000012 南玻A
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0--0000
投资性房地产292,7120.81%290,368290,368383,085383,085
固定资产13,530,8382.93%13,145,56911,243,2368,566,3009,145,645
在建工程5,454,00726.10%4,325,0162,520,3622,457,9821,893,381
无形资产2,393,472-3.90%2,490,5301,438,1031,167,6111,139,718
商誉8,5930.00%8,5937,897130,148233,376
其他非流动资产524,570-20.52%660,0271,077,422924,153447,874
22,204,1916.14%20,920,10416,577,38913,629,27913,243,078

流动资产
货币资金3,111,0401.11%3,076,7744,604,6082,765,9262,125,789
应收账款1,818,344-3.37%1,881,7961,179,993730,526681,467
存货1,932,56321.53%1,590,2251,783,9421,093,806815,156
其他流动资产2,843,475-1.72%2,893,1581,758,0821,716,3661,017,425
9,705,4222.79%9,441,9539,326,6246,306,6244,639,837

流动负债
短期借款645,70547.81%436,854345,000180,770352,896
应付票据2,235,8979.53%2,041,353994,557400,663144,851
应付帐款3,654,9129.38%3,341,6252,033,5431,428,8511,237,833
其他流动负债3,212,2661.74%3,157,2514,121,7081,779,6312,083,501
9,748,7818.60%8,977,0827,494,8093,789,9153,819,081
流动资产净值(43,360)-109.33%464,8711,831,8162,516,709820,756
资产总额减流动负债22,160,8313.63%21,384,97518,409,20516,145,98714,063,834

非流动负债
长期借款6,597,9836.05%6,221,6494,353,5901,469,060853,254
应付债券0--001,996,5871,994,020
其他非流动负债1,019,58862.71%626,621679,943817,013600,676
7,617,57111.23%6,848,2695,033,5334,282,6603,447,950

总权益
    实收股本3,070,6920.00%3,070,6923,070,6923,070,6923,070,692
    储备项目11,000,2750.18%10,980,1489,784,1928,356,0327,142,298
股东权益14,070,9670.14%14,050,84012,854,88411,426,72410,212,990
非控股权益472,294-2.79%485,866520,788436,603402,894