605138 盛泰集团
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118,81221.42%97,849340,371164,99521,514
投资性房地产189,29657.78%119,97397,535103,56898,219
固定资产2,902,6201.15%2,869,7072,877,4492,373,3242,156,405
在建工程250,14323.80%202,049296,802418,997239,301
无形资产740,261-9.37%816,808821,805439,828385,915
商誉59,6360.00%59,63659,63659,63662,603
其他非流动资产322,74512.49%286,901263,848385,862296,756
4,583,5142.93%4,452,9234,757,4453,946,2103,260,715

流动资产
货币资金721,63877.79%405,896520,6241,162,225455,455
应收账款307,101-27.49%423,502511,192635,304646,398
存货835,008-9.03%917,9161,011,1501,242,3271,192,997
其他流动资产359,753-4.45%376,508560,974355,758421,312
2,223,4994.69%2,123,8222,603,9393,395,6142,716,162

流动负债
短期借款1,630,33982.43%893,6701,453,4572,504,3802,431,210
应付票据0--0075,159113,573
应付帐款255,074-8.74%279,515415,400495,799623,244
其他流动负债726,104-39.99%1,209,997427,231452,708503,488
2,611,5189.58%2,383,1822,296,0893,528,0463,671,515
流动资产净值(388,018)49.61%(259,360)307,851(132,432)(955,353)
资产总额减流动负债4,195,4960.05%4,193,5635,065,2963,813,7782,305,361

非流动负债
长期借款614,750-6.42%656,9281,408,242339,6617,229
应付债券653,2233.29%632,387609,043585,2340
其他非流动负债246,026-0.10%246,276234,723243,506176,312
1,513,999-1.41%1,535,5922,252,0081,168,401183,541

总权益
    实收股本555,5700.00%555,562555,561555,560555,560
    储备项目1,930,411-3.20%1,994,3172,052,2781,983,1071,496,271
股东权益2,485,981-2.51%2,549,8802,607,8392,538,6672,051,831
非控股权益195,51580.88%108,092205,449106,71069,989