2025-05-0418626 KB4页42
2025-05-04186111.5 KB6页35
2025-05-0418685.5 KB4页15
2025-05-04186528 KB32页50
2025-05-0318623.5 KB6页10
2025-05-03186364 KB38页30
2025-05-0318623.5 KB1页12
2025-05-03186287.5 KB32页33
2025-05-0218615.5 KB1页12
2025-05-02186117.5 KB7页23
2025-05-0218641.5 KB1页50
2025-05-021861015.5 KB146页34
2025-05-0218662.5 KB2页15
2025-05-0218620.5 KB1页17
2025-05-021861.08 MB76页23
2025-05-021863.74 MB348页37
2025-05-02186347.5 KB55页34
基本假设前提:年末数资产状况流动资产85,938.2279,234.7466,557.30其中:应收款项25,231.7424,319.1819,621.38存货26,847.3227,713.6820,745.84所占比例47.99%48.13%44.69%固定资产84,058.5778,426.8972,549.16无形资产38.95231.922,636.55其他资产资产总计179,060.21164,634.15148,926.77负债状况流动负债68,666.9853,544.8169,369.33其中:短期借款30,717.7027,033.2032,962.45其中:应付款项15,245.7516,533.1611,457.2814,... 2025-05-01186293 KB113页47
2025-05-011861.04 MB140页34
2025-05-0118619 KB1页30