600894 广日股份
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3,007,842-11.03%3,380,6063,150,6023,479,8893,251,604
投资性房地产51,276-3.93%53,37454,17156,89959,627
固定资产1,321,992-4.47%1,383,8591,269,566974,6391,038,497
在建工程43,204-7.72%46,81639,582199,12642,989
无形资产336,525-3.70%349,442378,882171,475149,172
商誉170,0500.00%170,050170,0501,7481,748
其他非流动资产898,84710.48%813,609789,515768,186884,111
5,829,737-5.94%6,197,7545,852,3675,651,9635,427,747

流动资产
货币资金4,299,4862.33%4,201,3865,285,8743,983,7283,597,195
应收账款2,447,993-4.34%2,559,0901,917,2231,653,4091,363,375
存货1,264,92620.70%1,048,0061,079,3991,126,9521,366,234
其他流动资产788,35610.57%713,014566,463445,932452,411
8,800,7623.28%8,521,4958,848,9607,210,0226,779,215

流动负债
短期借款161,372406.25%31,87647,48565,02375,548
应付票据1,012,16912.70%898,120689,396463,854329,979
应付帐款2,558,770-5.15%2,697,6532,163,0631,931,3381,891,116
其他流动负债1,701,1020.70%1,689,2231,984,2351,393,8371,243,489
5,433,4122.19%5,316,8714,884,1793,854,0523,540,131
流动资产净值3,367,3505.08%3,204,6243,964,7813,355,9693,239,084
资产总额减流动负债9,197,086-2.18%9,402,3789,817,1489,007,9328,666,831

非流动负债
长期借款6,390-14.29%7,4557,97000
应付债券0--0000
其他非流动负债154,060-2.21%157,542164,95590,04267,980
160,450-2.76%164,997172,92490,04267,980

总权益
    实收股本851,678-2.54%873,859859,947859,947859,947
    储备项目7,764,384-2.20%7,938,7458,399,9037,881,0677,552,166
股东权益8,616,063-2.23%8,812,6049,259,8508,741,0148,412,113
非控股权益420,574-0.99%424,777384,373176,876186,738