002761 浙江建投
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2,144,9868.31%1,980,4021,423,512223,066347,579
投资性房地产340,020-3.83%353,563392,931370,458308,329
固定资产3,120,079-2.67%3,205,6152,679,9132,412,4722,569,905
在建工程112,412-19.05%138,873179,867329,135109,998
无形资产2,302,870-0.38%2,311,5602,262,151724,510658,097
商誉180,305-5.36%190,514176,666182,819196,115
其他非流动资产20,594,251-1.82%20,976,18521,256,07920,884,16518,491,565
28,794,924-1.24%29,156,71128,371,11925,126,62622,681,587

流动资产
货币资金7,450,389-18.60%9,153,3187,616,5227,528,1549,008,950
应收账款25,973,140-0.69%26,152,29629,158,85932,408,29427,488,432
存货4,366,0662.97%4,240,2811,180,6011,258,2891,310,189
其他流动资产53,487,9661.02%52,947,84744,953,60732,924,41426,291,602
91,277,561-1.31%92,493,74282,909,58874,119,15164,099,173

流动负债
短期借款7,800,8982.60%7,603,2515,997,1008,088,7025,700,764
应付票据799,0681.96%783,711582,2341,345,9481,751,247
应付帐款64,376,631-5.21%67,915,17460,976,93351,168,99835,183,257
其他流动负债24,148,0026.03%22,774,07523,334,00118,626,70825,600,252
97,124,599-1.97%99,076,21090,890,26879,230,35568,235,519
流动资产净值(5,847,038)-11.17%(6,582,468)(7,980,680)(5,111,204)(4,136,347)
资产总额减流动负债22,947,8861.66%22,574,24320,390,43920,015,42218,545,240

非流动负债
长期借款8,787,715-3.94%9,148,3229,462,66110,455,14910,104,792
应付债券2,457,35042.00%1,730,5320800,573800,573
其他非流动负债1,430,659-6.12%1,523,856686,497346,964302,124
12,675,7242.20%12,402,71010,149,15811,602,68611,207,489

总权益
    实收股本1,081,3430.00%1,081,3401,081,3401,081,3401,213,825
    储备项目6,798,7090.90%6,737,8697,217,6215,614,4354,603,963
股东权益7,880,0520.78%7,819,2098,298,9616,695,7755,817,788
非控股权益2,392,1111.69%2,352,3231,942,3201,716,9601,519,964