600129 太极集团
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12,386-1.10%12,52422,47432,87950,175
投资性房地产179,000-0.81%180,463186,418182,777185,351
固定资产4,265,247-0.84%4,301,2453,935,6323,868,9653,422,310
在建工程996,02814.79%867,660731,099740,808790,198
无形资产1,413,220-0.25%1,416,7761,282,3241,078,1381,141,483
商誉0--0000
其他非流动资产542,687-5.59%574,845649,162648,746874,423
7,408,5680.75%7,353,5136,807,1106,552,3136,463,942

流动资产
货币资金645,241-20.50%811,6231,935,0092,374,4321,454,360
应收账款2,619,04925.34%2,089,5521,978,0582,010,7201,795,992
存货2,507,145-8.05%2,726,7202,690,6322,268,1422,279,680
其他流动资产1,007,882-6.36%1,076,3511,000,9651,719,0151,176,050
6,779,3191.12%6,704,2467,604,6648,372,3106,706,082

流动负债
短期借款4,689,6846.46%4,405,0523,284,0913,401,8442,987,949
应付票据385,203-26.97%527,455638,582447,360881,330
应付帐款1,530,76515.57%1,324,5131,491,3461,654,2951,564,883
其他流动负债2,824,023-8.86%3,098,4634,134,2255,122,7983,563,191
9,429,6740.79%9,355,4829,548,24410,626,2978,997,352
流动资产净值(2,650,356)-0.03%(2,651,236)(1,943,580)(2,253,987)(2,291,270)
资产总额减流动负债4,758,2121.19%4,702,2774,863,5304,298,3264,172,671

非流动负债
长期借款313,4873.54%302,777341,840503,684703,141
应付债券0--0000
其他非流动负债738,093-3.65%766,055775,848837,749867,845
1,051,580-1.61%1,068,8321,117,6881,341,4331,570,986

总权益
    实收股本556,8910.00%556,891556,891556,891556,891
    储备项目3,009,2122.52%2,935,2773,065,2942,531,2592,170,184
股东权益3,566,1032.12%3,492,1683,622,1853,088,1492,727,075
非控股权益140,529-0.53%141,277123,656(131,257)(125,390)