000917 电广传媒
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2,264,705-1.54%2,300,0352,337,4772,437,0102,906,443
投资性房地产31,108-1.26%31,50632,50333,50134,931
固定资产1,050,198-2.84%1,080,9311,107,0581,160,4701,185,483
在建工程107,8333.74%103,944110,79194,066116,045
无形资产47,245-13.57%54,66166,90258,76564,930
商誉503,9230.00%503,923503,923503,923503,923
其他非流动资产7,567,409-0.68%7,619,3127,495,7347,998,0688,495,620
11,572,420-1.04%11,694,31011,654,38712,285,80313,307,374

流动资产
货币资金1,247,795-19.67%1,553,4131,878,1092,058,3622,463,368
应收账款617,1526.65%578,687705,444686,681707,312
存货968,332-0.52%973,439997,3581,027,1131,071,953
其他流动资产2,430,1041.44%2,395,5782,449,6232,934,5893,233,585
5,263,384-4.32%5,501,1176,030,5356,706,7457,476,218

流动负债
短期借款987,565-29.33%1,397,456770,562513,069920,081
应付票据105,000425.00%20,000179,268239,846248,000
应付帐款629,490-9.40%694,839640,184684,462818,072
其他流动负债2,435,565107.17%1,175,6582,839,3483,736,7072,723,044
4,157,62026.45%3,287,9534,429,3615,174,0844,709,196
流动资产净值1,105,764-50.04%2,213,1641,601,1741,532,6612,767,022
资产总额减流动负债12,678,184-8.84%13,907,47413,255,56213,818,46416,074,397

非流动负债
长期借款790,000-21.94%1,012,042999,887991,736669,925
应付债券0-100.00%900,000300,000500,0002,800,000
其他非流动负债579,409-2.60%594,870615,219714,840967,738
1,369,409-45.37%2,506,9121,915,1072,206,5754,437,663

总权益
    实收股本1,417,5560.00%1,417,5561,417,5561,417,5561,417,556
    储备项目8,918,2110.39%8,883,7308,775,1168,890,7158,778,367
股东权益10,335,7680.33%10,301,28610,192,67310,308,27210,195,923
非控股权益973,008-11.49%1,099,2771,147,7821,303,6171,440,811