600660 福耀玻璃
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290,02359.76%181,538250,040228,824206,749
投资性房地产0--0000
固定资产15,554,4144.01%14,955,24314,445,87914,501,76414,260,439
在建工程5,346,90912.19%4,766,1453,133,5001,976,8172,354,298
无形资产1,527,40516.08%1,315,8621,245,4111,235,0921,270,843
商誉154,9410.00%154,941154,941154,941154,941
其他非流动资产1,711,704-0.50%1,720,3071,859,8212,004,3551,616,718
24,585,3956.46%23,094,03621,089,59120,101,79219,863,988

流动资产
货币资金19,478,5705.19%18,518,17317,019,65614,327,3568,809,986
应收账款7,172,6390.63%7,128,0165,257,5144,311,2343,734,495
存货5,545,1607.81%5,143,6155,403,3604,327,0483,280,990
其他流动资产3,322,58920.97%2,746,5671,997,3781,717,4642,734,167
35,518,9575.91%33,536,37129,677,90724,683,10218,559,637

流动负债
短期借款7,014,42229.57%5,413,5896,076,5275,925,5516,165,804
应付票据2,733,664-3.25%2,825,3872,128,4001,623,2681,166,210
应付帐款2,581,899-4.29%2,697,6002,025,3101,524,9551,299,795
其他流动负债5,806,07839.36%4,166,2237,130,1375,645,0083,499,443
18,136,06320.08%15,102,79917,360,37414,718,78212,131,253
流动资产净值17,382,894-5.70%18,433,57212,317,5349,964,3206,428,384
资产总额减流动负债41,968,2891.06%41,527,60833,407,12530,066,11226,292,372

非流动负债
长期借款8,693,4002.12%8,513,1003,007,0001,138,9401,985,000
应付债券0--001,198,7781,198,785
其他非流动负债1,658,5233.45%1,603,1861,411,8271,434,2901,517,680
10,351,9232.33%10,116,2864,418,8273,772,0084,701,465

总权益
    实收股本2,609,7440.00%2,609,7442,609,7442,609,7442,508,618
    储备项目29,018,2510.70%28,816,43826,393,26623,696,27219,085,900
股东权益31,627,9940.64%31,426,18229,003,01026,306,01621,594,518
非控股权益(11,628)-21.74%(14,859)(14,712)(11,912)(3,610)