002217 *ST合力泰
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279,678-3.37%289,443298,004345,6757,675
投资性房地产0--0001,222
固定资产2,355,943-17.16%2,844,0433,973,5724,306,2194,907,383
在建工程499,135-0.21%500,198667,781699,412921,797
无形资产186,367-10.30%207,758869,213711,285686,286
商誉0--01,677,4251,927,4592,023,862
其他非流动资产495,102-19.99%618,7803,019,6812,645,7792,335,638
3,816,225-14.44%4,460,22210,505,67610,635,82810,883,863

流动资产
货币资金423,627-40.04%706,4892,346,2753,213,1682,619,746
应收账款420,654-39.57%696,1203,133,0774,876,6756,326,427
存货617,586-16.17%736,7275,336,8616,696,0786,496,605
其他流动资产1,154,79810.46%1,045,4911,965,0253,887,7664,045,678
2,616,664-17.84%3,184,82812,781,23818,673,68619,488,455

流动负债
短期借款3,667,810-6.81%3,936,0046,622,0877,172,1016,253,386
应付票据10,367-87.68%84,1621,464,7072,136,8602,159,305
应付帐款2,515,204-10.04%2,795,8682,590,9313,081,7434,129,450
其他流动负债6,565,79319.73%5,483,6613,132,7162,818,4643,831,982
12,759,1753.74%12,299,69513,810,44115,209,16716,374,123
流动资产净值(10,142,510)11.27%(9,114,866)(1,029,203)3,464,5193,114,332
资产总额减流动负债(6,326,285)35.91%(4,654,644)9,476,47314,100,34713,998,196

非流动负债
长期借款326,000-30.12%466,4861,458,4951,211,9131,211,233
应付债券0--00997,248994,890
其他非流动负债707,060-27.22%971,5491,497,7241,386,7341,349,756
1,033,060-28.16%1,438,0352,956,2183,595,8963,555,879

总权益
    实收股本3,116,4160.00%3,116,4163,116,4163,116,4163,116,416
    储备项目(10,844,212)12.57%(9,633,123)2,369,3025,828,7455,746,980
股东权益(7,727,796)18.58%(6,516,706)5,485,7188,945,1618,863,396
非控股权益368,451-13.11%424,0271,034,5371,559,2901,578,921