600658 电子城
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764,4214.55%731,170796,227786,446674,134
投资性房地产3,743,79310.19%3,397,4573,123,4791,567,0101,472,995
固定资产232,99815.39%201,923203,211185,574185,759
在建工程336,66364.93%204,126120,06074,883218,430
无形资产236,260-3.73%245,410259,796275,157215,337
商誉60,0470.00%60,04760,04760,04729,824
其他非流动资产3,095,505-6.34%3,304,8932,796,9782,652,3571,026,951
8,469,6873.99%8,145,0267,359,7995,601,4743,823,431

流动资产
货币资金1,344,070-29.50%1,906,4872,877,8524,097,4183,848,160
应收账款879,4410.52%874,8561,379,200240,114513,960
存货7,123,469-7.23%7,678,3178,805,21910,443,3298,925,432
其他流动资产753,1949.13%690,155664,7651,094,287699,238
10,100,173-9.41%11,149,81513,727,03615,875,14813,986,789

流动负债
短期借款40,008--09,00001,452,805
应付票据0--0015,9800
应付帐款1,487,388-0.47%1,494,3661,972,0181,467,8001,476,536
其他流动负债3,592,3163.97%3,455,1898,518,8178,227,6753,315,575
5,119,7113.44%4,949,55510,499,8349,711,4556,244,916
流动资产净值4,980,462-19.67%6,200,2603,227,2016,163,6937,741,873
资产总额减流动负债13,450,149-6.24%14,345,28610,587,00011,765,16711,565,303

非流动负债
长期借款2,063,54765.28%1,248,503410,700725,3271,080,314
应付债券2,696,657-27.96%3,743,4931,047,4382,463,5663,086,366
其他非流动负债1,512,802-6.00%1,609,4151,258,1251,327,013133,148
6,273,007-4.97%6,601,4122,716,2634,515,9064,299,828

总权益
    实收股本1,118,5850.00%1,118,5851,118,5851,118,5851,118,585
    储备项目5,715,447-8.40%6,239,6426,407,8365,774,8765,862,611
股东权益6,834,032-7.12%7,358,2277,526,4226,893,4616,981,196
非控股权益343,110-11.03%385,648344,316355,800284,280