600210 紫江企业
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245,204-24.50%324,759335,146318,166326,194
投资性房地产189,057-0.48%189,960201,197212,407223,689
固定资产3,273,51213.43%2,886,0382,660,7052,509,8772,558,268
在建工程630,4414.50%603,303413,372344,350165,862
无形资产266,0915.36%252,552248,759256,805244,856
商誉83,905-3.99%87,39694,010103,690133,791
其他非流动资产1,981,5475.35%1,880,9281,578,9211,914,8261,747,499
6,669,7597.15%6,224,9385,532,1105,660,1215,400,158

流动资产
货币资金2,328,562-9.21%2,564,8381,684,0691,723,9841,654,535
应收账款1,874,60214.20%1,641,4631,935,1141,699,8411,436,348
存货2,563,4951.51%2,525,3852,296,3692,212,7361,815,908
其他流动资产1,100,57649.19%737,692629,087862,880759,651
7,867,2355.33%7,469,3786,544,6396,499,4415,666,443

流动负债
短期借款2,068,552-9.48%2,285,2141,947,8641,979,7981,489,191
应付票据257,770-11.98%292,862318,407392,397263,807
应付帐款1,399,3285.94%1,320,9301,219,6991,238,829889,885
其他流动负债2,953,78227.45%2,317,587926,773946,2491,188,484
6,679,4317.45%6,216,5934,412,7424,557,2723,831,367
流动资产净值1,187,804-5.19%1,252,7862,131,8971,942,1691,835,076
资产总额减流动负债7,857,5635.08%7,477,7237,664,0077,602,2897,235,234

非流动负债
长期借款1,197,05629.47%924,5761,302,1251,149,9841,163,617
应付债券0--0206,845206,512206,179
其他非流动负债319,5527.31%297,783231,490301,307239,231
1,516,60824.07%1,222,3591,740,4601,657,8031,609,026

总权益
    实收股本1,516,7360.00%1,516,7361,516,7361,516,7361,516,736
    储备项目4,368,5082.73%4,252,6033,993,7054,027,6863,796,007
股东权益5,885,2442.01%5,769,3395,510,4415,544,4225,312,744
非控股权益455,711-6.24%486,025413,105400,064313,464