002091 江苏国泰
2025/06 - 中期
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1,037,62417.41%883,796896,806478,274365,828
投资性房地产407,5941.59%401,205437,608441,319630,408
固定资产5,163,25639.03%3,713,8413,067,8953,124,3442,146,973
在建工程754,024-65.15%2,163,3351,638,882420,426415,463
无形资产1,287,759-0.26%1,291,0691,251,3071,230,1301,100,550
商誉4,0880.00%4,0884,0884,0884,088
其他非流动资产1,305,988-2.08%1,333,739973,125802,169696,306
9,960,3331.73%9,791,0728,269,7126,500,7505,359,617

流动资产
货币资金12,570,819-14.66%14,729,82820,891,46115,010,48111,406,329
应收账款6,941,2704.40%6,648,9515,405,4755,350,3646,926,076
存货3,482,192-9.40%3,843,5473,350,7063,882,1463,895,274
其他流动资产11,087,6197.36%10,327,7005,222,1198,856,8276,983,592
34,081,900-4.13%35,550,02534,869,76233,099,81829,211,271

流动负债
短期借款3,486,251344.58%784,1741,030,0161,373,057642,488
应付票据3,090,197-9.46%3,412,8963,377,0474,007,6114,112,950
应付帐款7,586,787-5.64%8,040,6696,557,4126,192,8647,452,546
其他流动负债2,260,555-42.46%3,928,4495,246,4933,084,8693,833,337
16,423,7891.59%16,166,18816,210,96714,658,40216,041,320
流动资产净值17,658,111-8.90%19,383,83818,658,79518,441,41613,169,951
资产总额减流动负债27,618,443-5.33%29,174,91026,928,50724,942,16618,529,567

非流动负债
长期借款506,822-79.86%2,516,2901,458,5551,454,516854,637
应付债券4,096,9761.91%4,020,0523,891,3593,759,9104,142,996
其他非流动负债600,475-1.14%607,424341,572269,835192,496
5,204,273-27.15%7,143,7665,691,4865,484,2615,190,128

总权益
    实收股本1,627,6320.00%1,627,6251,627,6111,627,5981,563,537
    储备项目14,110,9540.40%14,055,35513,615,17412,534,0468,937,402
股东权益15,738,5860.35%15,682,98015,242,78514,161,64310,500,938
非控股权益6,675,5845.16%6,348,1645,994,2365,296,2612,838,501