300021 大禹节水
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423,36810.32%383,773353,103298,528220,388
投资性房地产0--0000
固定资产497,1264.40%476,173485,548430,947438,221
在建工程63,8822.10%62,56858,72940,648337,231
无形资产335,3793.51%323,995195,705143,013140,964
商誉102,2050.00%102,20593,18794,25581,251
其他非流动资产1,155,134-1.43%1,171,8781,213,599694,552490,341
2,577,0932.24%2,520,5922,399,8701,701,9431,708,394

流动资产
货币资金805,604-30.00%1,150,7881,141,7101,358,390933,078
应收账款2,400,435-13.54%2,776,4132,117,2781,977,0861,677,835
存货470,97128.91%365,335384,020452,854504,956
其他流动资产1,500,63731.53%1,140,924908,362834,711681,809
5,177,647-4.71%5,433,4604,551,3704,623,0413,797,678

流动负债
短期借款1,006,36728.06%785,858611,6531,002,732868,946
应付票据183,889-1.51%186,711179,079167,364163,775
应付帐款1,826,398-17.53%2,214,5241,716,1101,324,5201,136,371
其他流动负债634,654-13.09%730,256634,519566,780429,575
3,651,309-6.79%3,917,3493,141,3613,061,3962,598,668
流动资产净值1,526,3380.67%1,516,1111,410,0101,561,6451,199,010
资产总额减流动负债4,103,4301.65%4,036,7033,809,8803,263,5882,907,404

非流动负债
长期借款908,9093.96%874,248674,562589,195249,255
应付债券582,4191.74%572,473541,541509,034480,014
其他非流动负债312,0302.99%302,959235,416114,579221,282
1,803,3583.07%1,749,6801,451,5201,212,808950,550

总权益
    实收股本857,799-0.03%858,056862,299801,075797,361
    储备项目1,174,5900.85%1,164,7131,165,822919,951861,319
股东权益2,032,3890.48%2,022,7692,028,1211,721,0251,658,680
非控股权益267,6841.30%264,255330,239329,755298,174