600031 三一重工
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2,381,531-0.81%2,400,9122,239,0512,333,4873,419,816
投资性房地产124,262-10.87%139,416152,323144,893145,913
固定资产22,714,891-3.15%23,453,24019,769,45113,294,54910,840,893
在建工程1,351,608-1.12%1,366,9334,000,8787,417,5793,743,446
无形资产4,713,075-2.46%4,832,1794,437,6793,881,1313,227,573
商誉49,500-0.32%49,66147,50146,49550,482
其他非流动资产20,178,858-5.38%21,326,66822,509,28317,719,45113,398,503
51,513,725-3.84%53,569,00953,156,16644,837,58534,826,626

流动资产
货币资金17,000,551-5.93%18,071,82721,342,87614,811,86712,823,943
应收账款26,263,7098.69%24,164,72925,022,04719,655,40421,512,081
存货20,499,6463.70%19,767,76219,738,36218,462,60919,197,907
其他流动资产34,622,834-2.82%35,628,99339,661,82940,789,07838,122,037
98,386,7400.77%97,633,311105,765,11493,718,95891,655,968

流动负债
短期借款4,062,555-1.29%4,115,6244,540,0485,777,9897,636,411
应付票据7,113,20340.16%5,074,9859,189,3708,075,8947,314,891
应付帐款21,028,79319.36%17,617,74119,717,31720,484,07024,892,439
其他流动负债26,024,554-5.73%27,606,70634,265,17627,094,41122,223,779
58,229,1057.01%54,415,05667,711,91161,432,36462,067,520
流动资产净值40,157,635-7.08%43,218,25538,053,20332,286,59429,588,448
资产总额减流动负债91,671,360-5.29%96,787,26491,209,36977,124,17964,415,074

非流动负债
长期借款15,410,837-34.58%23,555,72821,624,9379,602,6654,531,569
应付债券0--0000
其他非流动负债4,108,7731.24%4,058,5833,490,7932,426,3821,486,120
19,519,610-29.31%27,614,31125,115,73012,029,0476,017,689

总权益
    实收股本8,474,978-0.13%8,485,7408,493,2868,492,5888,478,507
    储备项目62,436,5704.84%59,554,19756,557,30655,198,32048,241,182
股东权益70,911,5484.22%68,039,93765,050,59263,690,90856,719,689
非控股权益1,240,2029.46%1,133,0161,043,0471,404,2241,677,696