000333 美的集团
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5,184,339-0.75%5,223,4784,976,1095,188,8173,796,705
投资性房地产1,174,906-0.81%1,184,5411,293,629809,936859,195
固定资产36,947,47410.20%33,528,90830,937,96326,082,99222,852,848
在建工程5,650,6465.34%5,363,9774,681,2203,843,7772,690,930
无形资产20,084,56318.08%17,008,97818,457,73616,908,91517,173,072
商誉31,869,1327.74%29,581,01430,858,23728,548,65327,874,752
其他非流动资产114,022,492-7.60%123,397,171113,512,31080,072,90663,834,097
214,933,552-0.16%215,288,067204,717,204161,455,996139,081,599

流动资产
货币资金161,278,20314.86%140,410,30881,673,84655,270,09971,875,556
应收账款48,667,14135.95%35,798,97432,884,73928,237,97324,636,440
存货52,740,554-16.73%63,339,18847,339,25546,044,89745,924,439
其他流动资产157,165,2595.12%149,515,316119,423,140131,546,302106,428,070
419,851,1577.91%389,063,786281,320,980261,099,271248,864,505

流动负债
短期借款43,533,14840.39%31,008,5498,819,1765,169,4805,381,623
应付票据27,828,2257.14%25,973,82221,707,60825,572,42132,752,007
应付帐款96,970,0064.49%92,800,42672,530,46564,233,22565,983,559
其他流动负债201,311,726-0.36%202,037,009148,188,472111,366,615118,734,287
369,643,1055.07%351,819,806251,245,721206,341,741222,851,476
流动资产净值50,208,05234.81%37,243,98030,075,25954,757,53026,013,029
资产总额减流动负债265,141,6044.99%252,532,047234,792,463216,213,526165,094,628

非流动负债
长期借款7,647,895-27.11%10,491,75746,138,73650,685,94819,734,020
应付债券3,238,065-0.88%3,266,7753,217,9693,163,6160
其他非流动负债12,629,22213.71%11,106,12411,136,10910,440,16010,535,532
23,515,182-5.43%24,864,65660,492,81464,289,72430,269,552

总权益
    实收股本7,660,3560.06%7,655,9567,025,7696,997,2736,986,564
    储备项目222,163,9146.25%209,094,101155,853,056135,937,963117,881,560
股东权益229,824,2706.03%216,750,057162,878,825142,935,236124,868,124
非控股权益11,802,1528.10%10,917,33411,420,8248,988,5669,956,952