002929 润建股份
2024/03 -
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104,4251.67%102,70862,08353,38740,474
投资性房地产0--0000
固定资产766,734-1.24%776,387400,267185,840188,535
在建工程588,89134.77%436,970618,701438,14590,392
无形资产66,550-4.24%69,49992,03252,08837,762
商誉159,1330.00%159,133180,001165,866161,431
其他非流动资产2,335,505-0.93%2,357,3511,408,6631,276,6341,107,598
4,021,2383.05%3,902,0482,761,7472,171,9601,626,191

流动资产
货币资金746,470-61.11%1,919,4231,915,8152,460,6782,025,546
应收账款5,911,0179.61%5,392,8974,398,8972,992,5661,326,929
存货1,786,9692.72%1,739,6821,304,0921,148,883933,321
其他流动资产2,150,68413.24%1,899,2402,348,5721,401,5741,026,350
10,595,139-3.25%10,951,2429,967,3778,003,7015,312,146

流动负债
短期借款2,672,44331.20%2,036,9771,582,594943,376255,292
应付票据1,833,23016.41%1,574,8532,204,0171,609,767789,577
应付帐款2,895,739-29.58%4,111,9902,472,9571,785,3111,108,440
其他流动负债991,037-8.59%1,084,116926,259853,988533,502
8,392,449-4.72%8,807,9367,185,8275,192,4422,686,811
流动资产净值2,202,6902.77%2,143,3062,781,5502,811,2592,625,335
资产总额减流动负债6,223,9282.95%6,045,3545,543,2974,983,2184,251,526

非流动负债
长期借款46,15977.53%26,00010,022660
应付债券0--01,033,258986,820939,719
其他非流动负债48,82316.65%41,85639,33351,1533,542
94,98239.98%67,8561,082,6141,038,039943,261

总权益
    实收股本280,7090.36%279,697232,012228,729220,746
    储备项目5,773,8802.84%5,614,4374,107,2403,599,4023,010,623
股东权益6,054,5902.72%5,894,1344,339,2523,828,1303,231,369
非控股权益74,356-10.81%83,364121,431117,04976,896