000905 厦门港务
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资349,143-5.17%368,195364,760352,856282,929
投资性房地产358,613-13.64%415,263266,778276,744191,376
固定资产4,959,12022.31%4,054,4494,148,5334,078,7743,811,555
在建工程78,390-92.31%1,019,188757,076647,472820,183
无形资产1,007,577-0.31%1,010,6711,033,0731,085,516993,206
商誉23,6550.00%23,65523,65523,65523,655
其他非流动资产167,864-28.77%235,652395,132264,395140,959
6,944,362-2.56%7,127,0736,989,0076,729,4136,263,864

流动资产
货币资金749,495201.75%248,383598,924878,583462,080
应收账款1,431,61811.80%1,280,4711,213,166947,4601,146,434
存货2,810,714-2.67%2,887,9432,264,4821,828,9891,489,997
其他流动资产1,797,102-1.01%1,815,502910,212859,7051,070,514
6,788,9298.93%6,232,2994,986,7844,514,7384,169,025

流动负债
短期借款345,707-34.18%525,212374,395315,221415,570
应付票据830,011-16.56%994,7201,050,338289,029601,011
应付帐款1,363,134-10.41%1,521,4541,218,7291,551,9081,258,335
其他流动负债3,305,5469.86%3,008,7612,133,5022,853,3912,475,622
5,844,398-3.40%6,050,1474,776,9645,009,5484,750,538
流动资产净值944,531418.54%182,152209,819(494,811)(581,513)
资产总额减流动负债7,888,8937.93%7,309,2257,198,8266,234,6025,682,351

非流动负债
长期借款1,102,76559.48%691,454622,492896,371877,668
应付债券0--0000
其他非流动负债394,97422.12%323,437430,692255,175207,237
1,497,74047.58%1,014,8901,053,1841,151,5471,084,905

总权益
    实收股本741,8100.00%741,810741,810625,192625,192
    储备项目4,207,7001.78%4,134,1713,996,4313,237,1102,871,391
股东权益4,949,5091.51%4,875,9804,738,2413,862,3013,496,583
非控股权益1,441,6441.64%1,418,3551,407,4001,220,7541,100,862