600682 南京新百
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425,915-3.03%439,240438,035442,369436,896
投资性房地产833,232-1.42%845,237277,552287,642297,733
固定资产2,780,301-2.95%2,864,9022,999,9402,847,4292,179,788
在建工程63,461-0.68%63,89482,801202,055224,978
无形资产2,940,7230.00%2,940,6892,912,4562,691,0972,605,817
商誉6,056,2340.13%6,048,5536,102,8735,945,6805,985,964
其他非流动资产4,013,4770.57%3,990,7064,238,3224,324,5592,886,059
17,113,343-0.46%17,193,22017,051,97916,740,83114,617,234

流动资产
货币资金4,571,368-8.59%5,000,7584,934,6155,961,3917,200,635
应收账款1,444,7327.24%1,347,2321,196,1321,165,9091,097,175
存货516,87013.17%456,719287,490465,854502,244
其他流动资产2,373,77937.88%1,721,6051,745,7592,324,5581,210,788
8,906,7494.46%8,526,3148,163,9969,917,71110,010,842

流动负债
短期借款551,4593.96%530,472636,477712,7511,539,216
应付票据410-18.65%5041,8963,262359
应付帐款864,5951.89%848,595892,5441,015,641576,054
其他流动负债4,658,7361.57%4,586,7984,413,7795,214,4324,665,704
6,075,1991.82%5,966,3685,944,6976,946,0866,781,332
流动资产净值2,831,55010.61%2,559,9452,219,2992,971,6253,229,509
资产总额减流动负债19,944,8920.97%19,753,16519,271,27819,712,45717,846,744

非流动负债
长期借款164,868-3.79%171,359179,909184,23736,527
应付债券0--0000
其他非流动负债857,762-2.47%879,486919,369925,931860,603
1,022,630-2.68%1,050,8451,099,2781,110,168897,130

总权益
    实收股本1,346,1320.00%1,346,1321,346,1321,346,1321,346,132
    储备项目16,110,9570.88%15,970,43015,609,72016,202,01414,797,794
股东权益17,457,0900.81%17,316,56216,955,85217,548,14616,143,926
非控股权益1,465,1735.73%1,385,7581,216,1481,054,143805,688