000100 TCL科技
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24,500,475-3.66%25,431,27129,256,21625,640,57824,047,036
投资性房地产831,742-8.77%911,679946,449761,9021,664,201
固定资产164,949,333-6.50%176,422,621132,477,672113,598,78392,829,902
在建工程26,689,96457.00%17,000,05252,053,83436,965,88531,508,311
无形资产18,223,416-1.06%18,419,54416,783,93113,982,64710,054,045
商誉12,139,93015.43%10,516,7429,161,8529,158,8416,943,265
其他非流动资产30,622,623-3.88%31,858,87923,823,26821,457,76725,173,055
277,957,482-0.93%280,560,788264,503,222221,566,403192,219,815

流动资产
货币资金24,816,23113.19%21,924,27135,378,50131,393,69221,708,905
应收账款23,482,5226.72%22,003,65114,051,66118,238,78212,557,614
存货21,356,75915.56%18,481,75518,001,12214,083,3578,834,958
其他流动资产46,182,23515.78%39,888,62128,061,72623,467,46122,586,987
115,837,74713.24%102,298,29895,493,01087,183,29265,688,464

流动负债
短期借款11,346,55133.91%8,473,58210,215,9119,341,42712,263,714
应付票据7,920,03141.16%5,610,8026,365,6603,275,2964,725,612
应付帐款29,432,4870.10%29,402,49326,381,91224,297,86016,468,932
其他流动负债65,542,99217.59%55,738,27344,577,20143,864,35637,558,256
114,242,06215.13%99,225,15087,540,68480,778,93971,016,514
流动资产净值1,595,685-48.08%3,073,1487,952,3266,404,353(5,328,050)
资产总额减流动负债279,553,167-1.44%283,633,937272,455,548227,970,756186,891,765

非流动负债
长期借款124,141,2975.51%117,662,209118,603,16587,279,08273,589,403
应付债券6,487,355-28.82%9,113,84812,006,85113,066,28118,040,773
其他非流动负债12,311,5566.21%11,591,9069,706,7797,963,5385,204,522
142,940,2083.30%138,367,963140,316,795108,308,90196,834,698

总权益
    实收股本18,779,0810.00%18,779,08117,071,89214,030,64214,030,788
    储备项目34,235,7770.27%34,142,78633,606,62829,010,40320,077,007
股东权益53,014,8580.18%52,921,86750,678,52043,041,04534,107,795
非控股权益83,598,102-9.47%92,344,10781,460,23376,620,81055,949,272