300040 九洲集团
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896,5313.69%864,666879,007401,53053,951
投资性房地产50,688-3.75%52,66156,63259,37663,262
固定资产3,144,797-3.01%3,242,3083,456,9412,966,5952,947,262
在建工程136,76538.66%98,636344,376501,454623,777
无形资产178,089-1.37%180,557183,808185,376203,905
商誉36,3320.00%36,33262,32180,34480,344
其他非流动资产456,397-0.49%458,638372,482885,1891,486,447
4,899,598-0.69%4,933,7975,355,5665,079,8645,458,948

流动资产
货币资金329,771-7.97%358,330436,422465,166309,406
应收账款1,465,06313.64%1,289,1621,020,5091,176,5691,806,842
存货267,4163.28%258,913185,746333,313147,686
其他流动资产243,810-17.60%295,881429,247517,249795,369
2,306,0614.71%2,202,2852,071,9242,492,2973,059,303

流动负债
短期借款241,974-21.83%309,549186,715180,521208,574
应付票据47,207-35.42%73,10166,605110,264113,203
应付帐款363,575-10.65%406,916475,534543,706541,994
其他流动负债402,442-36.75%636,223437,241576,434471,033
1,055,198-25.99%1,425,7891,166,0951,410,9251,334,804
流动资产净值1,250,86361.09%776,495905,8291,081,3721,724,500
资产总额减流动负债6,150,4617.71%5,710,2926,261,3966,161,2367,183,448

非流动负债
长期借款1,802,944-6.77%1,933,9602,376,6501,384,738565,171
应付债券174,475-14.64%204,390266,374251,157235,741
其他非流动负债1,679,63649.25%1,125,394661,2201,636,1543,383,761
3,657,05512.05%3,263,7453,304,2433,272,0494,184,673

总权益
    实收股本611,8921.50%602,849587,690587,656587,646
    储备项目1,813,0201.94%1,778,5842,311,0522,249,6472,133,101
股东权益2,424,9131.83%2,381,4332,898,7422,837,3032,720,747
非控股权益68,4935.19%65,11458,41051,884278,028