600728 佳都科技
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1,333,8895.14%1,268,6231,130,925989,604976,323
投资性房地产57,558-1.38%58,36535,8588,0098,291
固定资产208,56934.23%155,379184,246204,405168,816
在建工程0--005,4080
无形资产443,959-17.16%535,924478,460575,856515,765
商誉187,5300.00%187,530164,895168,693164,895
其他非流动资产1,821,655-31.42%2,656,2722,971,2782,014,9672,016,860
4,053,161-16.64%4,862,0924,965,6623,966,9423,850,950

流动资产
货币资金1,374,540-27.53%1,896,7621,962,2471,223,6121,245,616
应收账款4,727,948-1.73%4,811,2073,233,0903,198,8832,623,449
存货1,329,685-20.10%1,664,2791,059,354817,725584,144
其他流动资产4,657,40348.66%3,133,0243,001,1341,977,1372,513,915
12,089,5765.08%11,505,2719,255,8267,217,3586,967,124

流动负债
短期借款336,06497.15%170,464249,238204,98811,761
应付票据3,516,319-8.82%3,856,4242,367,3941,988,5722,066,869
应付帐款2,775,962-6.81%2,978,6682,291,8891,947,3941,734,859
其他流动负债1,503,1850.14%1,501,1031,206,8161,065,366824,093
8,131,530-4.41%8,506,6606,115,3385,206,3204,637,583
流动资产净值3,958,04632.00%2,998,6113,140,4882,011,0372,329,541
资产总额减流动负债8,011,2071.91%7,860,7038,106,1505,977,9806,180,491

非流动负债
长期借款0--00235,650180,000
应付债券0--0000
其他非流动负债165,430-15.06%194,759309,404312,743295,489
165,430-15.06%194,759309,404548,393475,489

总权益
    实收股本2,132,599-0.48%2,142,8042,144,4921,759,0421,758,229
    储备项目5,643,4643.43%5,456,0945,643,5663,662,0253,909,036
股东权益7,776,0642.33%7,598,8987,788,0595,421,0675,667,265
非控股权益69,7133.98%67,0468,6888,51937,738