300185 通裕重工
2024/06 - 中期
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47,664-1.36%48,32250,36651,86535,412
投资性房地产2,962-5.52%3,1353,4813,8564,202
固定资产5,564,8344.29%5,335,7305,038,1034,918,9664,805,779
在建工程1,137,724-10.22%1,267,189707,699420,818266,547
无形资产423,307-1.60%430,190443,940454,281477,634
商誉22,2950.00%22,29542,50945,77448,866
其他非流动资产306,519-34.62%468,818354,632468,221322,968
7,505,304-0.93%7,575,6796,640,7306,363,7815,961,409

流动资产
货币资金1,306,011-10.20%1,454,3621,778,1041,017,5161,227,952
应收账款2,184,090-1.88%2,225,9142,130,9841,654,0321,488,299
存货3,320,471-0.78%3,346,4423,132,5822,427,9342,332,985
其他流动资产1,288,0688.48%1,187,3282,091,8562,007,9791,407,892
8,098,641-1.40%8,214,0469,133,5257,107,4606,457,129

流动负债
短期借款3,372,055-10.67%3,774,7054,308,2653,432,8383,161,013
应付票据574,2250.79%569,736384,966417,657371,711
应付帐款1,247,13611.44%1,119,106863,611629,901551,651
其他流动负债1,194,8764.68%1,141,4241,600,6671,793,9781,486,295
6,388,292-3.28%6,604,9717,157,5096,274,3755,570,670
流动资产净值1,710,3496.29%1,609,0751,976,016833,085886,458
资产总额减流动负债9,215,6530.34%9,184,7558,616,7477,196,8666,847,867

非流动负债
长期借款835,4638.51%769,907272,436325,11892,364
应付债券1,322,9852.05%1,296,4091,243,8790499,945
其他非流动负债76,483-7.98%83,119156,656316,247486,266
2,234,9323.98%2,149,4351,672,972641,3651,078,574

总权益
    实收股本3,896,9310.00%3,896,9313,896,8093,896,7833,267,744
    储备项目3,032,058-1.80%3,087,6122,999,5262,615,2332,299,620
股东权益6,928,989-0.80%6,984,5436,896,3356,512,0165,567,364
非控股权益51,7321.88%50,77747,44043,485201,928