002301 齐心集团
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0-100.00%28,52941,98342,03240,981
投资性房地产44,548-2.42%45,65247,12548,59850,071
固定资产416,540-3.20%430,322443,391451,487472,663
在建工程10,527886.60%1,0671,9061,8472,711
无形资产133,460-3.94%138,934180,184192,662190,365
商誉32,3310.00%32,33179,811134,635140,348
其他非流动资产262,935-30.83%380,133378,853390,521450,015
900,341-14.82%1,056,9681,173,2531,261,7831,347,154

流动资产
货币资金3,919,12513.90%3,440,8403,391,8752,781,8732,819,076
应收账款3,382,91415.98%2,916,9323,040,4372,837,5193,939,886
存货265,85726.42%210,289254,271261,745306,365
其他流动资产291,105-21.56%371,124415,646630,594416,158
7,859,00113.26%6,939,1857,102,2286,511,7327,481,484

流动负债
短期借款603,89462.69%371,185452,690379,001828,101
应付票据1,131,19348.38%762,3591,351,6671,429,8821,032,355
应付帐款3,557,5862.99%3,454,1833,086,4652,549,6833,621,969
其他流动负债279,652-5.28%295,228234,347287,034408,350
5,572,32414.12%4,882,9565,125,1694,645,6005,890,775
流动资产净值2,286,67811.21%2,056,2291,977,0601,866,1321,590,709
资产总额减流动负债3,187,0192.37%3,113,1973,150,3123,127,9152,937,863

非流动负债
长期借款0--0000
应付债券0--0000
其他非流动负债52,03718.94%43,75240,64251,41865,180
52,03718.94%43,75240,64251,41865,180

总权益
    实收股本721,3080.00%721,308721,308721,308734,020
    储备项目2,418,9092.72%2,354,9052,385,6552,343,9052,137,315
股东权益3,140,2172.08%3,076,2133,106,9633,065,2132,871,335
非控股权益(5,235)-22.65%(6,768)2,70711,2841,348