600143 金发科技
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927,87614.63%809,464793,493804,3341,233,994
投资性房地产1,650,675-2.69%1,696,3911,735,8431,292,88957,206
固定资产25,833,32121.65%21,235,78320,543,93012,031,28311,886,194
在建工程2,430,937-66.51%7,257,6278,228,70713,322,3008,482,556
无形资产3,758,0406.87%3,516,5173,595,6653,444,1213,046,812
商誉69,570-2.92%71,666272,496276,569333,824
其他非流动资产3,092,614-6.41%3,304,3993,110,8853,762,2113,563,669
37,763,033-0.34%37,891,84738,281,01934,933,70828,604,255

流动资产
货币资金4,472,54026.36%3,539,6603,735,0803,976,6594,047,281
应收账款8,617,3980.82%8,547,6247,318,6625,302,1175,372,732
存货7,139,153-3.66%7,410,6866,039,3645,549,3685,164,490
其他流动资产5,005,14713.52%4,408,9146,201,2155,671,8765,111,263
25,234,2375.55%23,906,88423,294,32020,500,02019,695,767

流动负债
短期借款6,668,5361.15%6,592,4285,728,4773,109,0523,319,138
应付票据1,640,114-18.27%2,006,7492,957,7161,645,2181,682,668
应付帐款6,482,279-12.97%7,447,9886,173,4605,535,6014,424,404
其他流动负债5,858,53510.17%5,317,8948,487,96010,751,3668,006,920
20,649,463-3.35%21,365,05923,347,61421,041,23617,433,130
流动资产净值4,584,77480.37%2,541,825(53,294)(541,216)2,262,637
资产总额减流动负债42,347,8074.73%40,433,67238,227,72534,392,49130,866,893

非流动负债
长期借款20,550,46510.83%18,541,56817,002,63212,957,42012,534,474
应付债券0--0000
其他非流动负债1,201,511-5.86%1,276,3233,309,9663,147,9561,613,109
21,751,9769.76%19,817,89120,312,59816,105,37614,147,582

总权益
    实收股本2,636,6130.00%2,636,6132,672,0092,657,1972,573,622
    储备项目15,580,3901.66%15,325,23213,676,86513,872,07312,413,336
股东权益18,217,0021.42%17,961,84516,348,87516,529,27014,986,958
非控股权益2,378,829-10.37%2,653,9361,566,2521,757,8461,732,352