300740 水羊股份
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20,148-0.71%20,29220,2205,7706,251
投资性房地产129,688-0.13%129,860000
固定资产839,467-0.68%845,185625,481105,658104,341
在建工程9,744-30.02%13,924362,976500,793174,240
无形资产260,5060.15%260,118255,74270,24171,720
商誉295,0500.00%295,050295,05000
其他非流动资产240,3542.06%235,498226,057382,969196,109
1,794,957-0.28%1,799,9271,785,5281,065,432552,661

流动资产
货币资金378,687-31.68%554,320346,146440,422459,848
应收账款459,36713.78%403,735324,558280,073216,659
存货884,82411.32%794,815898,873727,937695,613
其他流动资产545,915-2.89%562,183300,466231,541247,731
2,268,793-2.00%2,315,0531,870,0431,679,9721,619,851

流动负债
短期借款234,0880.86%232,102708,048522,880260,000
应付票据13,93976.55%7,89531,70871,506107,978
应付帐款138,060-49.24%271,963329,730134,536244,522
其他流动负债362,859-32.02%533,775371,287278,785209,773
748,945-28.38%1,045,7361,440,7731,007,707822,272
流动资产净值1,519,84819.74%1,269,317429,270672,265797,579
资产总额减流动负债3,314,8068.00%3,069,2442,214,7971,737,6971,350,240

非流动负债
长期借款520,78045.60%357,670442,341129,1000
应付债券625,7801.82%614,582000
其他非流动负债24,80811.95%22,15933,59214,823450
1,171,36917.80%994,411475,933143,923450

总权益
    实收股本388,677-0.27%389,710389,077411,539411,060
    储备项目1,752,6083.94%1,686,0971,355,5751,187,813942,245
股东权益2,141,2853.15%2,075,8071,744,6521,599,3531,353,306
非控股权益2,152-320.94%(974)(5,788)(5,578)(3,516)