002851 麦格米特
2024/09 - 九个月
人民币(K¥)
与去年末期
比较
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)
2021/12
人民幣(K¥)
2020/12
人民幣(K¥)

非流动资产
长期股权投资190,9325.06%181,732125,467106,85683,402
投资性房地产83,6412.90%81,28683,51453,71930,527
固定资产1,389,0629.77%1,265,432816,733577,778408,797
在建工程762,46245.49%524,065352,482206,642133,125
无形资产284,160-1.82%289,431292,736258,616234,927
商誉73,4650.00%73,46598,50455,20333,615
其他非流动资产1,587,4361.96%1,556,940823,704500,240452,659
4,371,15810.04%3,972,3502,593,1401,759,0541,377,053

流动资产
货币资金1,295,459117.54%595,509519,633491,814548,822
应收账款2,295,2492.97%2,229,1341,694,7541,239,955846,445
存货2,235,78016.59%1,917,6711,910,9891,653,069844,963
其他流动资产1,355,033-3.13%1,398,7501,746,2631,069,0751,589,078
7,181,52016.94%6,141,0635,871,6404,453,9133,829,308

流动负债
短期借款920,246183.68%324,391397,369181,85897,106
应付票据949,906-10.64%1,063,0161,019,4571,104,553835,050
应付帐款2,678,53021.21%2,209,7411,624,8101,314,733889,342
其他流动负债619,0285.89%584,611401,454313,320236,185
5,167,71123.58%4,181,7593,443,0892,914,4642,057,684
流动资产净值2,013,8092.78%1,959,3042,428,5501,539,4491,771,625
资产总额减流动负债6,384,9677.64%5,931,6545,021,6903,298,5033,148,678

非流动负债
长期借款243,80050.49%162,0000010,010
应付债券1,140,4624.56%1,090,7601,026,68400
其他非流动负债114,477-17.28%138,384163,360106,82844,469
1,498,7397.73%1,391,1441,190,044106,82854,479

总权益
    实收股本504,0640.59%501,102497,569497,569501,908
    储备项目4,252,0928.59%3,915,9103,206,3812,659,3932,567,494
股东权益4,756,1567.68%4,417,0123,703,9503,156,9633,069,401
非控股权益130,0735.32%123,498127,69634,71224,797