,658-33.50%2,067,2122,654,520915,6641,091,151
应付票据216,035-13.04%248,431281,134377,354117,568
应付帐款1,723,195-9.40%1,901,9252,090,6882,186,3151,789,936
其他流动负债7,604,502-10.24%8,471,8898,521,24110,073,9087,626,599
10,918,389-13.96%12,689,45713,547,58313,553,24210,625,254
流动资产净值3,232,613-10.65%3,617,8174,498,1534,816,2468,421,882
资产总额减流动负债8,686,932-4.91%9,135,1449,833,62110,339,14613,886,509

非流动负债
长期借款751,667-23.50%982,5951,270,0201,919,9792,641,025
应付债券0--0001,727,806
其他非流动负债221,0260.23%220,515217,107210,096208,179
972,693-19.15%1,203,1101,487,1272,130,0754,577,010

总权益
    实收股本1,391,6690.00%1,391,6691,391,6691,492,1111,492,111
    储备项目5,045,114-3.03%5,202,8015,645,8605,462,0546,544,029
股东权益6,436,783-2.39%6,594,4697,037,5286,954,1658,036,140
非控股权益1,277,457-4.49%1,337,5651,308,9661,254,9071,273,359