000488 晨鸣纸业
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4,649,655-0.76%4,685,1994,277,0131,894,7953,906,158
投资性房地产5,945,949-1.71%6,049,2436,256,7236,473,5385,943,160
固定资产32,030,248-3.48%33,186,24833,797,73935,653,49337,651,707
在建工程1,099,28027.88%859,618558,867197,750179,858
无形资产1,954,535-2.39%2,002,3611,831,3391,592,6731,774,625
商誉8,274-76.51%35,22126,94726,94732,917
其他非流动资产4,298,4344.76%4,103,2744,832,9404,159,9766,204,784
49,986,374-1.84%50,921,16451,581,56849,999,17155,693,208

流动资产
货币资金11,386,010-6.09%12,124,83314,000,43514,119,78317,759,538
应收账款2,967,22117.35%2,528,5073,212,2602,656,5171,984,932
存货4,261,635-14.05%4,958,1786,821,9165,282,6325,135,293
其他流动资产8,900,041-0.61%8,954,3718,684,83810,811,55811,002,487
27,514,907-3.68%28,565,88932,719,45032,870,49035,882,250

流动负债
短期借款30,264,464-9.59%33,475,47936,385,04833,523,02532,793,993
应付票据5,562,38520.42%4,618,9863,128,5963,089,5122,998,937
应付帐款4,077,1984.47%3,902,6214,114,9673,871,1314,042,431
其他流动负债8,468,3588.84%7,780,6608,270,13810,051,28311,210,874
48,372,405-2.82%49,777,74651,898,74850,534,95251,046,235
流动资产净值(20,857,497)-1.67%(21,211,857)(19,179,299)(17,664,461)(15,163,985)
资产总额减流动负债29,128,877-1.95%29,709,30732,402,26932,334,71040,529,223

非流动负债
长期借款4,824,8013.07%4,681,0143,982,2365,276,3408,077,151
应付债券0--00155,0001,536,877
其他非流动负债3,612,841-8.08%3,930,4374,691,7794,328,3345,114,931
8,437,642-2.02%8,611,4518,674,0159,759,67414,728,959

总权益
    实收股本2,956,8130.00%2,956,8132,979,7422,984,2082,984,208
    储备项目13,672,116-0.46%13,735,36216,104,82316,133,77721,292,761
股东权益16,628,929-0.38%16,692,17519,084,56519,117,98524,276,969
非控股权益4,062,306-7.79%4,405,6814,643,6883,457,0511,523,295