688772 珠海冠宇
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33,97210.07%30,86527,69700
投资性房地产37,905-2.44%38,85241,14843,4450
固定资产7,759,220-1.92%7,911,4487,605,1035,757,8804,280,451
在建工程3,822,838102.83%1,884,7572,030,7311,812,2361,761,383
无形资产359,9426.17%339,038395,436325,689263,024
商誉9,0700.00%9,0709,0709,0709,070
其他非流动资产1,607,56210.73%1,451,8071,694,7781,876,3391,266,224
13,630,50916.84%11,665,83711,803,9649,824,6597,580,153

流动资产
货币资金1,970,182-27.27%2,709,0314,250,5164,248,5522,916,339
应收账款3,837,85918.73%3,232,3632,854,9772,792,4042,937,032
存货2,730,85244.32%1,892,2181,950,7762,046,9902,352,980
其他流动资产1,694,21816.54%1,453,707648,220913,690549,890
10,233,11010.18%9,287,3199,704,48910,001,6378,756,241

流动负债
短期借款1,790,398106.16%868,4541,389,463992,667910,032
应付票据1,593,80914.25%1,394,9581,892,4221,695,0131,977,742
应付帐款5,700,15038.91%4,103,3644,392,1064,006,9504,288,557
其他流动负债1,696,130-1.95%1,729,8341,799,1491,497,751889,505
10,780,48733.15%8,096,6109,473,1398,192,3808,065,836
流动资产净值(547,377)-145.97%1,190,709231,3501,809,257690,405
资产总额减流动负债13,083,1321.76%12,856,54612,035,31411,633,9168,270,558

非流动负债
长期借款1,820,234-10.43%2,032,2601,211,3561,402,5551,262,335
应付债券2,853,6081.49%2,811,7552,716,7332,619,6840
其他非流动负债701,061-6.00%745,833874,434944,052711,265
5,374,903-3.85%5,589,8484,802,5234,966,2911,973,600

总权益
    实收股本1,132,0690.42%1,127,2861,121,8571,121,8561,121,856
    储备项目6,070,1430.83%6,019,9545,852,5995,509,7535,176,288
股东权益7,202,2120.77%7,147,2406,974,4566,631,6096,298,144
非控股权益506,017323.59%119,458258,33536,015(1,187)