000090 天健集团
2025/06 - 中期
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191,965-3.75%199,442184,293144,342115,148
投资性房地产2,877,7440.14%2,873,6513,190,1253,122,4603,056,968
固定资产599,865-5.64%635,741427,629487,971503,084
在建工程46,026152.93%18,19714,29834,95612,980
无形资产1,266,989-4.38%1,325,0131,425,6501,587,1421,106,543
商誉50,8100.00%50,81050,81019,45116,490
其他非流动资产5,946,317-0.40%5,970,0875,916,6753,216,5863,989,914
10,979,715-0.84%11,072,94111,209,4798,612,9078,801,128

流动资产
货币资金8,423,813-16.30%10,063,84810,718,2749,217,7168,412,266
应收账款3,247,324-2.80%3,341,0012,878,3563,176,3123,368,192
存货22,095,384-5.00%23,257,59926,446,60332,828,47428,505,119
其他流动资产15,542,288-3.87%16,167,48118,223,68515,463,21510,737,311
49,308,809-6.67%52,829,92958,266,91860,685,71751,022,889

流动负债
短期借款1,270,853369.47%270,7001,584,9414,020,6311,882,128
应付票据442,769-53.25%947,023916,973916,979313,643
应付帐款12,884,856-20.24%16,154,76618,649,98517,865,27713,814,731
其他流动负债19,066,041-1.58%19,372,49424,361,85620,289,78421,099,606
33,664,519-8.38%36,744,98345,513,75543,092,67137,110,109
流动资产净值15,644,290-2.74%16,084,94612,753,16317,593,04713,912,780
资产总额减流动负债26,624,005-1.97%27,157,88623,962,64126,205,95322,713,908

非流动负债
长期借款7,816,261-10.38%8,721,4076,805,77110,061,1679,307,995
应付债券3,577,19820.38%2,971,5181,490,7001,499,6000
其他非流动负债469,2036.57%440,263561,203557,282579,392
11,862,662-2.23%12,133,1878,857,67412,118,0499,887,386

总权益
    实收股本1,868,5450.00%1,868,5451,868,5451,868,5451,868,545
    储备项目12,492,317-1.80%12,720,95312,707,55711,845,38810,836,828
股东权益14,360,862-1.57%14,589,49814,576,10313,713,93312,705,374
非控股权益400,481-7.98%435,200528,864373,971121,148