600590 泰豪科技
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1,006,7371.06%996,204876,340949,346719,698
投资性房地产51,465-6.69%55,15360,29857,23462,328
固定资产509,105-7.01%547,455854,798951,594913,740
在建工程12,85624.44%10,33120,93633,89528,143
无形资产243,490-10.70%272,665282,429338,718407,026
商誉563,3190.00%563,319593,829609,532804,116
其他非流动资产1,738,864-16.35%2,078,8011,297,2071,075,1431,035,924
4,125,835-8.80%4,523,9283,985,8374,015,4633,970,975

流动资产
货币资金2,043,89641.69%1,442,4731,577,7932,258,4292,024,620
应收账款3,725,488-3.48%3,859,6874,356,1073,806,0763,920,700
存货2,060,637-10.02%2,290,1862,289,9792,288,4652,261,219
其他流动资产1,439,067-2.75%1,479,7201,797,1461,674,3711,692,576
9,269,0882.17%9,072,06610,021,02510,027,3419,899,116

流动负债
短期借款2,668,733-5.68%2,829,3272,619,7542,600,3323,035,701
应付票据1,433,24517.52%1,219,5261,373,7161,618,9601,889,758
应付帐款1,096,602-11.03%1,232,5341,544,7761,514,1381,810,561
其他流动负债2,206,97397.82%1,115,6252,156,2771,880,5521,648,705
7,405,55315.77%6,397,0127,694,5237,613,9828,384,724
流动资产净值1,863,534-30.34%2,675,0532,326,5022,413,3591,514,392
资产总额减流动负债5,989,369-16.80%7,198,9826,312,3396,428,8215,485,367

非流动负债
长期借款345,124-74.53%1,355,2481,092,0291,515,5101,063,588
应付债券0--00412,407408,491
其他非流动负债1,473,343-0.18%1,475,976810,538172,59561,182
1,818,467-35.77%2,831,2241,902,5672,100,5121,533,261

总权益
    实收股本852,8700.00%852,870852,870852,870858,782
    储备项目2,421,923-7.87%2,628,9172,682,7662,900,9772,720,171
股东权益3,274,793-5.95%3,481,7873,535,6363,753,8473,578,954
非控股权益896,1091.14%885,971874,136574,463373,152