002239 奥特佳
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483,9375.29%459,642412,227362,092356,091
投资性房地产21,110-2.96%21,75423,04124,33925,440
固定资产1,483,012-2.11%1,515,0071,517,7551,351,5511,287,285
在建工程278,4072.63%271,280194,967186,862318,160
无形资产484,333-3.42%501,502493,997555,088414,641
商誉1,689,206-0.08%1,690,6321,693,3741,695,9671,698,918
其他非流动资产591,1316.59%554,579685,886642,096481,621
5,031,1360.33%5,014,3955,021,2474,817,9944,582,156

流动资产
货币资金739,245-40.49%1,242,1492,024,1621,630,6921,102,131
应收账款2,576,351-3.08%2,658,3402,330,3191,871,5341,418,371
存货1,446,344-10.54%1,616,6762,142,2481,958,5211,626,721
其他流动资产1,461,7345.20%1,389,5461,270,2151,885,3741,393,884
6,223,675-9.89%6,906,7107,766,9447,346,1205,541,107

流动负债
短期借款162,086-77.62%724,2381,292,9441,416,4761,419,890
应付票据1,385,859-11.98%1,574,5681,820,1591,349,696792,536
应付帐款1,957,310-3.04%2,018,7402,274,5391,893,3061,393,009
其他流动负债1,169,6906.88%1,094,4161,338,0851,462,649967,039
4,674,946-13.62%5,411,9626,725,7286,122,1284,572,475
流动资产净值1,548,7293.61%1,494,7491,041,2171,223,993968,633
资产总额减流动负债6,579,8651.09%6,509,1446,062,4636,041,9875,550,788

非流动负债
长期借款419,737-19.50%521,40970,93760,67020,232
应付债券0--0000
其他非流动负债474,42813.15%419,273320,336342,325272,302
894,165-4.95%940,682391,273402,995292,534

总权益
    实收股本3,309,544-0.00%3,309,6243,243,2583,243,2583,243,258
    储备项目2,318,5985.31%2,201,6932,302,2572,281,6162,001,990
股东权益5,628,1422.12%5,511,3175,545,5155,524,8745,245,248
非控股权益57,5580.72%57,144125,675114,11813,007