300296 利亚德
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150,79522.66%122,938160,517279,911301,443
投资性房地产92,5870.66%91,97982,37590,23487,512
固定资产1,499,381-2.16%1,532,5471,650,3141,493,2611,435,851
在建工程109,92027.22%86,40372,22210,6968,147
无形资产364,8050.94%361,415401,955455,696505,660
商誉135,0303.23%130,811762,552725,445932,596
其他非流动资产1,052,56411.36%945,1841,036,9421,006,247921,588
3,405,0814.09%3,271,2784,166,8784,061,4894,192,798

流动资产
货币资金2,759,9374.55%2,639,8592,214,4732,115,1042,366,336
应收账款3,011,846-8.29%3,284,1083,127,4693,148,1062,997,827
存货2,756,7050.10%2,754,0543,095,0903,285,4643,610,608
其他流动资产1,866,8045.85%1,763,5952,433,0002,283,7702,680,691
10,395,292-0.44%10,441,61510,870,03110,832,44411,655,462

流动负债
短期借款449,51534.11%335,190432,777638,502637,977
应付票据726,662-13.12%836,421737,943785,5651,020,795
应付帐款1,932,815-3.69%2,006,7972,111,4042,194,9873,022,105
其他流动负债1,817,743-5.30%1,919,5302,072,6341,994,1362,059,097
4,926,735-3.36%5,097,9385,354,7585,613,1916,739,975
流动资产净值5,468,5572.34%5,343,6785,515,2735,219,2534,915,487
资产总额减流动负债8,873,6383.00%8,614,9569,682,1519,280,7429,108,285

非流动负债
长期借款242,75435.69%178,905103,62114,006261,595
应付债券0--0720,903697,278669,533
其他非流动负债373,32929.85%287,497326,006399,824376,840
616,08332.09%466,4021,150,5301,111,1081,307,968

总权益
    实收股本2,711,9771.35%2,675,8552,529,3962,529,3962,542,901
    储备项目5,357,9632.53%5,225,8895,733,6985,515,4155,230,984
股东权益8,069,9402.13%7,901,7448,263,0948,044,8117,773,886
非控股权益187,614-23.98%246,810268,527124,82326,432