601686 友发集团
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94,4762,010.72%4,476000
投资性房地产396,150-1.17%400,848375,03510,80111,625
固定资产4,987,823-2.37%5,108,8575,051,3603,747,3392,195,246
在建工程103,61219.82%86,476354,030950,07875,035
无形资产715,685-0.59%719,913737,999738,831501,849
商誉168,9110.00%168,911168,911168,9113,261
其他非流动资产275,67016.18%237,285243,033202,997251,520
6,742,3280.23%6,726,7676,930,3685,818,9573,038,536

流动资产
货币资金3,645,576-3.45%3,775,8703,725,4313,631,1603,245,995
应收账款1,234,54517.95%1,046,704725,803601,867387,641
存货4,004,91614.91%3,485,1532,839,8303,676,7432,766,644
其他流动资产2,012,244-23.07%2,615,6502,558,9452,139,8412,405,404
10,897,281-0.24%10,923,3789,850,00910,049,6118,805,684

流动负债
短期借款2,310,02967.07%1,382,6832,029,7142,032,0131,778,665
应付票据3,578,885-18.23%4,376,6572,555,1124,031,2302,024,623
应付帐款365,16813.44%321,894486,433581,198184,702
其他流动负债1,257,7995.25%1,195,0271,395,9311,219,098856,136
7,511,8823.24%7,276,2616,467,1907,863,5404,844,126
流动资产净值3,385,399-7.18%3,647,1173,382,8192,186,0723,961,558
资产总额减流动负债10,127,726-2.37%10,373,88410,313,1878,005,0297,000,094

非流动负债
长期借款627,36054.52%406,010882,335600,69640,084
应付债券1,938,2650.62%1,926,2551,844,91100
其他非流动负债347,3552.56%338,696204,052163,621113,954
2,912,9809.06%2,670,9602,931,297764,317154,038

总权益
    实收股本1,429,621-0.01%1,429,7011,430,4571,438,9571,411,557
    储备项目4,806,143-9.03%5,283,4665,004,5884,791,4234,843,285
股东权益6,235,764-7.11%6,713,1666,435,0456,230,3796,254,842
非控股权益978,982-1.09%989,757946,8441,010,332591,214