600017 日照港
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810,2181.32%799,639799,356763,180771,476
投资性房地产11,313-2.98%11,66119,93400
固定资产20,232,493-0.34%20,301,46517,377,00913,047,62312,099,329
在建工程5,458,736-4.33%5,706,0786,208,8976,241,6954,716,107
无形资产6,684,72412.67%5,932,8924,927,5004,812,0184,916,379
商誉156,1950.00%156,195156,195156,195156,195
其他非流动资产3,019,815-15.05%3,554,7144,186,5182,042,332291,350
36,373,495-0.24%36,462,64433,675,40927,063,04322,950,837

流动资产
货币资金1,375,601-4.36%1,438,3491,474,086989,503851,628
应收账款701,61734.98%519,780514,659559,255573,321
存货182,08918.01%154,306123,133126,858178,949
其他流动资产860,40716.84%736,419788,125464,238936,915
3,119,7149.51%2,848,8532,900,0042,139,8532,540,814

流动负债
短期借款2,003,501-13.79%2,323,9161,723,5801,138,8621,992,390
应付票据0--030,50052,9159,042
应付帐款869,3397.77%806,635924,498230,494170,795
其他流动负债5,692,404-13.90%6,611,5266,968,4255,528,2683,083,296
8,565,244-12.08%9,742,0769,647,0036,950,5395,255,523
流动资产净值(5,445,530)-21.00%(6,893,223)(6,747,000)(4,810,687)(2,714,710)
资产总额减流动负债30,927,9654.59%29,569,42026,928,40922,252,35720,236,127

非流动负债
长期借款10,711,04011.62%9,596,1405,829,9384,656,6734,160,123
应付债券0--00534,8311,195,431
其他非流动负债4,246,216-6.56%4,544,1873,795,8892,297,599807,802
14,957,2565.78%14,140,3279,625,8277,489,1036,163,356

总权益
    实收股本3,075,6540.00%3,075,6543,075,6543,075,6543,075,654
    储备项目10,682,0824.51%10,220,80012,413,28710,003,0389,394,205
股东权益13,757,7363.47%13,296,45415,488,94113,078,69212,469,859
非控股权益2,212,9733.77%2,132,6401,813,6411,684,5621,602,913