600803 新奥股份
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8,038,0003.13%7,794,3307,397,5006,021,0905,995,500
投资性房地产235,790-4.31%246,400268,140276,320288,070
固定资产62,800,820-2.15%64,180,54061,326,33066,128,22062,436,930
在建工程6,164,52010.57%5,575,3104,983,7204,786,1204,492,330
无形资产7,189,720-7.10%7,738,8507,624,53011,062,48010,939,300
商誉526,220-3.51%545,360558,020573,850573,850
其他非流动资产10,990,30013.49%9,683,9608,871,4408,566,1809,775,960
95,945,3700.19%95,764,75091,029,68097,414,26094,501,940

流动资产
货币资金16,497,32022.79%13,435,22016,673,4409,238,09011,506,040
应收账款5,246,150-17.59%6,366,2906,608,9406,376,0306,534,280
存货2,776,68019.41%2,325,2402,166,5702,416,6003,169,670
其他流动资产16,177,45010.83%14,596,00018,094,87020,752,46018,607,810
40,697,60010.82%36,722,75043,543,82038,783,18039,817,800

流动负债
短期借款15,453,53067.24%9,240,2509,554,3207,560,2307,972,340
应付票据563,380-27.80%780,340781,480857,3701,261,080
应付帐款8,906,880-11.69%10,086,17010,702,81010,484,30011,995,200
其他流动负债28,587,10022.87%23,266,41024,993,64029,766,16035,034,170
53,510,89023.37%43,373,17046,032,25048,668,06056,262,790
流动资产净值(12,813,290)92.67%(6,650,420)(2,488,430)(9,884,880)(16,444,990)
资产总额减流动负债83,132,080-6.71%89,114,33088,541,25087,529,38078,056,950

非流动负债
长期借款6,301,320-17.03%7,595,0808,745,91012,112,1808,956,230
应付债券8,214,560-35.80%12,794,34012,842,34014,377,7309,840,960
其他非流动负债6,912,520-15.51%8,181,3008,416,3509,477,25010,876,380
21,428,400-25.00%28,570,72030,004,60035,967,16029,673,570

总权益
    实收股本3,097,0900.00%3,097,0903,098,4003,098,6602,845,850
    储备项目20,634,5401.30%20,370,17020,556,42014,479,46013,870,740
股东权益23,731,6301.13%23,467,26023,654,82017,578,12016,716,590
非控股权益37,972,0502.42%37,076,35034,881,83033,984,10031,666,790