600410 华胜天成
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2,512,251-3.13%2,593,5312,581,0242,621,6482,982,934
投资性房地产54,443-3.05%56,158143,187146,137152,691
固定资产499,646-2.49%512,421413,214447,575444,485
在建工程0-100.00%43544,50400
无形资产461,109-15.57%546,136500,638586,241588,406
商誉48,632-1.95%49,60160,50478,36793,670
其他非流动资产715,82412.47%636,483680,180661,768744,956
4,291,906-2.34%4,394,7644,423,2524,541,7375,007,142

流动资产
货币资金937,956-9.52%1,036,602867,9801,155,3971,089,215
应收账款603,749-17.48%731,657961,806995,041957,829
存货830,04927.09%653,140535,771559,186687,218
其他流动资产1,752,388-10.41%1,955,9651,770,0501,632,1891,866,154
4,124,141-5.78%4,377,3644,135,6074,341,8124,600,417

流动负债
短期借款1,027,379-3.97%1,069,850614,021896,4321,000,624
应付票据133,789-10.29%149,142100,95753,340132,746
应付帐款971,342-8.19%1,058,0251,296,2951,103,0251,029,577
其他流动负债1,263,2426.26%1,188,7731,172,5511,133,5361,030,407
3,395,752-2.02%3,465,7903,183,8243,186,3333,193,355
流动资产净值728,389-20.10%911,575951,7831,155,4791,407,063
资产总额减流动负债5,020,295-5.39%5,306,3395,375,0355,697,2166,414,205

非流动负债
长期借款100,000-28.57%140,000126,569088,171
应付债券0--00149,196198,583
其他非流动负债186,855-15.15%220,231155,828214,959385,695
286,855-20.37%360,231282,396364,156672,449

总权益
    实收股本1,096,4950.00%1,096,4951,096,4951,098,7431,098,743
    储备项目2,989,578-6.78%3,206,8463,383,2953,569,9913,696,016
股东权益4,086,073-5.05%4,303,3414,479,7904,668,7344,794,759
非控股权益647,3670.72%642,767612,849664,326946,997