601216 君正集团
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4,256,7821.04%4,212,9143,338,0214,624,2264,749,302
投资性房地产22,878-5.77%24,27928,15929,16825,014
固定资产21,594,37164.84%13,100,55612,049,26611,463,82112,136,195
在建工程1,585,758-77.94%7,189,6161,374,715289,804192,386
无形资产1,097,88126.28%869,369724,038670,576747,099
商誉1,543,534-0.76%1,555,3941,532,9011,458,8081,501,603
其他非流动资产4,601,277-17.46%5,574,3286,651,5136,580,4984,035,914
34,702,4806.69%32,526,45725,698,61225,116,90123,387,514

流动资产
货币资金4,341,2284.00%4,174,0824,810,1352,170,6854,362,938
应收账款725,4074.30%695,484980,863734,025590,313
存货1,394,93142.66%977,818939,803856,583540,131
其他流动资产2,137,19218.70%1,800,4276,425,0637,213,7084,799,253
8,598,75912.43%7,647,81113,155,86410,975,00210,292,635

流动负债
短期借款1,663,17326.32%1,316,675638,3708,0001,540,454
应付票据518,444-51.17%1,061,789831,431513,785245,229
应付帐款4,497,742-4.37%4,703,4742,686,0261,791,3541,530,212
其他流动负债3,261,15317.90%2,766,0084,918,7756,269,0266,006,717
9,940,5120.94%9,847,9469,074,6028,582,1659,322,613
流动资产净值(1,341,753)-39.01%(2,200,135)4,081,2632,392,837970,021
资产总额减流动负债33,360,72610.01%30,326,32229,779,87527,509,73824,357,535

非流动负债
长期借款4,568,451400.87%912,1021,254,0052,281,9652,945,641
应付债券0--0000
其他非流动负债1,613,542-10.15%1,795,8532,232,6072,079,415208,221
6,181,993128.29%2,707,9543,486,6134,361,3803,153,862

总权益
    实收股本8,438,0170.00%8,438,0178,438,0178,438,0178,438,017
    储备项目18,005,096-2.66%18,496,38317,269,54514,220,43312,314,546
股东权益26,443,113-1.82%26,934,40025,707,56222,658,45020,752,563
非控股权益735,6217.55%683,967585,700489,908451,110