000513 丽珠集团
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1,085,0822.73%1,056,2201,031,2601,055,9391,064,968
投资性房地产9,295-6.36%9,92610,76700
固定资产4,050,260-4.81%4,254,8054,294,2323,967,6143,669,728
在建工程282,6979.84%257,366289,307602,442554,576
无形资产478,72118.59%403,682426,283557,437260,279
商誉124,9110.00%124,911124,911103,040103,040
其他非流动资产1,934,8890.31%1,928,9341,601,8921,594,3982,046,227
7,965,856-0.87%8,035,8457,778,6527,880,8727,698,819

流动资产
货币资金9,918,954-8.39%10,827,14711,325,72410,411,3489,146,373
应收账款2,271,02717.34%1,935,5022,115,6592,415,2571,951,898
存货1,656,634-17.07%1,997,6422,060,6512,045,3421,663,228
其他流动资产2,725,51464.22%1,659,6891,764,1412,115,3501,911,597
16,572,1290.93%16,419,98117,266,17516,987,29714,673,097

流动负债
短期借款2,440,000-0.61%2,455,0001,860,0101,622,2402,043,048
应付票据740,350-23.33%965,581894,5881,007,7461,026,620
应付帐款563,505-8.88%618,398763,825854,276790,680
其他流动负债3,614,4150.78%3,586,4504,568,7143,912,4033,064,720
7,358,271-3.50%7,625,4288,087,1377,396,6656,925,068
流动资产净值9,213,8584.77%8,794,5529,179,0379,590,6327,748,029
资产总额减流动负债17,179,7142.08%16,830,39716,957,69017,471,50415,446,848

非流动负债
长期借款1,357,062-7.41%1,465,7351,612,7731,974,444636,780
应付债券0--0000
其他非流动负债455,645-0.71%458,916578,213560,776499,042
1,812,707-5.82%1,924,6512,190,9872,535,2201,135,823

总权益
    实收股本904,100-0.80%911,346923,938935,553937,865
    储备项目13,058,7410.83%12,950,98813,118,55712,940,51712,065,899
股东权益13,962,8420.73%13,862,33414,042,49513,876,06913,003,764
非控股权益1,404,16534.57%1,043,412724,2081,060,2151,307,224