600970 中材国际
2025/09 - 九个月
人民币(K¥)
与去年末期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

非流动资产
长期股权投资2,660,7412.27%2,601,5881,215,709687,264631,806
投资性房地产689,7033.00%669,586739,188668,313252,155
固定资产6,069,1220.69%6,027,3585,097,0224,186,9802,900,973
在建工程291,93235.07%216,126576,110850,612579,416
无形资产1,027,928-3.71%1,067,5521,092,4611,114,231759,056
商誉759,4374.38%727,541782,137897,612704,078
其他非流动资产3,301,699-12.51%3,773,7755,428,8045,808,0824,427,397
14,800,563-1.88%15,083,52714,931,43114,213,09410,254,882

流动资产
货币资金6,864,026-18.92%8,465,7519,638,1438,984,2948,500,154
应收账款11,226,22413.33%9,905,64010,098,3108,201,4685,255,321
存货3,380,50438.18%2,446,4512,879,2543,058,1562,540,821
其他流动资产24,583,5887.61%22,844,48916,872,40615,610,67915,262,880
46,054,3425.48%43,662,33139,488,11335,854,59731,559,176

流动负债
短期借款3,149,63942.32%2,213,1202,025,6982,100,4041,021,487
应付票据2,097,8029.87%1,909,3311,872,6102,373,0151,849,722
应付帐款15,083,0700.02%15,079,49512,462,45910,281,5928,556,439
其他流动负债13,404,108-4.71%14,066,29313,539,59412,175,89113,527,846
33,734,6181.40%33,268,23829,900,36126,930,90224,955,494
流动资产净值12,319,72418.53%10,394,0939,587,7528,923,6956,603,681
资产总额减流动负债27,120,2876.45%25,477,61924,519,18323,136,78916,858,563

非流动负债
长期借款1,599,96047.52%1,084,6012,043,7081,810,7301,771,249
应付债券700,0000.00%700,0001,000,0001,500,000505,032
其他非流动负债923,074-2.60%947,726864,352967,917753,626
3,223,03417.96%2,732,3283,908,0604,278,6473,029,907

总权益
    实收股本2,621,820-0.76%2,642,0222,642,3172,265,6322,219,083
    储备项目19,535,7655.75%18,473,38716,453,04415,162,77111,047,958
股东权益22,157,5844.94%21,115,40919,095,36217,428,40313,267,041
非控股权益1,739,6686.74%1,629,8821,515,7611,429,740561,615