000990 诚志股份
2025/09 - 九个月
人民币(K¥)
与去年末期
比较
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)

非流动资产
长期股权投资1,081,285-0.20%1,083,4141,270,8791,418,9331,415,388
投资性房地产2,512,9950.00%2,512,9952,504,2632,506,9872,482,519
固定资产5,112,537-6.03%5,440,7585,111,1495,157,1585,389,259
在建工程521,354215.73%165,126447,280338,743306,032
无形资产994,397-0.82%1,002,669563,382637,582516,648
商誉6,728,2070.00%6,728,2076,742,4986,754,6956,757,158
其他非流动资产3,658,3186.42%3,437,7672,741,7121,880,7021,728,687
20,609,0941.17%20,370,93519,381,16218,694,79918,595,692

流动资产
货币资金2,096,00717.06%1,790,5902,407,4801,393,1401,816,204
应收账款1,087,4357.52%1,011,3581,135,288893,579827,942
存货837,254-8.04%910,435863,580860,4511,128,210
其他流动资产2,892,307-3.47%2,996,2021,955,8652,863,2462,079,203
6,913,0033.05%6,708,5856,362,2146,010,4165,851,559

流动负债
短期借款2,644,008-20.46%3,323,9612,990,4282,655,0001,896,401
应付票据238,902-46.20%444,023585,472191,943141,911
应付帐款725,228-0.56%729,343616,964608,456781,553
其他流动负债1,120,40313.46%987,5111,253,3981,404,8831,069,077
4,728,542-13.79%5,484,8375,446,2614,860,2823,888,943
流动资产净值2,184,46178.51%1,223,748915,9531,150,1341,962,617
资产总额减流动负债22,793,5555.55%21,594,68320,297,11519,844,93320,558,308

非流动负债
长期借款1,996,53350.14%1,329,798659,187590,619732,429
应付债券900,000125.00%400,00000807,733
其他非流动负债1,090,210-3.71%1,132,1641,174,743577,250555,532
3,986,74339.30%2,861,9621,833,9291,167,8692,095,694

总权益
    实收股本1,215,2380.00%1,215,2381,215,2381,215,2381,253,012
    储备项目16,656,3610.24%16,617,26116,435,47116,615,04116,398,693
股东权益17,871,5980.22%17,832,49817,650,70817,830,27917,651,705
非控股权益935,2133.89%900,222812,478846,785810,909