601929 吉视传媒
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35,0770.00%35,07736,09535,01430,334
投资性房地产611,9040.00%611,904616,638612,400612,332
固定资产7,936,286-2.27%8,120,3378,586,0918,573,8538,044,446
在建工程1,058,1306.44%994,136943,9591,139,2261,455,002
无形资产209,584-1.32%212,377242,245257,479193,570
商誉86,6710.00%86,671116,993116,993116,993
其他非流动资产1,444,203-3.99%1,504,2821,704,8771,841,6101,790,321
11,381,855-1.58%11,564,78512,246,89912,576,57412,242,998

流动资产
货币资金115,517-62.77%310,257591,947389,9251,157,895
应收账款517,61313.14%457,507437,435399,135421,522
存货476,251-2.48%488,3661,056,6851,032,607974,362
其他流动资产241,944-3.94%251,871281,514312,616384,145
1,351,325-10.39%1,508,0012,367,5812,134,2832,937,925

流动负债
短期借款476,99317.38%406,357257,406595,592528,572
应付票据0-100.00%50,00777,595172,208300,572
应付帐款1,208,297-2.96%1,245,1001,613,0971,343,6831,034,099
其他流动负债1,684,061-8.72%1,844,8791,339,1352,169,7772,593,024
3,369,352-4.99%3,546,3423,287,2344,281,2604,456,268
流动资产净值(2,018,027)-1.00%(2,038,341)(919,652)(2,146,977)(1,518,343)
资产总额减流动负债9,363,828-1.71%9,526,44411,327,24710,429,59710,724,655

非流动负债
长期借款2,962,422-1.86%3,018,6273,278,9822,749,4051,883,380
应付债券798,3500.05%797,9691,065,757302,8901,447,481
其他非流动负债307,4421.66%302,435346,273357,699368,025
4,068,214-1.23%4,119,0314,691,0123,409,9943,698,886

总权益
    实收股本3,489,7880.00%3,489,7883,489,7883,301,2853,111,177
    储备项目1,764,353-5.96%1,876,2593,095,1613,663,6313,856,859
股东权益5,254,141-2.09%5,366,0476,584,9496,964,9166,968,035
非控股权益41,4730.26%41,36651,28654,68757,734