600330 天通股份
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316,5318.18%292,591226,704191,322246,484
投资性房地产16,002-3.28%16,54417,66618,75122,611
固定资产3,465,36117.06%2,960,3642,128,6802,350,8961,937,997
在建工程1,297,167-13.13%1,493,2981,443,231839,699802,630
无形资产256,2538.33%236,551239,529238,997217,820
商誉92,0450.00%92,045102,25598,21698,216
其他非流动资产619,651-3.32%640,902576,378583,060732,596
6,063,0105.77%5,732,2954,734,4434,320,9404,058,356

流动资产
货币资金1,856,922-19.83%2,316,3713,059,5962,910,797573,396
应收账款2,000,863-0.60%2,012,9772,040,0632,016,6941,614,376
存货1,425,08814.05%1,249,5631,268,4371,229,1871,159,857
其他流动资产404,41821.27%333,473486,010409,453848,037
5,687,291-3.81%5,912,3836,854,1066,566,1314,195,665

流动负债
短期借款890,74220.29%740,515748,407382,781901,338
应付票据559,564-20.89%707,285803,185527,187303,817
应付帐款1,418,807-4.06%1,478,9051,380,4261,465,6731,185,609
其他流动负债266,552-2.76%274,129338,358397,190380,040
3,135,665-2.04%3,200,8343,270,3762,772,8302,770,804
流动资产净值2,551,626-5.90%2,711,5493,583,7303,793,3011,424,861
资产总额减流动负债8,614,6362.02%8,443,8448,318,1738,114,2425,483,216

非流动负债
长期借款273,97236.88%200,153058,26730,052
应付债券0--0000
其他非流动负债280,95160.34%175,224143,147223,724333,578
554,92347.83%375,377143,147281,991363,630

总权益
    实收股本1,233,4340.00%1,233,4341,233,4341,233,434996,566
    储备项目6,788,7380.62%6,746,6106,894,4726,563,2904,040,749
股东权益8,022,1730.53%7,980,0448,127,9077,796,7245,037,315
非控股权益37,540-57.54%88,42347,11935,52682,272