002217 合力泰
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0--0282,104298,004345,675
投资性房地产0--0000
固定资产270,714-4.83%284,4392,844,0433,973,5724,306,219
在建工程205,04429.00%158,950500,198667,781699,412
无形资产32,945-1.06%33,299207,758869,213711,285
商誉0--001,677,4251,927,459
其他非流动资产446,384719.79%54,451618,7803,019,6812,645,779
955,08779.82%531,1394,452,88310,505,67610,635,828

流动资产
货币资金356,35148.99%239,178706,4892,346,2753,213,168
应收账款405,75266.86%243,171695,7203,133,0774,876,675
存货302,18123.06%245,550736,7275,336,8616,696,078
其他流动资产517,472-61.48%1,343,5271,045,4911,965,0253,887,766
1,581,755-23.64%2,071,4263,184,42812,781,23818,673,686

流动负债
短期借款200-97.78%9,0123,936,0046,622,0877,172,101
应付票据25,325115.22%11,76784,1621,464,7072,136,860
应付帐款201,57512.57%179,0742,795,8682,590,9313,081,743
其他流动负债285,788-25.18%381,9535,483,6613,132,7162,818,464
512,887-11.85%581,80512,299,69513,810,44115,209,167
流动资产净值1,068,868-28.25%1,489,620(9,115,266)(1,029,203)3,464,519
资产总额减流动负债2,023,9550.16%2,020,759(4,662,383)9,476,47314,100,347

非流动负债
长期借款64,380-12.98%73,980466,4861,458,4951,211,913
应付债券0--000997,248
其他非流动负债58,954-2.27%60,3252,043,4811,497,7241,386,734
123,334-8.17%134,3062,509,9672,956,2183,595,896

总权益
    实收股本7,479,3990.00%7,479,3993,116,4163,116,4163,116,416
    储备项目(5,612,163)-0.20%(5,623,499)(10,308,290)2,369,3025,828,745
股东权益1,867,2360.61%1,855,900(7,191,874)5,485,7188,945,161
非控股权益33,3859.27%30,55419,5231,034,5371,559,290