002600 领益智造
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551,9295.09%525,188672,567426,666188,277
投资性房地产41,909-12.12%47,69046,52422,53127,637
固定资产10,706,6842.75%10,419,8319,818,0129,480,5476,583,515
在建工程1,981,20588.57%1,050,674980,4941,191,840543,979
无形资产1,032,387-6.08%1,099,2241,212,4081,044,267899,822
商誉1,302,6220.00%1,302,6221,366,9071,760,8281,773,753
其他非流动资产3,664,0962.18%3,585,9522,687,6112,805,4331,524,386
19,280,8346.93%18,031,18316,784,52316,732,11111,541,368

流动资产
货币资金3,531,08317.00%3,018,1482,730,7042,865,6793,488,485
应收账款10,945,54424.86%8,766,2139,113,7208,870,7507,542,426
存货6,051,8025.67%5,727,1005,101,3605,032,1934,175,004
其他流动资产1,774,1777.81%1,645,6812,461,7032,045,9182,639,970
22,302,60616.42%19,157,14319,407,48718,814,54017,845,885

流动负债
短期借款1,563,1795.15%1,486,6712,026,5703,343,7573,000,284
应付票据466,190-13.87%541,237595,441564,196394,512
应付帐款8,615,29215.09%7,485,8216,364,1297,554,4146,880,673
其他流动负债3,965,4276.51%3,723,0584,252,3062,513,9371,538,377
14,610,08810.37%13,236,78713,238,44513,976,30511,813,847
流动资产净值7,692,51829.93%5,920,3566,169,0424,838,2356,032,037
资产总额减流动负债26,973,35212.62%23,951,53922,953,56421,570,34717,573,406

非流动负债
长期借款5,821,44446.03%3,986,3503,825,2293,924,8511,903,458
应付债券0--00313,608312,854
其他非流动负债1,697,3092.65%1,653,4121,871,4151,489,611860,842
7,518,75333.32%5,639,7625,696,6445,728,0703,077,154

总权益
    实收股本1,756,1790.00%1,756,1791,763,8221,771,9511,765,080
    储备项目17,638,6146.94%16,494,65615,402,81114,033,70612,692,045
股东权益19,394,7936.27%18,250,83517,166,63315,805,65714,457,125
非控股权益59,805-1.86%60,94190,28736,61939,127