600881 亚泰集团
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10,590,4262.56%10,326,22210,229,5059,983,6729,872,457
投资性房地产568,510-2.40%582,482563,342558,293572,766
固定资产7,842,548-6.21%8,361,6749,350,8429,907,87610,269,114
在建工程229,33426.58%181,176181,502108,141144,133
无形资产2,079,778-3.50%2,155,1802,332,5742,368,4202,460,871
商誉369,1000.00%369,100635,4601,232,1461,232,146
其他非流动资产1,269,084-7.34%1,369,5791,566,2161,767,7162,044,143
22,948,779-1.70%23,345,41224,859,44125,926,26426,595,631

流动资产
货币资金857,78216.00%739,467737,8552,639,8204,362,558
应收账款4,222,571-3.30%4,366,5565,120,4075,237,9846,417,618
存货9,005,9323.75%8,680,5479,480,20212,127,65711,285,845
其他流动资产5,227,9782.35%5,107,7095,363,1197,786,5347,714,976
19,314,2632.22%18,894,28020,701,58327,791,99529,780,997

流动负债
短期借款25,146,038-0.98%25,395,83823,592,56725,766,24622,494,827
应付票据0--018,708055,230
应付帐款3,640,4672.72%3,544,1374,096,3845,246,1603,889,028
其他流动负债5,183,302-28.00%7,199,2538,079,1957,404,3758,917,250
33,969,807-6.00%36,139,22735,786,85538,416,78235,356,335
流动资产净值(14,655,544)-15.02%(17,244,948)(15,085,271)(10,624,787)(5,575,338)
资产总额减流动负债8,293,23535.94%6,100,4649,774,16915,301,47721,020,292

非流动负债
长期借款5,082,488235.57%1,514,5961,532,8552,064,7183,036,080
应付债券12,000-25.00%16,00020,00024,00028,000
其他非流动负债1,188,005-1.57%1,206,9031,257,9791,364,5311,714,188
6,282,492129.50%2,737,4992,810,8353,453,2494,778,268

总权益
    实收股本3,232,151-0.52%3,248,9143,248,9143,248,9143,248,914
    储备项目(1,535,916)228.08%(468,152)2,509,6596,400,4509,829,446
股东权益1,696,235-39.00%2,780,7615,758,5729,649,36413,078,359
非控股权益314,507-45.98%582,2041,204,7622,198,8653,163,665