300740 水羊股份
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37,67032.25%28,48520,29220,2205,770
投资性房地产104,318-14.07%121,402129,86000
固定资产916,222-0.20%918,053845,185625,481105,658
在建工程19,06558.60%12,02113,924362,976500,793
无形资产283,929-0.42%285,137260,118255,74270,241
商誉451,5071.97%442,797295,050295,0500
其他非流动资产307,7415.02%293,033235,498226,057382,969
2,120,4520.93%2,100,9271,799,9271,785,5281,065,432

流动资产
货币资金513,4087.64%476,961554,320346,146440,422
应收账款414,79619.41%347,378403,735324,558280,073
存货882,2096.34%829,649794,815898,873727,937
其他流动资产432,291-12.88%496,192562,183300,466231,541
2,242,7054.30%2,150,1802,315,0531,870,0431,679,972

流动负债
短期借款353,6980.22%352,935232,102708,048522,880
应付票据4,983-58.48%12,0007,89531,70871,506
应付帐款131,4684.05%126,356271,963329,730134,536
其他流动负债654,08058.82%411,826533,775371,287278,785
1,144,23026.70%903,1171,045,7361,440,7731,007,707
流动资产净值1,098,475-11.92%1,247,0631,269,317429,270672,265
资产总额减流动负债3,218,926-3.85%3,347,9903,069,2442,214,7971,737,697

非流动负债
长期借款365,839-32.88%545,079357,670442,341129,100
应付债券630,710-0.97%636,909614,58200
其他非流动负债67,753-5.39%71,61322,15933,59214,823
1,064,302-15.10%1,253,600994,411475,933143,923

总权益
    实收股本390,0060.43%388,339389,710389,077411,539
    储备项目1,766,8873.43%1,708,2271,686,0971,355,5751,187,813
股东权益2,156,8922.88%2,096,5652,075,8071,744,6521,599,353
非控股权益(2,268)4.23%(2,176)(974)(5,788)(5,578)