600572 康恩贝
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1,555,1052.19%1,521,7411,415,9831,469,329429,245
投资性房地产3,280-8.61%3,5894,0014,4130
固定资产2,778,579-1.00%2,806,7402,550,1672,175,9442,417,188
在建工程198,749-16.62%238,375661,9341,068,477598,635
无形资产349,946-1.55%355,453390,788362,434377,824
商誉184,7230.00%184,723184,723184,723172,608
其他非流动资产326,387-7.36%352,302328,301543,0881,145,570
5,396,768-1.21%5,462,9235,535,8965,808,4065,141,070

流动资产
货币资金803,161-68.75%2,570,0092,468,0322,573,2691,575,058
应收账款1,390,87225.45%1,108,730953,307955,219859,992
存货1,314,920-1.35%1,332,9691,127,8991,044,075961,455
其他流动资产843,47610.46%763,610846,233893,238741,010
4,352,429-24.64%5,775,3185,395,4725,465,8014,137,515

流动负债
短期借款196,398-69.70%648,153717,7341,343,8521,748,471
应付票据151,65927.08%119,33735,486122,57446,678
应付帐款766,4039.46%700,191593,642508,302307,031
其他流动负债1,343,914-21.17%1,704,8561,442,2511,193,0811,150,626
2,458,374-22.51%3,172,5382,789,1133,167,8093,252,806
流动资产净值1,894,055-27.23%2,602,7802,606,3592,297,992884,709
资产总额减流动负债7,290,824-9.61%8,065,7048,142,2558,106,3986,025,779

非流动负债
长期借款137,501-54.92%305,033330,3039,503502,710
应付债券0--0000
其他非流动负债398,478-3.05%411,028487,899462,054173,652
535,979-25.15%716,061818,202471,557676,363

总权益
    实收股本2,570,0370.00%2,570,0372,570,0372,570,0372,667,320
    储备项目4,084,634-8.64%4,471,0264,343,8344,630,7942,358,850
股东权益6,654,672-5.49%7,041,0646,913,8717,200,8315,026,171
非控股权益100,173-67.54%308,579410,182434,010323,246