000008 神州高铁
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1,292,0294.06%1,241,5761,353,7001,363,3761,667,407
投资性房地产0--0000
固定资产470,217-8.35%513,064435,737412,660450,512
在建工程830,0063.01%805,722837,756746,81831,523
无形资产175,162-13.03%201,415256,650307,665334,794
商誉2,383,0810.00%2,383,0812,661,5332,939,6363,024,313
其他非流动资产601,610-5.66%637,735644,298505,2291,142,009
5,752,105-0.53%5,782,5946,189,6736,275,3846,650,559

流动资产
货币资金585,68230.77%447,878584,8161,118,180778,480
应收账款2,012,213-17.11%2,427,6612,328,8172,788,7452,976,771
存货885,07311.02%797,1851,054,9221,116,4491,083,364
其他流动资产1,184,661-1.29%1,200,1371,089,8561,086,1341,339,136
4,667,629-4.21%4,872,8625,058,4126,109,5086,177,752

流动负债
短期借款2,971,5454.57%2,841,7792,099,2943,067,6452,520,881
应付票据220,166126.03%97,40580,470147,536155,753
应付帐款1,144,405-9.69%1,267,1301,357,6931,319,688950,437
其他流动负债1,878,737-15.27%2,217,2192,351,9161,003,480958,428
6,214,853-3.25%6,423,5335,889,3745,538,3504,585,499
流动资产净值(1,547,223)-0.22%(1,550,671)(830,962)571,1581,592,253
资产总额减流动负债4,204,881-0.64%4,231,9235,358,7116,846,5428,242,812

非流动负债
长期借款428,755121.43%193,629580,106482,520462,761
应付债券0--00900,058898,772
其他非流动负债317,867-17.20%383,901298,449127,855212,701
746,62229.28%577,530878,5551,510,4331,574,234

总权益
    实收股本2,716,3780.00%2,716,3782,780,7952,780,7952,780,795
    储备项目660,201-20.98%835,4361,595,4592,421,6553,763,846
股东权益3,376,579-4.93%3,551,8144,376,2555,202,4506,544,642
非控股权益81,681-20.37%102,580103,901133,660123,936