601011 宝泰隆
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29,635-9.56%32,76728,56336,78630,274
投资性房地产65,192-1.97%66,50564,93667,95644,500
固定资产1,428,888-3.66%1,483,1551,755,6821,842,2061,894,432
在建工程6,854,2005.85%6,475,4737,032,0246,150,2485,776,135
无形资产1,859,683-0.39%1,867,0401,851,7561,863,909866,782
商誉65,9160.00%65,916103,548103,548103,548
其他非流动资产867,95313.37%765,588409,988302,618600,247
11,171,4683.86%10,756,44611,246,49810,367,2709,315,917

流动资产
货币资金142,479-50.98%290,676204,648226,135157,111
应收账款50,425-52.42%105,97870,49453,79056,679
存货338,631-52.28%709,6871,523,9751,076,2861,177,854
其他流动资产438,466-18.83%540,207347,854256,878382,958
970,002-41.09%1,646,5482,146,9721,613,0901,774,602

流动负债
短期借款1,000,04056.40%639,409298,444343,494736,973
应付票据170,215-6.78%182,60060,00050,00050,800
应付帐款1,447,310-6.58%1,549,2181,369,6331,310,1961,238,322
其他流动负债2,100,6991.53%2,069,1411,956,3661,486,3681,110,390
4,718,2646.26%4,440,3673,684,4433,190,0583,136,485
流动资产净值(3,748,262)34.16%(2,793,818)(1,537,471)(1,576,968)(1,361,883)
资产总额减流动负债7,423,206-6.77%7,962,6279,709,0268,790,3027,954,035

非流动负债
长期借款339,000-44.24%608,000484,218785,835480,605
应付债券0--0104,147202,643290,292
其他非流动负债673,3493.16%652,704744,434770,410308,281
1,012,349-19.70%1,260,7041,332,7991,758,8881,079,178

总权益
    实收股本1,915,6650.00%1,915,6651,915,6651,604,8071,604,807
    储备项目4,003,974-6.35%4,275,3245,803,8164,745,9074,610,194
股东权益5,919,639-4.38%6,190,9897,719,4806,350,7146,215,002
非控股权益491,218-3.86%510,934656,747680,700659,855