603118 共进股份
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244,77018.44%206,66454,23256,15957,039
投资性房地产137,822189.15%47,66549,56451,46254,497
固定资产2,093,924-12.03%2,380,2582,410,2402,030,1152,032,215
在建工程452,92937.02%330,564260,083243,209130,860
无形资产251,141-2.31%257,073269,753267,495237,407
商誉0--0208,151477,009518,449
其他非流动资产325,548-31.95%478,415261,003150,15697,698
3,506,133-5.26%3,700,6393,513,0263,275,6063,128,165

流动资产
货币资金2,046,108-15.55%2,422,9301,575,668762,821476,203
应收账款1,540,249-7.81%1,670,6552,332,1141,956,4061,669,011
存货1,312,4714.38%1,257,3551,496,7501,549,7981,293,287
其他流动资产939,703-19.19%1,162,8971,616,4152,222,6502,169,869
5,838,531-10.37%6,513,8387,020,9466,491,6765,608,370

流动负债
短期借款336,434-75.53%1,375,0451,760,3661,677,735890,073
应付票据2,215,47864.24%1,348,960904,620626,920559,522
应付帐款1,416,036-19.66%1,762,5032,299,5612,150,3502,149,058
其他流动负债169,758-8.49%185,514334,645334,653280,655
4,137,706-11.44%4,672,0225,299,1914,789,6583,879,308
流动资产净值1,700,824-7.66%1,841,8151,721,7551,702,0171,729,062
资产总额减流动负债5,206,958-6.05%5,542,4545,234,7804,977,6234,857,227

非流动负债
长期借款113,671-65.78%332,19827,24600
应付债券0--0000
其他非流动负债45,383-40.69%76,51757,86714,594164,842
159,054-61.08%408,71585,11314,594164,842

总权益
    实收股本787,276-0.53%791,462791,128792,133775,733
    储备项目4,260,627-2.04%4,349,2704,350,4054,171,2603,912,108
股东权益5,047,904-1.81%5,140,7325,141,5334,963,3934,687,841
非控股权益0-100.00%(6,992)8,134(364)4,545