600697 欧亚集团
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448,959-12.08%510,626504,030491,841409,137
投资性房地产143,839-2.21%147,090241,797248,004264,013
固定资产11,527,146-3.07%11,891,85411,992,52612,114,88412,274,035
在建工程720,66621.13%594,968733,975708,291943,489
无形资产1,467,759-1.65%1,492,4291,504,4151,564,6651,978,170
商誉105,52942.60%74,00377,50077,50077,500
其他非流动资产1,640,99914.88%1,428,4231,554,1241,794,8651,180,774
16,054,898-0.52%16,139,39316,608,36717,000,05117,127,119

流动资产
货币资金943,08819.87%786,7671,049,105771,408978,398
应收账款74,20923.29%60,19132,49683,37634,620
存货2,181,681-1.80%2,221,6742,484,8232,696,8342,985,449
其他流动资产458,0789.41%418,698458,632741,749900,108
3,657,0564.87%3,487,3304,025,0574,293,3664,898,574

流动负债
短期借款4,429,080-12.36%5,053,4625,842,3806,679,4006,330,000
应付票据1,231,9069.53%1,124,6961,217,171716,370809,210
应付帐款1,168,201-13.81%1,355,3461,770,9931,789,9422,025,726
其他流动负债6,064,825-3.47%6,283,0496,009,9056,118,9466,467,654
12,894,013-6.68%13,816,55414,840,45015,304,65815,632,590
流动资产净值(9,236,957)-10.57%(10,329,224)(10,815,393)(11,011,292)(10,734,016)
资产总额减流动负债6,817,94117.34%5,810,1695,792,9745,988,7596,393,103

非流动负债
长期借款1,848,61085.16%998,4061,068,8821,167,959817,159
应付债券0--0000
其他非流动负债745,84825.91%592,384439,806460,6451,030,827
2,594,45863.09%1,590,7901,508,6871,628,6041,847,986

总权益
    实收股本159,0880.00%159,088159,088159,088159,088
    储备项目2,135,3780.09%2,133,3992,178,7762,226,1882,440,013
股东权益2,294,4660.09%2,292,4872,337,8642,385,2762,599,101
非控股权益1,929,0170.11%1,926,8921,946,4231,974,8791,946,015