001979 招商蛇口
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74,628,022-2.45%76,503,70480,141,65174,643,70061,560,619
投资性房地产140,267,8585.57%132,869,742127,027,975119,887,005109,067,181
固定资产10,839,477-5.28%11,443,99411,618,29010,820,1789,233,576
在建工程287,769-65.10%824,460973,464810,074465,189
无形资产1,735,712-4.66%1,820,6391,914,9971,389,2281,379,236
商誉1,853,8270.00%1,853,8272,013,3882,013,388357,950
其他非流动资产21,124,2551.43%20,826,87320,858,85521,720,66321,081,516
250,736,9201.87%246,143,239244,548,620231,284,235203,145,265

流动资产
货币资金85,026,677-15.27%100,351,40388,289,51386,243,12479,533,032
应收账款5,431,13954.73%3,510,0803,474,2233,884,5633,279,274
存货372,074,2220.78%369,183,324416,702,135411,549,221417,636,475
其他流动资产148,207,3625.02%141,120,770155,494,008153,510,233152,609,301
610,739,400-0.56%614,165,577663,959,880655,187,141653,058,082

流动负债
短期借款4,501,00863.64%2,750,6181,378,9561,508,6923,628,062
应付票据23,240--00126,93795,691
应付帐款50,807,582-4.34%53,115,44460,661,82256,118,12057,813,506
其他流动负债327,785,582-0.80%330,442,254363,983,119366,155,946366,541,243
383,117,411-0.83%386,308,317426,023,897423,909,695428,078,502
流动资产净值227,621,989-0.10%227,857,260237,935,983231,277,447224,979,580
资产总额减流动负债478,358,9090.92%474,000,499482,484,603462,561,681428,124,846

非流动负债
长期借款142,759,72913.50%125,777,465118,770,675121,073,549107,779,676
应付债券43,105,000-8.09%46,900,00051,327,00039,749,00026,104,502
其他非流动负债15,032,1713.11%14,578,25315,696,65017,298,65517,485,482
200,896,9007.28%187,255,718185,794,324178,121,204151,369,660

总权益
    实收股本9,060,8360.00%9,060,8369,060,8367,739,0987,923,243
    储备项目95,972,298-5.86%101,946,001110,662,55393,972,805100,748,016
股东权益105,033,135-5.38%111,006,837119,723,390101,711,904108,671,259
非控股权益172,428,875-1.88%175,737,943176,966,888182,728,574168,083,927