002050 三花智控
2024/06 - 中期
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37,094-2.19%37,92432,43822,68115,220
投资性房地产7,588-7.08%8,1668,2048,53110,068
固定资产8,018,9853.73%7,730,3646,374,8964,232,7073,839,408
在建工程2,746,63034.88%2,036,3271,032,5061,343,529628,731
无形资产1,022,77921.20%843,866727,263696,391507,694
商誉6,584-2.96%6,7857,5927,59231,959
其他非流动资产1,057,720-8.47%1,155,6121,022,611737,446415,099
12,897,3819.12%11,819,0459,205,5117,048,8765,448,178

流动资产
货币资金5,222,883-20.68%6,584,6855,878,2446,707,7223,489,688
应收账款7,152,84423.88%5,773,9915,228,1173,516,2932,355,613
存货4,509,575-1.98%4,600,7294,334,8753,637,8542,307,762
其他流动资产3,318,1076.62%3,112,1353,314,4672,709,2223,431,290
20,203,4100.66%20,071,54018,755,70416,571,09111,584,353

流动负债
短期借款1,398,20015.35%1,212,1501,294,083738,191383,088
应付票据3,520,1463.03%3,416,7122,580,2751,891,5261,238,574
应付帐款5,033,86713.12%4,449,9403,884,6033,214,6982,279,662
其他流动负债1,739,733-36.51%2,740,0421,696,9622,506,538826,278
11,691,946-1.07%11,818,8449,455,9248,350,9534,727,602
流动资产净值8,511,4643.14%8,252,6969,299,7808,220,1386,856,751
资产总额减流动负债21,408,8456.66%20,071,74118,505,29015,269,01412,304,928

非流动负债
长期借款2,220,000115.37%1,030,8011,801,574801,4621,707,919
应付债券0--02,776,7632,652,0360
其他非流动负债929,962-4.84%977,232807,653562,926444,257
3,149,96256.87%2,008,0335,385,9904,016,4232,152,175

总权益
    实收股本3,732,6160.00%3,732,6163,590,8693,591,0903,591,601
    储备项目14,309,5481.04%14,161,7889,350,4417,559,2186,473,193
股东权益18,042,1630.83%17,894,40412,941,31011,150,30810,064,795
非控股权益216,72028.01%169,304177,990102,28287,958