600717 天津港
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4,285,038-0.54%4,308,1464,210,2754,750,7453,383,004
投资性房地产631,181-1.32%639,624656,509673,395690,280
固定资产15,840,577-0.98%15,996,67715,888,33215,296,11018,280,315
在建工程931,8897.71%865,183893,593311,218921,165
无形资产5,056,756-1.88%5,153,5365,112,8514,931,5105,533,626
商誉26,135-10.29%29,13235,45800
其他非流动资产1,034,3542.24%1,011,677990,3221,080,353805,704
27,805,930-0.71%28,003,97427,787,34027,043,33129,614,094

流动资产
货币资金5,363,4687.53%4,987,9074,338,5774,772,2384,837,219
应收账款1,907,29734.17%1,421,5661,334,8161,494,5621,672,696
存货54,73118.51%46,18483,29256,355260,299
其他流动资产579,657-6.21%618,042553,7921,018,9631,138,676
7,905,15311.75%7,073,6996,310,4767,342,1187,908,890

流动负债
短期借款949,0474.29%910,047720,0471,065,4011,470,250
应付票据133,722-3.95%139,21578,87957,654266,969
应付帐款2,157,36823.79%1,742,8271,854,6822,379,0932,207,922
其他流动负债2,721,0576.05%2,565,8222,614,5553,443,0063,791,212
5,961,19311.26%5,357,9115,268,1636,945,1547,736,354
流动资产净值1,943,96013.30%1,715,7881,042,312396,964172,536
资产总额减流动负债29,749,8900.10%29,719,76228,829,65227,440,29529,786,630

非流动负债
长期借款3,207,295-7.13%3,453,5603,819,5844,160,3636,019,287
应付债券0--0000
其他非流动负债669,860-8.91%735,417342,362417,770182,059
3,877,155-7.44%4,188,9774,161,9464,578,1336,201,346

总权益
    实收股本2,894,0010.00%2,894,0012,894,0012,894,0012,411,668
    储备项目16,083,5422.20%15,737,97815,032,24914,488,68914,427,260
股东权益18,977,5431.85%18,631,97917,926,25017,382,69016,838,928
非控股权益6,895,192-0.05%6,898,8066,741,4565,479,4726,746,356