300358 楚天科技
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6,68835.82%4,9248,42000
投资性房地产19,144-4.70%20,08820,21320,78123,743
固定资产2,347,6293.70%2,263,8311,708,7071,316,3641,016,506
在建工程202,04940.96%143,337204,808121,504213,533
无形资产1,085,5061.68%1,067,6161,041,282835,122712,562
商誉885,879-1.71%901,314867,215850,404843,043
其他非流动资产481,56410.16%437,150325,163246,854219,136
5,028,4593.93%4,838,2604,175,8083,391,0303,028,522

流动资产
货币资金770,9562.70%750,6961,105,4641,555,440853,886
应收账款1,693,81515.22%1,470,068947,208711,681769,174
存货3,507,19912.06%3,129,6843,285,9802,939,7801,373,903
其他流动资产2,015,59036.80%1,473,3591,533,0521,350,331881,441
7,987,56017.05%6,823,8076,871,7036,557,2323,878,404

流动负债
短期借款880,62441.77%621,154250,95198,260488,795
应付票据503,7485.72%476,476418,659723,151215,431
应付帐款1,801,2191.63%1,772,3121,423,5331,222,304825,291
其他流动负债3,599,8708.04%3,331,8813,896,5643,575,4621,810,527
6,785,4619.41%6,201,8235,989,7075,619,1783,340,044
流动资产净值1,202,09993.27%621,984881,996938,054538,360
资产总额减流动负债6,230,55914.11%5,460,2445,057,8044,329,0843,566,882

非流动负债
长期借款13,3801,143.49%1,076160,805142,888286,315
应付债券859,692--0000
其他非流动负债627,119-10.42%700,039600,958505,556406,821
1,500,192113.97%701,115761,763648,444693,136

总权益
    实收股本590,3020.00%590,302575,053575,053529,076
    储备项目4,108,433-0.52%4,129,7053,638,8023,017,4662,274,770
股东权益4,698,735-0.45%4,720,0084,213,8553,592,5192,803,846
非控股权益31,632-19.15%39,12282,18688,12169,900