300577 开润股份
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228,128-63.96%632,970641,003677,799426,538
投资性房地产38,934-4.91%40,94543,16445,82471,128
固定资产1,136,41399.08%570,819441,199222,292223,040
在建工程67,617-8.03%73,519110,082151,74537,132
无形资产360,661319.56%85,96287,00694,96995,819
商誉327,221290.06%83,88980,61381,34184,509
其他非流动资产287,51958.50%181,400178,969186,07192,410
2,446,49346.54%1,669,5041,582,0371,460,0421,030,576

流动资产
货币资金756,12415.76%653,178679,183847,6361,053,209
应收账款861,49945.56%591,856479,377477,446383,473
存货839,24670.19%493,137599,773533,014389,095
其他流动资产156,804-13.03%180,287176,020194,730176,135
2,613,67236.24%1,918,4581,934,3532,052,8272,001,911

流动负债
短期借款636,466112.73%299,189479,023530,394496,020
应付票据219,92622.73%179,202138,915128,48478,907
应付帐款577,54933.92%431,253361,834476,868432,011
其他流动负债460,05255.27%296,293453,708223,480163,427
1,893,99357.06%1,205,9381,433,4811,359,2271,170,366
流动资产净值719,6791.00%712,520500,873693,600831,546
资产总额减流动负债3,166,17332.92%2,382,0242,082,9102,153,6421,862,122

非流动负债
长期借款269,88022.36%220,56073,250190,7941,032
应付债券206,5974.47%197,748185,878173,744161,518
其他非流动负债116,907113.59%54,73556,45057,71263,798
593,38425.44%473,042315,578422,250226,348

总权益
    实收股本239,7930.00%239,792239,791239,789240,187
    储备项目1,879,68816.55%1,612,8041,473,6201,447,0951,340,731
股东权益2,119,48114.41%1,852,5961,713,4111,686,8851,580,918
非控股权益453,308703.95%56,38553,92244,52254,856