600332 白云山
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1,493,164-0.94%1,507,2591,805,6421,584,0631,562,879
投资性房地产143,130-1.34%145,072169,775206,705213,976
固定资产5,457,024-1.32%5,530,0134,379,7973,709,1843,347,592
在建工程1,928,9534.48%1,846,1932,405,1722,108,3271,564,091
无形资产2,826,803-0.07%2,828,7622,886,4142,585,0982,582,390
商誉834,0910.39%830,855829,473829,473829,473
其他非流动资产11,691,6004.08%11,233,23010,126,8926,578,1373,206,814
24,374,7651.90%23,921,38322,603,16417,600,98713,307,215

流动资产
货币资金14,510,832-20.59%18,273,15021,308,84422,499,55322,376,928
应收账款17,648,30312.22%15,725,98315,112,49514,857,59212,816,537
存货10,822,921-15.52%12,811,90211,507,10010,671,57310,437,734
其他流动资产12,690,97915.89%10,951,1938,055,2759,035,5947,179,376
55,673,034-3.62%57,762,22855,983,71457,064,31252,810,574

流动负债
短期借款9,005,028-1.29%9,122,9827,799,0368,538,0658,428,008
应付票据4,399,843-4.04%4,584,8543,844,0363,760,4833,445,816
应付帐款12,011,1092.36%11,734,66711,841,83211,200,34811,287,153
其他流动负债10,692,930-20.64%13,473,18612,750,38713,896,2209,092,874
36,108,911-7.21%38,915,68936,235,29137,395,11632,253,851
流动资产净值19,564,1243.81%18,846,53919,748,42319,669,19620,556,723
资产总额减流动负债43,938,8892.74%42,767,92242,351,58737,270,18333,863,939

非流动负债
长期借款2,097,912-25.22%2,805,5393,323,7181,639,203752,812
应付债券0--0000
其他非流动负债2,202,0570.42%2,192,7482,350,0451,993,1221,784,458
4,299,969-13.97%4,998,2865,673,7633,632,3252,537,270

总权益
    实收股本1,625,7910.00%1,625,7911,625,7911,625,7911,625,791
    储备项目36,093,2475.29%34,278,73733,293,49030,439,33427,436,394
股东权益37,719,0385.05%35,904,52834,919,28132,065,12529,062,184
非控股权益1,919,8822.94%1,865,1081,758,5431,572,7332,264,484