603678 火炬电子
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20,954-9.50%23,15417,1364,6690
投资性房地产1,177-10.63%1,31714,92212,89524,909
固定资产2,280,70711.46%2,046,1312,047,6351,175,688981,184
在建工程107,171-68.79%343,437214,656327,505332,814
无形资产248,359-6.71%266,221185,767179,469146,931
商誉132,163-0.11%132,31534,19820,14120,141
其他非流动资产436,12217.32%371,722312,431580,367246,413
3,226,6521.33%3,184,2972,826,7452,300,7341,752,393

流动资产
货币资金570,619-42.87%998,868819,170922,213843,866
应收账款1,522,871-0.31%1,527,5681,577,8991,592,5521,588,693
存货1,312,8030.54%1,305,7591,238,1771,128,683951,994
其他流动资产980,3558.54%903,1821,079,617996,242796,989
4,386,648-7.36%4,735,3774,714,8634,639,6914,181,542

流动负债
短期借款255,206-54.70%563,420563,361799,906537,759
应付票据19,9304.18%19,1301,25615,79715,000
应付帐款393,553-16.42%470,881362,074476,382720,981
其他流动负债182,857-6.20%194,942202,783224,723157,597
851,546-31.79%1,248,3741,129,4741,516,8081,431,336
流动资产净值3,535,1021.38%3,487,0033,585,3893,122,8832,750,206
资产总额减流动负债6,761,7551.36%6,671,3006,412,1345,423,6174,502,598

非流动负债
长期借款444,0124.32%425,607344,850111,57871,351
应付债券400,1442.09%391,948380,309367,341353,635
其他非流动负债171,845-7.30%185,376221,592123,00254,057
1,016,0011.30%1,002,931946,751601,922479,043

总权益
    实收股本458,340-0.12%458,900459,861459,858459,847
    储备项目5,049,9531.88%4,956,8324,821,4304,216,9173,440,454
股东权益5,508,2921.71%5,415,7325,281,2914,676,7753,900,301
非控股权益237,461-6.01%252,637184,091144,921123,254