600138 中青旅
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2,431,703-0.82%2,451,8162,762,4192,777,1912,569,789
投资性房地产183,2121.20%181,038188,541190,828182,343
固定资产5,366,577-2.91%5,527,6734,534,9314,619,8624,219,230
在建工程17,1874.07%16,515842,714260,788506,099
无形资产1,124,087-2.57%1,153,7131,188,5511,225,6041,153,082
商誉14,7710.00%14,77147,58447,58447,584
其他非流动资产1,414,979-9.56%1,564,4941,880,4062,010,251899,795
10,552,516-3.28%10,910,02011,445,14711,132,1079,577,923

流动资产
货币资金1,158,231-5.39%1,224,2151,196,6471,391,0921,755,979
应收账款2,631,03513.58%2,316,4602,164,6282,104,9322,191,540
存货1,789,912-9.09%1,968,8712,123,7102,150,7732,877,766
其他流动资产1,053,65721.49%867,307634,620670,530652,213
6,632,8354.01%6,376,8536,119,6066,317,3267,477,498

流动负债
短期借款3,620,02812.31%3,223,1103,709,5143,416,4243,340,312
应付票据4,318--00165,000190,404
应付帐款1,038,648-9.48%1,147,3841,071,0831,205,8671,215,750
其他流动负债2,573,4384.27%2,468,1511,744,3202,491,2922,861,659
7,236,4335.82%6,838,6456,524,9177,278,5837,608,125
流动资产净值(603,598)30.71%(461,792)(405,311)(961,257)(130,627)
资产总额减流动负债9,948,918-4.78%10,448,22711,039,83610,170,8519,447,296

非流动负债
长期借款953,8136.95%891,7951,257,022617,569869,659
应付债券0-100.00%499,034498,47600
其他非流动负债478,211-32.64%709,9661,181,512929,9865,211
1,432,024-31.83%2,100,7962,937,0101,547,555874,871

总权益
    实收股本723,8400.00%723,840723,840723,840723,840
    储备项目5,580,3001.64%5,490,2145,295,7725,624,3845,602,727
股东权益6,304,1401.45%6,214,0546,019,6126,348,2246,326,567
非控股权益2,212,7543.72%2,133,3772,083,2132,275,0722,245,859