600984 建设机械
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0--0000
投资性房地产124,8076.17%117,54945,18514,8559,455
固定资产8,077,3870.74%8,017,9897,948,4367,145,2086,288,016
在建工程280,048-41.38%477,771454,617291,219167,233
无形资产248,506-2.70%255,409263,167257,102224,371
商誉254,4670.00%254,467371,368371,3680
其他非流动资产1,337,4547.55%1,243,538985,9641,344,178993,893
10,322,669-0.42%10,366,72310,068,7379,423,9307,682,968

流动资产
货币资金1,450,62241.11%1,028,0031,244,5881,676,2672,367,373
应收账款4,692,859-0.52%4,717,4905,271,6335,048,1393,700,328
存货379,1517.42%352,972333,466413,7600
其他流动资产966,584-12.81%1,108,5531,074,3981,040,4721,387,906
7,489,2163.92%7,207,0187,924,0858,178,6377,455,607

流动负债
短期借款1,550,950-25.54%2,083,0351,921,3582,452,4861,626,627
应付票据104,761-32.32%154,786248,737770,2581,157,313
应付帐款1,313,982-9.99%1,459,8641,694,3611,730,3301,537,579
其他流动负债3,320,943-5.75%3,523,5162,333,1372,738,0961,654,047
6,290,636-12.89%7,221,2006,197,5947,691,1715,975,566
流动资产净值1,198,580-8,551.42%(14,182)1,726,491487,4671,480,041
资产总额减流动负债11,521,24911.29%10,352,54111,795,2289,911,3979,163,008

非流动负债
长期借款2,903,447-20.17%3,637,1292,507,1081,600,8901,567,034
应付债券1,013,736201.44%336,2971,970,112500,3700
其他非流动负债2,968,562165.90%1,116,4111,307,2291,710,1661,777,790
6,885,74435.28%5,089,8375,784,4493,811,4253,344,824

总权益
    实收股本1,257,0440.00%1,257,0441,257,044966,957966,957
    储备项目3,378,461-15.66%4,005,6614,752,4115,129,7214,846,890
股东权益4,635,505-11.92%5,262,7046,009,4556,096,6785,813,847
非控股权益0--01,3233,2934,337