300037 新宙邦
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586,385133.03%251,633282,684303,507280,946
投资性房地产78,429-2.82%80,70283,73286,76389,793
固定资产4,392,4619.69%4,004,5893,377,4791,705,8011,367,151
在建工程1,087,487-8.68%1,190,8741,240,5061,343,486553,820
无形资产806,987-1.93%822,890776,412693,124382,511
商誉417,052-0.55%419,379419,379419,379410,763
其他非流动资产1,445,062-44.55%2,605,8411,929,9461,080,1511,073,302
8,813,863-5.99%9,375,9088,110,1395,632,2104,158,286

流动资产
货币资金1,540,069-43.89%2,744,5653,846,4143,218,1501,457,793
应收账款3,006,91822.39%2,456,8962,113,6451,628,6051,892,980
存货995,762-0.13%997,032907,519905,138810,041
其他流动资产4,163,680103.23%2,048,7922,646,5974,011,0122,846,861
9,706,42917.69%8,247,2859,514,1749,762,9057,007,675

流动负债
短期借款350,134-53.57%754,091473,129112,98524,809
应付票据2,071,65437.56%1,506,0282,495,4771,755,2421,369,008
应付帐款1,673,71818.24%1,415,4851,053,821971,153907,020
其他流动负债965,6781.13%954,8761,326,5851,157,6111,174,112
5,061,1859.30%4,630,4805,349,0123,996,9913,474,948
流动资产净值4,645,24428.44%3,616,8054,165,1625,765,9143,532,726
资产总额减流动负债13,459,1083.59%12,992,71312,275,30111,398,1247,691,012

非流动负债
长期借款426,480-28.28%594,632523,300650,946420,574
应付债券1,820,9961.36%1,796,4791,746,2571,694,8880
其他非流动负债434,63614.71%378,913373,515306,782276,196
2,682,113-3.17%2,770,0242,643,0722,652,616696,769

总权益
    实收股本747,783-0.81%753,883749,625745,694412,472
    储备项目9,549,3476.14%8,997,2918,424,7627,617,8486,357,064
股东权益10,297,1295.60%9,751,1749,174,3878,363,5436,769,536
非控股权益479,8651.77%471,516457,843381,966224,707