600690 海尔智家
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21,544,3922.92%20,932,43920,196,19924,527,80023,200,884
投资性房地产650,044164.07%246,16198,631103,04224,965
固定资产38,584,8752.58%37,613,21633,425,68527,158,34822,308,014
在建工程5,517,827-2.96%5,686,0515,951,8594,094,7124,183,263
无形资产14,119,3700.54%14,042,94012,454,32110,505,8819,550,385
商誉27,599,9230.79%27,384,00824,482,55923,643,59621,827,103
其他非流动资产33,753,2953.17%32,717,28225,545,15315,505,54212,734,430
141,769,7262.27%138,622,097122,154,408105,538,92293,829,045

流动资产
货币资金45,155,831-18.78%55,597,55557,255,96254,162,21246,097,334
应收账款29,867,27212.73%26,494,84622,682,92115,886,74914,625,261
存货42,347,409-1.95%43,189,85639,524,00741,587,78639,913,950
其他流动资产32,375,78120.66%26,832,00519,450,38718,842,15223,275,544
149,746,293-1.56%152,114,261138,913,277130,478,899123,912,088

流动负债
短期借款16,129,43917.01%13,784,36710,895,0769,672,22411,226,212
应付票据23,818,64812.24%21,220,36422,260,99125,098,55825,023,238
应付帐款51,254,311-6.24%54,665,27749,917,97241,885,31442,363,219
其他流动负债45,622,436-24.07%60,084,95140,740,24042,115,10546,274,293
136,824,833-8.63%149,754,960123,814,278118,771,200124,886,962
流动资产净值12,921,460447.68%2,359,30115,098,99911,707,700(974,874)
资产总额减流动负债154,691,1859.72%140,981,398137,253,406117,246,62192,854,172

非流动负债
长期借款11,367,96417.62%9,665,07418,365,30313,590,8673,038,574
应付债券3,500,000--000334,730
其他非流动负债12,966,8623.61%12,514,60211,357,7648,905,4228,206,274
27,834,82625.50%22,179,67729,723,06722,496,28911,579,578

总权益
    实收股本9,382,9130.00%9,382,9139,438,1159,446,5989,398,705
    储备项目110,193,2937.61%102,395,96191,827,87084,012,83970,586,388
股东权益119,576,2066.98%111,778,875101,265,98593,459,43879,985,093
非控股权益7,280,1533.66%7,022,8466,264,3551,290,8951,289,501