600361 XD创新新材
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278,803-1.02%281,667316,478318,3851,338,824
投资性房地产24,562-1.52%24,94226,62129,9680
固定资产5,148,6199.28%4,711,4133,729,7813,667,861688,230
在建工程1,225,221-5.73%1,299,662259,418191,61211,552
无形资产1,007,960-0.56%1,013,611863,998718,639132,971
商誉0--000126,164
其他非流动资产831,599-10.38%927,908711,143539,6421,226,148
8,516,7643.12%8,259,2035,907,4395,466,1063,523,889

流动资产
货币资金2,835,109-37.00%4,500,2983,832,0983,709,6653,012,972
应收账款3,357,26549.23%2,249,6632,129,2401,960,83056,834
存货5,490,61051.18%3,631,7663,111,2412,701,7141,095,444
其他流动资产1,739,75736.49%1,274,6571,927,6082,235,253528,551
13,422,74115.15%11,656,38411,000,18710,607,4624,693,800

流动负债
短期借款5,580,27919.97%4,651,2814,523,0502,639,7501,113,560
应付票据0--0695,5353,399,000149,282
应付帐款1,865,85593.19%965,836761,9252,011,0542,702,031
其他流动负债2,580,89681.87%1,419,1141,650,7362,283,2311,229,260
10,027,03042.51%7,036,2307,631,24610,333,0355,194,133
流动资产净值3,395,711-26.50%4,620,1543,368,942274,427(500,333)
资产总额减流动负债11,912,474-7.51%12,879,3569,276,3805,740,5343,023,556

非流动负债
长期借款901,312-57.18%2,104,668944,571889,379176,049
应付债券0--0000
其他非流动负债456,425-8.29%497,660409,287214,20339,493
1,357,737-47.83%2,602,3281,353,8581,103,583215,542

总权益
    实收股本4,336,1930.00%4,336,1934,003,5993,337,791665,808
    储备项目6,070,9254.78%5,794,0033,918,9231,299,1602,139,112
股东权益10,407,1182.73%10,130,1957,922,5224,636,9512,804,920
非控股权益147,6200.54%146,833003,093