600801 华新水泥
2024/03 -
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608,07718.57%512,863438,887523,613512,281
投资性房地产0--0000
固定资产27,981,5130.83%27,752,37422,720,80521,326,03019,185,630
在建工程3,541,789-2.02%3,614,8146,575,4664,199,1413,104,429
无形资产15,588,786-2.31%15,957,83715,182,7527,377,9644,267,008
商誉794,2903.25%769,272618,543643,193476,085
其他非流动资产4,995,0020.43%4,973,5204,254,9262,352,9601,248,463
53,509,457-0.13%53,580,68049,791,37836,422,90128,793,897

流动资产
货币资金6,332,8488.26%5,849,4657,038,3428,836,4398,641,613
应收账款3,032,43734.21%2,259,4961,382,631956,580653,220
存货3,597,2473.88%3,462,9383,405,1223,541,9552,349,156
其他流动资产2,768,672-24.10%3,647,6882,624,2032,791,7423,490,623
15,731,2043.36%15,219,58814,450,29816,126,71715,134,612

流动负债
短期借款571,050-11.37%644,334593,416642,947625,000
应付票据809,723-13.44%935,466729,228670,993472,697
应付帐款7,402,145-5.43%7,827,0048,366,2837,112,3025,297,634
其他流动负债9,595,0090.71%9,527,4116,935,9584,287,2975,207,267
18,377,926-2.94%18,934,21516,624,88412,713,53911,602,597
流动资产净值(2,646,722)-28.75%(3,714,627)(2,174,586)3,413,1783,532,015
资产总额减流动负债50,862,7342.00%49,866,05347,616,79239,836,07932,325,912

非流动负债
长期借款9,410,0269.13%8,623,0207,282,0895,081,9253,504,280
应付债券3,969,4360.13%3,964,4794,426,2873,327,8611,943,763
其他非流动负债4,116,3113.33%3,983,6725,070,2362,048,4571,137,930
17,495,7735.58%16,571,17116,778,61210,458,2426,585,974

总权益
    实收股本2,078,9960.00%2,078,9962,096,6002,096,6002,096,600
    储备项目27,085,4400.86%26,853,95425,349,70524,633,31221,474,775
股东权益29,164,4360.80%28,932,95027,446,30526,729,91123,571,375
非控股权益4,202,526-3.65%4,361,9333,391,8752,647,9262,168,563