002520 日发精机
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11,7919.71%10,7474,08816,00634,251
投资性房地产69,844-2.42%71,57775,04279,02383,176
固定资产1,391,578-8.11%1,514,3581,986,3043,135,3202,967,532
在建工程205,97319.77%171,980354,567294,701487,551
无形资产87,890-3.26%90,852105,717128,254132,802
商誉26,2560.00%26,25626,256602,327658,741
其他非流动资产163,608-20.29%205,242509,366146,02873,237
1,956,939-6.41%2,091,0113,061,3404,401,6604,437,290

流动资产
货币资金285,967-13.52%330,6631,107,911883,922357,350
应收账款279,151-24.52%369,836324,228360,729427,229
存货1,132,913-7.07%1,219,1691,155,094986,738857,079
其他流动资产297,97137.89%216,087309,260646,138262,028
1,996,003-6.54%2,135,7552,896,4932,877,5261,903,686

流动负债
短期借款477,316-22.17%613,268330,601348,547496,148
应付票据4,930-63.13%13,37134,15342,06219,130
应付帐款406,133-13.15%467,601374,900423,265335,736
其他流动负债1,583,795-6.88%1,700,8601,589,047927,816731,915
2,472,174-11.55%2,795,0992,328,7011,741,6901,582,929
流动资产净值(476,171)-27.78%(659,344)567,7921,135,836320,757
资产总额减流动负债1,480,7683.43%1,431,6673,629,1335,537,4964,758,047

非流动负债
长期借款141,861441.66%26,190898,1571,512,7421,752,502
应付债券0--0000
其他非流动负债130,776-7.06%140,707520,533511,745108,432
272,63763.36%166,8971,418,6902,024,4871,860,934

总权益
    实收股本800,2450.00%800,245800,245862,899755,381
    储备项目405,901-12.29%462,8001,409,2392,646,5422,137,986
股东权益1,206,146-4.50%1,263,0452,209,4843,509,4412,893,367
非控股权益1,98515.14%1,7249593,5683,746