600803 新奥股份
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7,551,2102.08%7,397,5006,021,0905,995,5005,559,720
投资性房地产261,230-2.58%268,140276,320288,070260,870
固定资产62,599,7202.08%61,326,33066,128,22062,436,93048,207,030
在建工程6,488,30030.19%4,983,7204,786,1204,492,3307,823,410
无形资产7,567,420-0.75%7,624,53011,062,48010,939,3008,145,100
商誉558,0200.00%558,020573,850573,850565,010
其他非流动资产8,902,5500.35%8,871,4408,566,1809,775,9608,020,110
93,928,4503.18%91,029,68097,414,26094,501,94078,581,250

流动资产
货币资金14,554,410-12.71%16,673,4409,238,09011,506,04012,628,670
应收账款6,098,090-7.73%6,608,9406,376,0306,534,2803,805,910
存货2,427,70012.05%2,166,5702,416,6003,169,6701,998,610
其他流动资产18,131,5200.20%18,094,87020,752,46018,607,81012,509,410
41,211,720-5.36%43,543,82038,783,18039,817,80030,942,600

流动负债
短期借款13,292,44039.12%9,554,3207,560,2307,972,3409,605,120
应付票据544,570-30.32%781,480857,3701,261,080975,400
应付帐款9,583,260-10.46%10,702,81010,484,30011,995,2009,245,860
其他流动负债23,611,310-5.53%24,993,64029,766,16035,034,17031,228,470
47,031,5802.17%46,032,25048,668,06056,262,79051,054,850
流动资产净值(5,819,860)133.88%(2,488,430)(9,884,880)(16,444,990)(20,112,250)
资产总额减流动负债88,108,590-0.49%88,541,25087,529,38078,056,95058,469,000

非流动负债
长期借款8,823,8500.89%8,745,91012,112,1808,956,2304,718,040
应付债券12,663,450-1.39%12,842,34014,377,7309,840,96010,784,240
其他非流动负债8,578,8801.93%8,416,3509,477,25010,876,3807,694,920
30,066,1800.21%30,004,60035,967,16029,673,57023,197,200

总权益
    实收股本3,097,090-0.04%3,098,4003,098,6602,845,8502,599,980
    储备项目19,569,770-4.80%20,556,42014,479,46013,870,7405,532,310
股东权益22,666,860-4.18%23,654,82017,578,12016,716,5908,132,290
非控股权益35,375,5501.42%34,881,83033,984,10031,666,79027,139,510