000417 合百集团
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176,999-56.59%407,776215,130131,217126,435
投资性房地产1,788,474-6.83%1,919,5181,211,2451,010,262918,091
固定资产1,499,961-3.94%1,561,4661,651,8911,764,5811,891,908
在建工程36,83262.77%22,628535,965329,660113,767
无形资产1,025,852-2.70%1,054,3141,069,3091,106,0431,140,644
商誉3,2880.00%3,2883,2882,1202,120
其他非流动资产2,432,375-10.48%2,717,0762,379,0351,925,6702,052,972
6,963,781-9.40%7,686,0677,065,8646,269,5536,245,937

流动资产
货币资金1,238,277-20.02%1,548,2512,425,7563,445,0903,372,968
应收账款255,71728.84%198,483148,997172,909132,942
存货2,523,504-2.75%2,594,7312,556,4112,608,0582,619,849
其他流动资产1,459,31123.27%1,183,803952,690575,810521,476
5,476,809-0.88%5,525,2676,083,8546,801,8676,647,236

流动负债
短期借款121,150-6.61%129,725218,235581,396591,513
应付票据358,60721.43%295,329255,666272,447234,849
应付帐款847,950-34.48%1,294,1311,039,039856,2101,049,999
其他流动负债3,670,741-14.91%4,313,8964,442,4044,538,1774,537,412
4,998,449-17.15%6,033,0825,955,3436,248,2296,413,773
流动资产净值478,361-194.20%(507,815)128,510553,638233,463
资产总额减流动负债7,442,1423.68%7,178,2527,194,3756,823,1916,479,400

非流动负债
长期借款638,13146.10%436,781702,026581,881392,016
应付债券0--0000
其他非流动负债1,002,8480.72%995,668905,5501,032,4331,051,386
1,640,97914.56%1,432,4491,607,5761,614,3141,443,402

总权益
    实收股本779,8840.00%779,884779,884779,884779,884
    储备项目3,925,3150.13%3,920,1533,815,3663,524,6573,395,716
股东权益4,705,1990.11%4,700,0374,595,2504,304,5414,175,600
非控股权益1,095,9644.80%1,045,766991,548904,335860,398