000632 三木集团
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414,501-9.93%460,185477,044445,754329,491
投资性房地产2,522,8920.00%2,522,8921,799,9621,799,8981,798,221
固定资产485,883-2.24%497,033533,195520,520516,244
在建工程335-42.83%5863528,03720,553
无形资产3,516-9.71%3,8944,3541,7422,598
商誉74,8660.00%74,866126,077137,097137,097
其他非流动资产141,588-52.10%295,604635,92792,985112,544
3,643,580-5.49%3,855,0603,576,9123,006,0332,916,749

流动资产
货币资金835,587-36.28%1,311,405997,4361,309,0081,141,102
应收账款127,088167.36%47,53499,55027,99130,658
存货2,834,200-14.02%3,296,2833,867,5104,484,3103,848,574
其他流动资产1,783,77030.58%1,366,0541,223,3951,104,3361,245,184
5,580,644-7.32%6,021,2756,187,8926,925,6456,265,519

流动负债
短期借款2,698,445-1.65%2,743,7342,398,9701,881,7192,193,599
应付票据612,45042.80%428,900862,7701,158,9031,095,645
应付帐款482,826-32.01%710,154421,204605,063612,455
其他流动负债1,516,457-23.51%1,982,5132,671,7732,182,2122,023,812
5,310,178-9.46%5,865,3016,354,7175,827,8985,925,511
流动资产净值270,46673.40%155,975(166,825)1,097,747340,008
资产总额减流动负债3,914,046-2.42%4,011,0353,410,0864,103,7813,256,756

非流动负债
长期借款1,531,0882.87%1,488,3781,120,4061,825,8511,040,941
应付债券0--0000
其他非流动负债470,724-0.16%471,473343,373336,514327,250
2,001,8122.14%1,959,8511,463,7792,162,3651,368,190

总权益
    实收股本465,5200.00%465,520465,520465,520465,520
    储备项目991,898-8.42%1,083,059968,052953,990928,458
股东权益1,457,418-5.89%1,548,5791,433,5721,419,5091,393,978
非控股权益454,817-9.51%502,605512,736521,906494,588