603618 杭电股份
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93,7841.42%92,47097,368102,056101,386
投资性房地产24,819-4.20%25,90727,7638,2858,966
固定资产1,849,0347.19%1,725,0621,701,1521,460,8381,097,769
在建工程579,271-3.05%597,484234,940315,419590,652
无形资产223,414-1.42%226,624233,045210,514216,869
商誉0--0000
其他非流动资产82,7899.36%75,70662,87853,38455,415
2,853,1114.00%2,743,2532,357,1452,150,4972,071,057

流动资产
货币资金1,085,920-10.47%1,212,907925,363965,9331,057,643
应收账款3,527,63819.93%2,941,3712,861,4172,253,2291,832,262
存货1,995,67715.28%1,731,1401,683,8391,895,6291,390,950
其他流动资产1,254,170-0.83%1,264,6051,547,1111,489,7271,447,610
7,863,4069.98%7,150,0237,017,7306,604,5185,728,464

流动负债
短期借款3,561,94039.00%2,562,4993,133,6122,949,5372,023,738
应付票据948,08143.98%658,476716,197659,630706,610
应付帐款799,60240.06%570,888430,622443,075414,093
其他流动负债948,645-57.48%2,231,130785,8931,005,782457,997
6,258,2673.91%6,022,9935,066,3235,058,0243,602,438
流动资产净值1,605,13942.42%1,127,0301,951,4081,546,4942,126,025
资产总额减流动负债4,458,25015.19%3,870,2834,308,5533,696,9914,197,083

非流动负债
长期借款1,272,86958.77%801,708584,979120,868536,750
应付债券0--0773,646737,013698,898
其他非流动负债122,88661.99%75,86267,44267,20778,680
1,395,75559.05%877,5701,426,067925,0881,314,329

总权益
    实收股本691,3760.04%691,067691,056691,049691,038
    储备项目2,282,4773.46%2,206,1602,104,0512,006,5522,126,165
股东权益2,973,8522.64%2,897,2272,795,1072,697,6012,817,203
非控股权益88,643-7.17%95,48787,37974,30265,551