002324 普利特
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72,11816.89%61,69942,4399,85413,227
投资性房地产0--008,5650
固定资产2,027,944-3.62%2,104,1061,585,558749,671870,245
在建工程1,064,057297.40%267,753437,33749,62633,501
无形资产479,38636.94%350,078367,274126,098163,727
商誉415,075-0.51%417,213432,985190,378256,494
其他非流动资产432,791-48.21%835,690178,92241,12030,761
4,491,37011.27%4,036,5383,044,5141,175,3121,367,955

流动资产
货币资金910,814-36.61%1,436,886378,974386,838285,582
应收账款2,964,546-16.96%3,570,2032,662,5181,550,5471,355,539
存货1,871,8462.63%1,823,8041,766,772839,938678,184
其他流动资产1,378,16632.54%1,039,778755,497664,653722,229
7,125,372-9.47%7,870,6715,563,7613,441,9783,041,534

流动负债
短期借款2,858,9589.48%2,611,4892,301,3531,273,304976,042
应付票据362,245-56.93%841,035390,678110,28038,953
应付帐款1,428,969-16.68%1,715,0381,028,030393,506383,290
其他流动负债1,126,21722.71%917,763832,994172,376229,751
5,776,390-5.08%6,085,3254,553,0561,949,4671,628,035
流动资产净值1,348,982-24.44%1,785,3471,010,7041,492,5111,413,499
资产总额减流动负债5,840,3510.32%5,821,8854,055,2182,667,8232,781,454

非流动负债
长期借款841,069-20.03%1,051,752829,09303,083
应付债券0--0000
其他非流动负债241,91888.00%128,682117,98250,35741,012
1,082,987-8.26%1,180,433947,07550,35744,096

总权益
    实收股本1,114,011-0.01%1,114,1471,017,4321,014,062845,052
    储备项目3,289,3062.72%3,202,1031,821,7631,589,7201,853,226
股东权益4,403,3172.02%4,316,2502,839,1952,603,7832,698,278
非控股权益354,0478.87%325,202268,94813,68339,081