002062 宏润建设
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1,307,2160.92%1,295,3391,249,9251,236,860994,052
投资性房地产569,53722.88%463,498388,631363,8690
固定资产1,009,835-2.02%1,030,614875,8891,038,8541,156,984
在建工程247,81558.30%156,548134,69722,5097,965
无形资产73,6285.20%69,98968,87370,57970,971
商誉0--000665
其他非流动资产718,0205.08%683,339843,5591,384,1621,298,268
3,926,0516.13%3,699,3263,561,5744,116,8343,528,906

流动资产
货币资金2,575,079-11.01%2,893,6733,015,3652,678,2042,798,055
应收账款1,798,83410.65%1,625,7641,987,9241,410,3751,213,567
存货1,516,712-20.43%1,906,1372,001,5663,290,4393,397,035
其他流动资产4,989,221-8.89%5,476,0335,818,1886,836,0486,062,661
10,879,845-8.59%11,901,60712,823,04314,215,06613,471,318

流动负债
短期借款1,235,85156.82%788,0461,481,7411,628,0281,840,556
应付票据2,000-94.74%38,00017,27061,45044,740
应付帐款6,140,409-8.15%6,685,1606,955,9657,541,2107,129,090
其他流动负债1,400,583-36.90%2,219,7862,309,8213,363,3912,730,967
8,778,843-9.78%9,730,99310,764,79612,594,07911,745,353
流动资产净值2,101,002-3.21%2,170,6142,058,2471,620,9871,725,966
资产总额减流动负债6,027,0532.68%5,869,9415,619,8215,737,8215,254,871

非流动负债
长期借款1,211,607-1.57%1,230,9491,127,8691,632,2911,419,832
应付债券0--0000
其他非流动负债101,9038.98%93,506124,269120,96331,745
1,313,510-0.83%1,324,4551,252,1381,753,2541,451,577

总权益
    实收股本1,102,5000.00%1,102,5001,102,5001,102,5001,102,500
    储备项目3,329,0442.66%3,242,9043,005,2922,740,0762,471,632
股东权益4,431,5441.98%4,345,4044,107,7923,842,5763,574,132
非控股权益281,99840.94%200,082259,891141,992229,162