002270 华明装备
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154,15711.34%138,45071,14820,72820,535
投资性房地产3,835-4.10%3,999000
固定资产828,983-4.18%865,146774,183815,766667,189
在建工程39,63672.43%22,987135,72025,57263,092
无形资产155,959-3.33%161,335213,495227,299207,881
商誉99,4190.00%99,41999,419103,668103,938
其他非流动资产242,861-0.18%243,287281,435321,464482,244
1,524,851-0.64%1,534,6241,575,3991,514,4971,544,878

流动资产
货币资金939,034-10.96%1,054,5961,012,096761,774443,439
应收账款947,493122.40%426,038525,956488,957659,394
存货378,1513.47%365,473306,046386,634379,671
其他流动资产618,233-45.65%1,137,4171,043,431945,2401,211,775
2,882,911-3.37%2,983,5242,887,5302,582,6052,694,278

流动负债
短期借款120,00799.86%60,046100,245323,1842,262
应付票据173,868-12.31%198,275118,065136,963122,008
应付帐款261,39739.60%187,251187,161140,286202,742
其他流动负债480,44562.87%294,984356,368242,446378,374
1,035,71639.86%740,556761,839842,879705,386
流动资产净值1,847,195-17.65%2,242,9682,125,6911,739,7261,988,893
资产总额减流动负债3,372,046-10.74%3,777,5923,701,0903,254,2243,533,770

非流动负债
长期借款90,245-59.05%220,402260,484270,201164,267
应付债券0--000726,571
其他非流动负债172,401-11.35%194,480101,943134,18624,971
262,645-36.69%414,882362,427404,387915,809

总权益
    实收股本227,2470.00%227,247227,24790,26190,261
    储备项目2,864,784-8.26%3,122,7583,106,6962,757,6892,516,512
股东权益3,092,031-7.70%3,350,0053,333,9432,847,9502,606,772
非控股权益17,37036.72%12,7054,7201,88611,189