603977 国泰集团
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125,313-9.92%139,118143,643147,775145,498
投资性房地产5,333-4.56%5,5886,8697,4737,072
固定资产1,579,265-3.71%1,640,047967,491910,047923,954
在建工程394,121139.74%164,395567,976575,441417,598
无形资产426,074-1.78%433,778358,328361,319376,159
商誉495,2280.00%495,228609,880609,880730,377
其他非流动资产208,9541.02%206,851205,317182,303160,988
3,234,2884.84%3,085,0052,859,5042,794,2372,761,646

流动资产
货币资金555,783-40.65%936,4761,149,766951,124451,851
应收账款926,31731.09%706,642728,340615,455567,067
存货430,24544.63%297,490283,423231,900185,991
其他流动资产1,063,34660.88%660,939385,340353,457409,045
2,975,69114.38%2,601,5482,546,8692,151,9371,613,953

流动负债
短期借款1,049,70440.73%745,914984,951818,335279,150
应付票据11,0442.10%10,81714,335259,767151,786
应付帐款428,766-3.53%444,442354,991285,629293,904
其他流动负债362,751-11.97%412,092290,918223,113269,203
1,852,26514.81%1,613,2651,645,1951,586,844994,044
流动资产净值1,123,42713.67%988,283901,674565,093619,909
资产总额减流动负债4,357,7156.98%4,073,2883,761,1783,359,3303,381,555

非流动负债
长期借款527,75757.59%334,892135,000107535
应付债券0--000259,532
其他非流动负债51,521-7.10%55,45852,14857,95452,851
579,27848.40%390,349187,14858,061312,918

总权益
    实收股本621,2420.00%621,242621,242621,242583,242
    储备项目2,726,1655.16%2,592,5102,498,1232,236,6082,011,944
股东权益3,347,4074.16%3,213,7523,119,3652,857,8492,595,186
非控股权益431,030-8.13%469,187454,666443,419473,451