2025-05-02182618.5 KB88页19
2025-03-061553.35 MB248页18
2025-03-0613038 KB1页18
2025-03-0814923.5 KB3页18
2025-03-0810776.27 KB11页18
2025-03-0894310 KB13页18
2025-04-23125211 KB8页18
2025-04-2311032.5 KB3页18
2025-04-23182900.5 KB79页18
2025-04-235957 KB2页18
2025-04-23107107.5 KB11页18
2025-04-28851.07 MB121页18
2025-04-2850165.5 KB12页18
2025-04-288323 KB1页18
2025-04-2814437 KB3页18
2025-04-2816458.5 KB1页18
基本假设前提:年末数资产状况流动资产14,233.1641,470.69其中:应收款项1,630.533,873.33预付帐款1,225.8220,546.03存货997.142,601.93所占比例54.83%77.72%固定资产3,865.854,078.32无形资产6,999.736,856.26其他资产资产总计25,957.8353,361.05负债状况流动负债6,193.1030,766.07其中:短期借款0.000.00其中:应付款项2,157.2824,072.52993.101,047.22所占比例100.00%100.00%长期负债0.000.00其中:长期借款0.000.000.000.00... 2025-04-2811167 KB23页18
2025-04-289940 KB25页18
2025-04-2852569 KB71页18
2025-04-2895178 KB47页18