600340 华夏幸福
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3,790,291-25.30%5,073,9476,014,4356,027,1475,924,308
投资性房地产2,548,876-1.11%2,577,4466,924,7118,013,2118,502,575
固定资产6,954,814-16.76%8,354,7288,645,4579,823,0718,232,313
在建工程2,500,943-10.14%2,783,0743,774,3004,063,1486,296,032
无形资产4,107,667-9.26%4,526,6674,977,5595,893,2586,767,745
商誉0--000203,676
其他非流动资产30,800,58449.87%20,551,50314,267,69114,673,90511,741,135
50,703,17515.58%43,867,36544,604,15348,493,74047,667,783

流动资产
货币资金4,619,030-28.69%6,477,66512,417,56214,437,47526,993,158
应收账款31,674,553-32.30%46,788,13152,564,73556,492,55263,142,026
存货79,887,168-3.33%82,636,193122,871,889145,280,125179,224,644
其他流动资产156,919,972-8.62%171,727,501176,182,643176,260,263171,734,748
273,100,723-11.22%307,629,490364,036,829392,470,414441,094,576

流动负债
短期借款7,630,277-8.22%8,313,3879,723,86226,748,82827,642,610
应付票据0-100.00%30,183404,8734,407,87514,455,853
应付帐款38,395,514-11.43%43,352,08550,582,58353,298,97043,085,178
其他流动负债101,732,053-2.18%103,995,684176,371,058279,531,193200,405,433
147,757,844-5.10%155,691,338237,082,376363,986,866285,589,075
流动资产净值125,342,879-17.50%151,938,152126,954,45328,483,548155,505,501
资产总额减流动负债176,046,054-10.09%195,805,518171,558,60676,977,289203,173,284

非流动负债
长期借款81,866,570-14.34%95,569,23395,414,42331,147,46764,403,143
应付债券55,469,376-11.76%62,860,12340,637,72721,246,03246,475,286
其他非流动负债16,676,1647.44%15,521,82011,156,941757,141864,860
154,012,110-11.46%173,951,176147,209,09053,150,640111,743,290

总权益
    实收股本3,893,3550.00%3,893,3553,893,3553,893,3553,913,237
    储备项目1,947,109-40.40%3,266,8765,486,8952,414,09658,066,793
股东权益5,840,464-18.43%7,160,2319,380,2506,307,45161,980,029
非控股权益16,193,48110.20%14,694,11114,969,26517,519,19729,449,965