600261 阳光照明
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14,5375.79%13,74214,13214,06913,431
投资性房地产23,007-8.16%25,05027,36824,06526,152
固定资产928,309-6.54%993,2451,069,9861,136,9601,225,372
在建工程3,97175.63%2,2611,5332,66517,178
无形资产131,441-21.92%168,338189,025196,385225,587
商誉89,441-0.27%89,68285,21383,13191,381
其他非流动资产204,130-15.48%241,505332,491342,205154,808
1,394,836-9.06%1,533,8221,719,7471,799,4811,753,909

流动资产
货币资金1,364,360-24.91%1,816,9681,971,4562,034,2822,625,792
应收账款739,36918.92%621,758753,664976,384972,293
存货484,879-5.20%511,475649,965886,598843,439
其他流动资产1,170,53930.11%899,643474,396452,790282,917
3,759,147-2.36%3,849,8443,849,4804,350,0544,724,440

流动负债
短期借款84,718-29.28%119,798105,80870,80747,059
应付票据405,62114.18%355,255383,249545,555495,615
应付帐款554,230-0.58%557,451677,809891,590932,970
其他流动负债378,451-16.29%452,082512,138571,212658,474
1,423,020-4.15%1,484,5861,679,0042,079,1642,134,118
流动资产净值2,336,128-1.23%2,365,2572,170,4772,270,8892,590,322
资产总额减流动负债3,730,963-4.31%3,899,0793,890,2244,070,3704,344,231

非流动负债
长期借款43,849-35.39%67,86365,492113,008193,004
应付债券0--0000
其他非流动负债184,566-4.12%192,496210,285252,513206,608
228,415-12.27%260,359275,777365,521399,612

总权益
    实收股本1,335,053-2.92%1,375,1821,414,6601,452,1031,452,103
    储备项目2,135,208-4.44%2,234,3622,169,0132,220,6652,467,020
股东权益3,470,261-3.86%3,609,5433,583,6733,672,7683,919,123
非控股权益32,28810.66%29,17730,77432,08125,495