000938 紫光股份
2024/09 - 九个月
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186,67070.69%109,362111,977134,470134,491
投资性房地产195,212-3.11%201,484209,847224,397245,270
固定资产1,013,515-3.89%1,054,5621,042,021922,623937,152
在建工程219,84098.56%110,715150,052188,58352,052
无形资产4,046,927-1.74%4,118,6143,696,9033,882,3183,984,011
商誉13,991,7540.00%13,991,75413,991,75413,991,59313,991,593
其他非流动资产4,009,392-0.58%4,032,5854,148,2473,526,8713,404,437
23,663,3100.19%23,619,07623,350,80022,870,85522,749,005

流动资产
货币资金7,437,092-49.44%14,710,81510,669,3048,959,6509,351,039
应收账款14,346,0231.80%14,091,93813,012,90011,081,3309,167,947
存货32,739,73217.20%27,934,50020,274,64318,423,6159,644,060
其他流动资产6,892,946-0.22%6,908,1616,755,3595,114,3527,254,920
61,415,792-3.50%63,645,41550,712,20643,578,94735,417,967

流动负债
短期借款7,679,90222.24%6,282,7094,175,3954,289,8462,965,396
应付票据4,038,86375.98%2,295,1123,142,0762,136,0483,036,408
应付帐款13,320,86210.43%12,062,69510,102,9499,682,1317,357,095
其他流动负债18,952,5201.40%18,690,01915,901,82212,321,38010,012,858
43,992,14611.85%39,330,53533,322,24328,429,40523,371,757
流动资产净值17,423,646-28.34%24,314,88017,389,96415,149,54212,046,209
资产总额减流动负债41,086,956-14.28%47,933,95640,740,76338,020,39734,795,214

非流动负债
长期借款12,780,907151.29%5,086,117200,194100,0610
应付债券0--0000
其他非流动负债11,754,842319.04%2,805,1742,712,7642,252,5571,728,804
24,535,749210.92%7,891,2922,912,9592,352,6181,728,804

总权益
    实收股本2,860,0800.00%2,860,0802,860,0802,860,0802,860,080
    储备项目10,651,042-65.74%31,086,37528,981,02327,100,60025,404,741
股东权益13,511,122-60.20%33,946,45531,841,10329,960,68028,264,821
非控股权益3,040,086-50.13%6,096,2095,986,7025,707,0994,801,589