002146 荣盛发展
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2,396,012-9.95%2,660,6282,827,8903,196,6383,016,089
投资性房地产1,481,424-16.88%1,782,2901,805,1121,346,9121,194,426
固定资产4,519,325-10.24%5,034,8925,531,1736,371,6746,779,559
在建工程705,4680.41%702,577700,464698,902560,991
无形资产1,403,535-3.83%1,459,3871,538,3421,696,1611,284,881
商誉155,5510.00%155,551153,445157,449157,449
其他非流动资产9,865,213-3.06%10,176,82210,236,26214,530,0738,906,997
20,526,527-6.58%21,972,14622,792,68827,997,81021,900,393

流动资产
货币资金3,174,190-39.32%5,230,8849,204,23519,698,83731,596,796
应收账款5,222,7601.56%5,142,7675,214,4466,472,8325,399,329
存货118,971,091-12.45%135,885,797168,210,587192,555,763187,562,480
其他流动资产34,910,338-7.22%37,625,80644,229,41246,050,19542,151,875
162,278,379-11.75%183,885,255226,858,679264,777,628266,710,479

流动负债
短期借款45,805-34.21%69,624461,889813,0291,969,123
应付票据0--0501,8744,430,6128,104,786
应付帐款28,261,827-1.84%28,791,48927,526,49027,549,00525,408,356
其他流动负债110,740,819-9.83%122,817,512175,940,215180,172,579152,349,338
139,048,452-8.33%151,678,625204,430,467212,965,225187,831,602
流动资产净值23,229,928-27.87%32,206,63022,428,21351,812,40378,878,877
资产总额减流动负债43,756,454-19.24%54,178,77645,220,90179,810,213100,779,270

非流动负债
长期借款8,704,671-45.72%16,036,57810,074,93422,039,36138,070,755
应付债券6,349,245-21.76%8,114,9346,558,7848,039,9809,314,101
其他非流动负债3,252,877-11.10%3,658,8273,510,6094,312,8521,633,049
18,306,793-34.17%27,810,33820,144,32734,392,19349,017,905

总权益
    实收股本4,348,1640.00%4,348,1644,348,1644,348,1644,348,164
    储备项目17,887,955-7.04%19,243,07718,942,60835,494,37641,991,365
股东权益22,236,119-5.74%23,591,24123,290,77139,842,54046,339,529
非控股权益3,213,54315.71%2,777,1971,785,8025,575,4805,421,836