000016 深康佳A
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4,094,983-13.40%4,728,3615,566,4846,351,2335,902,589
投资性房地产1,577,545-4.44%1,650,8431,470,227802,408776,525
固定资产4,807,828-3.96%5,005,8375,218,2984,114,0304,010,295
在建工程880,1280.81%873,042860,8991,990,3611,490,778
无形资产953,117-3.54%988,0461,087,3861,116,740975,296
商誉22,1970.00%22,19722,19722,19722,197
其他非流动资产4,941,487-2.53%5,069,8095,424,3946,009,2856,095,123
17,277,284-5.78%18,338,13519,649,88520,406,25319,272,803

流动资产
货币资金3,503,221-14.88%4,115,7676,506,3605,988,0956,489,553
应收账款1,314,418-9.90%1,458,9231,726,5462,036,7353,397,729
存货2,523,027-6.37%2,694,6483,249,8984,409,7684,068,538
其他流动资产4,591,03920.65%3,805,2914,692,1305,182,4686,645,898
11,931,706-1.18%12,074,62916,174,93317,617,06620,601,718

流动负债
短期借款5,945,5973.56%5,741,1716,390,5927,579,5599,920,675
应付票据1,054,886-8.30%1,150,311990,4831,054,5741,116,337
应付帐款2,321,494-16.33%2,774,6162,726,8322,659,9473,784,315
其他流动负债8,839,476-5.63%9,366,9478,338,3953,614,1378,346,989
18,161,453-4.58%19,033,04518,446,30214,908,21723,168,316
流动资产净值(6,229,748)-10.47%(6,958,416)(2,271,369)2,708,849(2,566,598)
资产总额减流动负债11,047,536-2.92%11,379,71817,378,51623,115,10316,706,205

非流动负债
长期借款5,073,681-8.26%5,530,6507,779,1508,906,9313,529,141
应付债券3,493,60152.21%2,295,1942,426,9934,792,3922,293,699
其他非流动负债1,540,69516.79%1,319,2231,265,751953,346682,416
10,107,97710.53%9,145,06711,471,89314,652,6706,505,255

总权益
    实收股本2,407,9450.00%2,407,9452,407,9452,407,9452,407,945
    储备项目(1,142,305)2,884.31%(38,277)3,236,4565,233,5156,687,333
股东权益1,265,640-46.59%2,369,6695,644,4017,641,4609,095,278
非控股权益(326,081)141.51%(135,017)262,222820,9731,105,671