000564 供销大集
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131,750-0.38%132,2568,1627,9977,783
投资性房地产13,636,3374.74%13,018,97512,774,16110,753,02910,690,919
固定资产2,719,23011.32%2,442,6721,830,5902,825,7813,488,168
在建工程41,215104.63%20,1419,46213,24711,208
无形资产171,176-69.04%552,852370,170832,416925,178
商誉770,0360.00%770,036909,4771,072,9531,216,565
其他非流动资产10,299,248-9.51%11,381,8887,876,1156,247,914418,275
27,768,992-1.94%28,318,81923,778,13621,753,33716,758,095

流动资产
货币资金647,613-52.36%1,359,495304,100211,221523,622
应收账款80,006-25.10%106,81867,74258,627154,848
存货5,585,26620.86%4,621,3843,537,1055,313,6685,439,267
其他流动资产833,529-51.65%1,723,918557,176537,3544,155,407
7,146,413-8.52%7,811,6144,466,1236,120,87110,273,143

流动负债
短期借款1,162,912-13.86%1,350,06528,0228,01260,082
应付票据0--06,005030,000
应付帐款791,31629.53%610,907581,305669,5741,246,551
其他流动负债4,286,664-15.04%5,045,3844,839,1144,260,7944,059,928
6,240,892-10.93%7,006,3565,454,4464,938,3805,396,560
流动资产净值905,52112.45%805,258(988,323)1,182,4914,876,583
资产总额减流动负债28,674,513-1.54%29,124,07722,789,81322,935,82821,634,678

非流动负债
长期借款5,273,0525.53%4,996,5284,962,0495,111,52045,000
应付债券0--0000
其他非流动负债6,107,777-4.73%6,411,1466,119,2406,006,8598,874,014
11,380,829-0.24%11,407,67411,081,28911,118,3788,919,014

总权益
    实收股本18,058,0630.00%18,058,06319,163,77719,163,77719,163,777
    储备项目(2,319,327)26.45%(1,834,201)(7,955,406)(7,843,545)(6,950,895)
股东权益15,738,736-2.99%16,223,86211,208,37211,320,23212,212,882
非控股权益1,554,9484.18%1,492,542500,153497,217502,781