601811 XD新华文轩
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805,130-0.15%806,322771,481748,394754,804
投资性房地产75,735-1.13%76,60294,14695,99782,654
固定资产2,329,113-1.30%2,359,7152,380,7382,453,9822,014,782
在建工程80,8369.73%73,67139,55047,219144,795
无形资产329,022-2.08%336,018369,853391,318379,475
商誉622,6530.00%622,653622,653622,653500,572
其他非流动资产5,277,2125.12%5,020,2013,500,5073,541,6603,652,897
9,519,7012.42%9,295,1837,778,9297,901,2237,529,979

流动资产
货币资金9,205,9740.29%9,179,6789,117,6647,801,8016,040,029
应收账款1,987,11030.15%1,526,8101,477,1711,697,8791,555,884
存货2,659,0159.76%2,422,5892,641,1702,572,8402,742,158
其他流动资产378,425-20.24%474,444772,630677,645905,895
14,230,5244.61%13,603,52114,008,63412,750,16411,243,967

流动负债
短期借款10,0000.00%10,00010,00018,0000
应付票据4,229-5.75%4,48736,30029,77645,286
应付帐款5,883,2767.89%5,453,0325,470,0585,424,4005,406,581
其他流动负债2,213,6384.12%2,126,0182,357,8182,070,2781,888,777
8,111,1436.82%7,593,5377,874,1767,542,4547,340,644
流动资产净值6,119,3801.82%6,009,9846,134,4585,207,7103,903,323
资产总额减流动负债15,639,0812.18%15,305,16613,913,38813,108,93311,433,302

非流动负债
长期借款0--0000
应付债券0--0000
其他非流动负债420,06940.85%298,237499,231446,900323,614
420,06940.85%298,237499,231446,900323,614

总权益
    实收股本1,233,8410.00%1,233,8411,233,8411,233,8411,233,841
    储备项目13,579,0641.54%13,372,61511,837,10711,256,1389,987,719
股东权益14,812,9051.41%14,606,45613,070,94812,489,97911,221,560
非控股权益406,1071.41%400,473343,208172,054(111,871)