002527 新时达
2024/03 -
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111,4790.66%110,744112,988115,946120,344
投资性房地产20,233-0.61%20,35823,56425,67226,376
固定资产502,905-2.57%516,176538,638574,024604,489
在建工程1,598--013,422276,556171,110
无形资产165,719-2.26%169,547187,660223,684243,398
商誉113,4080.00%113,408384,2461,137,9281,137,928
其他非流动资产160,457-5.34%169,515107,918111,47644,528
1,075,800-2.18%1,099,7481,368,4362,465,2862,348,172

流动资产
货币资金455,872-13.90%529,4441,330,8061,380,4761,161,446
应收账款1,019,5671.00%1,009,498809,268999,894847,923
存货1,095,0111.47%1,079,1571,509,7461,128,545803,436
其他流动资产686,91822.38%561,317961,346483,102903,242
3,257,3682.45%3,179,4164,611,1663,992,0173,716,046

流动负债
短期借款601,198-8.96%660,3611,551,0471,251,307770,000
应付票据71,58511.04%64,465232,573294,75454,614
应付帐款530,248-13.50%612,994580,873596,496652,668
其他流动负债690,581-10.43%771,0021,587,668507,989407,091
1,893,612-10.21%2,108,8223,952,1602,650,5461,884,373
流动资产净值1,363,75627.38%1,070,594659,0051,341,4711,831,674
资产总额减流动负债2,439,55612.40%2,170,3422,027,4423,806,7574,179,845

非流动负债
长期借款810,78057.87%513,580038,9790
应付债券0--000813,910
其他非流动负债120,407-3.63%124,938130,327118,97189,058
931,18745.84%638,518130,327157,950902,969

总权益
    实收股本661,2810.00%661,281662,985659,952620,209
    储备项目847,408-2.69%870,8641,234,5942,409,0212,089,117
股东权益1,508,690-1.53%1,532,1451,897,5793,068,9732,709,326
非控股权益(321)0.31%(320)(464)579,834567,551