600718 东软集团
2025/09 - 九个月
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3,560,598-0.59%3,581,6003,673,4753,791,3103,962,213
投资性房地产1,205,66025.63%959,725983,0161,127,8461,161,948
固定资产1,888,218-2.90%1,944,7051,467,0381,471,4121,453,078
在建工程39,351343.39%8,875285,07438,81836,996
无形资产1,038,0814.50%993,3351,052,6231,039,317621,345
商誉193,1964,818.43%3,9286,2286,22815,795
其他非流动资产623,140-33.28%934,014360,079442,674403,896
8,548,2441.45%8,426,1827,827,5337,917,6057,655,273

流动资产
货币资金1,907,968-31.62%2,790,2952,412,8292,372,2772,010,850
应收账款1,948,1978.27%1,799,3671,544,3231,379,7971,019,138
存货5,280,03220.35%4,387,0904,946,5285,452,4844,930,394
其他流动资产1,493,44441.05%1,058,8022,259,9541,749,9692,689,492
10,629,6415.92%10,035,55411,163,63410,954,52710,649,874

流动负债
短期借款430,79334.53%320,222300,0005,000600,048
应付票据288,9650.21%288,360471,362468,037765,490
应付帐款1,554,3951.50%1,531,3541,287,4101,547,4911,157,637
其他流动负债6,174,98623.14%5,014,5516,266,6465,660,0765,078,345
8,449,13818.10%7,154,4868,325,4187,680,6047,601,520
流动资产净值2,180,503-24.32%2,881,0692,838,2163,273,9233,048,353
资产总额减流动负债10,728,747-5.12%11,307,25010,665,74911,191,52810,703,626

非流动负债
长期借款0-100.00%730,0000750,000300,000
应付债券0--0000
其他非流动负债1,052,3820.95%1,042,4871,133,8701,129,483744,656
1,052,382-40.63%1,772,4871,133,8701,879,4831,044,656

总权益
    实收股本1,192,329-0.94%1,203,7031,213,4131,223,3731,242,370
    储备项目8,258,881-0.45%8,296,0688,248,2048,014,4698,336,838
股东权益9,451,211-0.51%9,499,7719,461,6179,237,8429,579,208
非控股权益225,154543.44%34,99270,26274,20379,762