002046 国机精工
2025/03 -
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43,008-1.74%43,76943,57462,70285,812
投资性房地产199,934-2.25%204,533211,07492,938122,259
固定资产1,372,146-1.05%1,386,7391,330,4911,244,5701,137,222
在建工程645,3742.50%629,655436,579293,216259,035
无形资产217,799-0.08%217,971221,559377,198401,082
商誉16,4560.00%16,45616,45616,45616,456
其他非流动资产463,31013.95%406,608340,973335,503286,881
2,958,0261.80%2,905,7312,600,7072,422,5842,308,748

流动资产
货币资金2,368,473132.65%1,018,055723,757658,148607,238
应收账款1,400,05142.71%981,073626,080711,868617,153
存货706,50721.31%582,383525,272561,010530,037
其他流动资产757,4317.44%704,996690,467898,557862,503
5,232,46259.21%3,286,5062,565,5762,829,5822,616,931

流动负债
短期借款305,05684.60%165,255288,681232,816345,364
应付票据281,37034.27%209,560273,245231,604231,098
应付帐款685,55132.12%518,877379,606422,952298,391
其他流动负债718,854-17.19%868,101223,761844,056341,723
1,990,83213.00%1,761,7921,165,2921,731,4281,216,575
流动资产净值3,241,630112.61%1,524,7141,400,2841,098,1551,400,355
资产总额减流动负债6,199,65639.93%4,430,4454,000,9913,520,7383,709,104

非流动负债
长期借款516,16918.27%436,435437,667100,000450,000
应付债券0--0000
其他非流动负债242,2351.33%239,052188,475227,577244,127
758,40412.28%675,487626,141327,577694,127

总权益
    实收股本536,2671.38%528,958529,129529,129524,349
    储备项目3,750,58327.18%2,949,1102,741,7162,566,6182,360,340
股东权益4,286,85023.25%3,478,0683,270,8453,095,7472,884,689
非控股权益1,154,402316.92%276,890104,00597,414130,288