000829 天音控股
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660,3371.51%650,506664,449200,577208,051
投资性房地产3,324,7060.00%3,324,7062,999,192146,494153,882
固定资产68,762-9.06%75,61480,89897,28991,031
在建工程815,13520.32%677,451572,8211,321,132834,804
无形资产330,623-6.82%354,818386,9261,215,3301,256,081
商誉907,8690.00%907,869907,869907,869907,869
其他非流动资产1,311,566-2.48%1,344,9321,362,3741,323,4431,056,760
7,418,9991.13%7,335,8976,974,5305,212,1344,508,478

流动资产
货币资金4,967,69922.31%4,061,6684,576,1754,250,3955,703,035
应收账款3,620,67775.59%2,062,0581,426,8391,032,878870,292
存货6,156,40041.74%4,343,4595,207,6395,331,2283,993,997
其他流动资产2,807,841-45.52%5,154,0924,075,2655,620,8523,271,592
17,552,61612.36%15,621,27815,285,91816,235,35313,838,916

流动负债
短期借款11,382,7148.64%10,477,8997,876,52310,409,6476,759,495
应付票据4,997,43711.87%4,467,2624,512,5813,889,7054,432,287
应付帐款1,609,00178.05%903,6751,057,688461,920354,281
其他流动负债2,509,8182.35%2,452,1844,347,0151,818,7182,465,451
20,498,97012.01%18,301,02117,793,80616,579,99014,011,515
流动资产净值(2,946,354)9.95%(2,679,743)(2,507,888)(344,637)(172,599)
资产总额减流动负债4,472,645-3.94%4,656,1544,466,6414,867,4974,335,880

非流动负债
长期借款1,258,491-8.30%1,372,4471,212,230925,068666,043
应付债券0--001,276,665967,732
其他非流动负债200,656-6.80%215,290194,77431,22952,035
1,459,148-8.10%1,587,7371,407,0042,232,9611,685,811

总权益
    实收股本1,025,1000.00%1,025,1001,025,1001,025,1001,025,100
    储备项目1,891,225-3.67%1,963,3091,976,5201,566,9861,593,381
股东权益2,916,325-2.41%2,988,4103,001,6212,592,0872,618,481
非控股权益97,17221.45%80,00858,01742,44931,588