603018 华设集团
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402,047-2.98%414,386394,635286,477166,025
投资性房地产32,516-10.25%36,23140,59555,78360,614
固定资产323,372-4.48%338,555358,444374,961387,290
在建工程66,884347.29%14,953000
无形资产61,269-3.85%63,72066,53445,09346,207
商誉103,8600.00%103,860103,860103,860103,860
其他非流动资产720,2874.71%687,855606,322495,580423,303
1,710,2353.05%1,659,5611,570,3891,361,7541,187,300

流动资产
货币资金1,286,355-39.19%2,115,5211,726,1041,709,2241,556,262
应收账款4,242,649-2.54%4,353,4184,007,9513,792,8662,970,393
存货246,514-15.85%292,933312,164375,202458,707
其他流动资产4,871,7661.68%4,791,3874,228,5543,451,8983,033,489
10,647,284-7.84%11,553,25910,274,7729,329,1898,018,851

流动负债
短期借款375,160139.18%156,855204,200303,320232,233
应付票据171,22318.42%144,58659,21516,90330,126
应付帐款3,626,680-4.07%3,780,5213,602,2973,157,3232,593,490
其他流动负债2,695,802-25.58%3,622,5373,424,4113,191,7792,887,987
6,868,864-10.85%7,704,4997,290,1246,669,3255,743,835
流动资产净值3,778,421-1.83%3,848,7602,984,6482,659,8642,275,016
资产总额减流动负债5,488,655-0.36%5,508,3204,555,0384,021,6183,462,316

非流动负债
长期借款0--0000
应付债券382,8452.86%372,212000
其他非流动负债50,723-31.08%73,60172,50834,57711,211
433,567-2.75%445,81372,50834,57711,211

总权益
    实收股本683,7920.00%683,781683,781668,621557,184
    储备项目4,275,145-0.14%4,281,1783,707,8753,209,5872,798,167
股东权益4,958,938-0.12%4,964,9584,391,6563,878,2083,355,351
非控股权益96,150-1.43%97,54990,873108,83395,754