002024 ST苏宁易购
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13,795,0401.28%13,621,09413,447,90613,815,30215,304,488
投资性房地产8,860,877-9.28%9,767,4427,469,5547,911,9367,484,573
固定资产9,917,822-3.32%10,257,9589,662,64610,537,92913,327,550
在建工程2,396,497-4.52%2,509,8993,603,7003,764,7383,849,908
无形资产3,691,750-8.65%4,041,4277,141,0228,145,7649,264,229
商誉1,440,7600.00%1,440,7601,711,4302,606,7175,454,650
其他非流动资产26,315,764-6.32%28,091,94226,843,16733,458,62140,773,355
66,418,510-4.75%69,730,52269,879,42580,241,00795,458,753

流动资产
货币资金10,426,287-7.64%11,289,04613,232,88315,986,57417,967,374
应收账款3,757,17613.96%3,296,8142,482,5693,273,9245,466,713
存货6,074,38710.72%5,486,4246,705,2229,200,73412,289,891
其他流动资产28,070,213-4.00%29,240,13329,448,18431,220,16439,555,355
48,328,063-2.00%49,312,41751,868,85859,681,39675,279,333

流动负债
短期借款25,883,286-1.48%26,271,75828,534,84328,437,62730,094,393
应付票据3,132,934-22.04%4,018,4445,078,49311,120,65216,867,504
应付帐款13,723,688-4.88%14,428,12516,701,58418,364,75320,135,826
其他流动负债41,887,041-7.85%45,452,85044,567,48446,243,02943,175,733
84,626,949-6.15%90,171,17794,882,404104,166,061110,273,456
流动资产净值(36,298,886)-11.16%(40,858,760)(43,013,546)(44,484,665)(34,994,123)
资产总额减流动负债30,119,6244.32%28,871,76226,865,87935,756,34260,464,630

非流动负债
长期借款1,893,77731.67%1,438,2791,867,11400
应付债券0--000533,300
其他非流动负债16,914,4413.93%16,274,37014,862,84620,668,08428,902,579
18,808,2186.19%17,712,64916,729,96020,668,08429,435,879

总权益
    实收股本9,264,7680.00%9,264,7689,310,0409,310,0409,310,040
    储备项目3,322,2204.94%3,165,8372,065,3766,803,88622,788,020
股东权益12,586,9881.26%12,430,60511,375,41616,113,92632,098,060
非控股权益(1,275,582)0.32%(1,271,492)(1,239,497)(1,025,668)(1,069,309)