002368 太极股份
2024/06 - 中期
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293,784-1.33%297,737270,944281,098199,355
投资性房地产175,572-1.10%177,530181,444179,983183,751
固定资产1,048,486-4.62%1,099,2531,133,9751,156,6791,153,364
在建工程416,68513.45%367,294290,28449,7647,798
无形资产1,049,134-0.52%1,054,659874,526874,148760,570
商誉374,3370.00%374,337374,337374,337374,337
其他非流动资产385,4106.15%363,065450,870352,021285,769
3,743,4080.26%3,733,8733,576,3813,268,0292,964,944

流动资产
货币资金1,012,774-39.86%1,683,8912,451,4882,899,2942,756,639
应收账款4,624,056-0.64%4,653,8544,434,8744,270,5012,395,566
存货3,239,7180.59%3,220,7863,055,5723,830,5552,464,996
其他流动资产2,994,2752.97%2,908,0312,342,1232,838,0352,933,973
11,870,823-4.78%12,466,56212,284,05713,838,38510,551,175

流动负债
短期借款2,175,000144.18%890,737883,193730,736360,000
应付票据982,731-39.77%1,631,5271,558,7751,545,9861,088,842
应付帐款4,947,058-12.33%5,643,0305,402,2825,160,6483,643,873
其他流动负债1,900,699-16.13%2,266,2252,619,3324,658,7523,233,615
10,005,487-4.08%10,431,52010,463,58212,096,1228,326,329
流动资产净值1,865,335-8.34%2,035,0421,820,4751,742,2632,224,845
资产总额减流动负债5,608,743-2.78%5,768,9155,396,8565,010,2925,189,789

非流动负债
长期借款245,6005.41%233,000207,000120,000500,000
应付债券0--0643,102846,053809,473
其他非流动负债34,875-26.15%47,22554,700105,679107,894
280,4750.09%280,225904,8021,071,7321,417,367

总权益
    实收股本623,2310.00%623,231591,698579,660579,641
    储备项目4,380,052-3.78%4,551,9863,623,5253,118,6652,936,039
股东权益5,003,283-3.32%5,175,2184,215,2233,698,3253,515,680
非控股权益324,9843.67%313,472276,831240,236256,742