600979 广安爱众
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1,151,9270.70%1,143,8681,144,0711,001,766535,055
投资性房地产9,707-1.26%9,8319,0223,3410
固定资产6,401,654-0.28%6,419,9126,330,6976,175,3255,893,122
在建工程677,98119.95%565,219453,363375,499484,721
无形资产349,909-0.24%350,739326,263285,627246,254
商誉79,632-0.35%79,91280,47281,03226,306
其他非流动资产756,2502.76%735,946336,843367,091316,299
9,427,0601.31%9,305,4288,680,7318,289,6817,501,758

流动资产
货币资金797,51533.71%596,444853,349492,981628,457
应收账款469,6109.12%430,347387,149342,305255,251
存货168,75289.98%88,82476,086130,393121,488
其他流动资产359,140-12.48%410,333333,728368,326343,224
1,795,01617.63%1,525,9481,650,3111,334,0051,348,420

流动负债
短期借款169,343-33.28%253,823437,405352,348151,500
应付票据0--002,8508,600
应付帐款560,094-1.62%569,306433,842356,867379,045
其他流动负债1,085,612-14.19%1,265,1221,522,2771,469,3911,217,232
1,815,050-13.08%2,088,2502,393,5242,181,4561,756,377
流动资产净值(20,034)-96.44%(562,302)(743,212)(847,450)(407,957)
资产总额减流动负债9,407,0267.59%8,743,1257,937,5187,442,2307,093,801

非流动负债
长期借款2,634,02525.80%2,093,7831,594,726898,410997,935
应付债券311,3842.19%304,720324,688756,678604,264
其他非流动负债1,794,0423.21%1,738,3221,569,7641,437,6111,270,353
4,739,45114.57%4,136,8253,489,1783,092,6992,872,551

总权益
    实收股本1,261,6572.39%1,232,2601,232,2601,232,2601,232,260
    储备项目3,196,0911.05%3,162,7992,998,2152,885,4622,745,157
股东权益4,457,7481.43%4,395,0594,230,4754,117,7213,977,417
非控股权益209,828-0.67%211,242217,866231,810243,833