600893 航发动力
2025/03 -
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2,598,3551.17%2,568,3532,448,0242,476,9202,275,357
投资性房地产331,838-0.42%333,236325,930340,15346,058
固定资产22,375,507-0.72%22,537,53921,058,61819,798,29818,542,959
在建工程2,337,1965.26%2,220,3422,449,1262,340,8102,833,050
无形资产2,625,3012.22%2,568,4052,677,2862,419,7382,449,964
商誉0--0000
其他非流动资产1,945,3918.83%1,787,5401,892,8292,214,2712,197,909
32,213,5880.62%32,015,41530,851,81329,590,18928,345,297

流动资产
货币资金3,221,839-58.32%7,729,6588,382,0819,374,41015,906,776
应收账款35,048,327-1.88%35,719,78020,939,40516,447,71412,945,431
存货37,247,47917.50%31,699,48129,662,90225,733,80920,515,303
其他流动资产5,080,812-41.93%8,748,9659,959,3528,823,86512,935,691
80,598,457-3.93%83,897,88468,943,73960,379,79762,303,201

流动负债
短期借款14,761,343-25.19%19,730,5898,514,2442,015,8451,586,430
应付票据14,193,583-17.27%17,157,27514,606,62013,592,52912,091,392
应付帐款27,540,04812.75%24,424,77917,978,34912,976,71210,505,373
其他流动负债11,902,85628.02%9,297,30614,305,40020,648,66526,363,170
68,397,829-3.13%70,609,94955,404,61349,233,75150,546,366
流动资产净值12,200,627-8.18%13,287,93413,539,12711,146,04611,756,835
资产总额减流动负债44,414,216-1.96%45,303,35044,390,94040,736,23640,102,132

非流动负债
长期借款822,3120.01%822,240572,926779,868646,210
应付债券0--0000
其他非流动负债(4,164,237)304.94%(1,028,355)(37,640)(1,328,329)(481,481)
(3,341,925)1,521.39%(206,115)535,286(548,461)164,729

总权益
    实收股本2,665,5940.00%2,665,5942,665,5942,665,5942,665,594
    储备项目37,238,0840.07%37,210,75036,789,44835,737,09834,786,197
股东权益39,903,6780.07%39,876,34439,455,04238,402,69237,451,791
非控股权益7,852,46339.40%5,633,1214,400,6122,882,0052,485,612