000559 万向钱潮
2025/06 - 中期
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225,767-7.36%243,702262,969289,526310,211
投资性房地产21,418-2.77%22,02823,36259,48133,807
固定资产2,543,456-1.87%2,591,9782,522,7692,684,6482,842,881
在建工程314,05615.53%271,836437,101274,334167,944
无形资产242,057-1.66%246,148222,859224,827212,084
商誉320.00%32323232
其他非流动资产4,731,3781.01%4,684,2325,004,5324,693,2991,142,222
8,078,1630.23%8,059,9558,473,6248,226,1474,709,181

流动资产
货币资金7,555,79923.49%6,118,6975,255,0624,312,5036,237,052
应收账款2,864,27114.11%2,510,1152,298,3052,169,5411,854,141
存货3,355,293-5.13%3,536,8032,813,6542,806,4312,513,350
其他流动资产2,417,90016.77%2,070,5872,049,8281,673,7471,507,070
16,193,26313.75%14,236,20312,416,84910,962,22112,111,613

流动负债
短期借款4,909,35030.41%3,764,6913,554,4952,129,3961,471,143
应付票据1,366,460-18.24%1,671,3671,971,6992,004,2441,720,547
应付帐款4,237,23022.85%3,449,2243,021,7612,739,8472,262,124
其他流动负债2,154,21219.58%1,801,5082,089,6101,505,134731,237
12,667,25218.53%10,686,79010,637,5658,378,6216,185,052
流动资产净值3,526,011-0.66%3,549,4121,779,2842,583,6015,926,561
资产总额减流动负债11,604,174-0.04%11,609,36810,252,90810,809,74710,635,743

非流动负债
长期借款1,258,2481.51%1,239,551165,520919,887900,994
应付债券0--0000
其他非流动负债1,037,8691.56%1,021,8901,037,384970,349950,352
2,296,1171.53%2,261,4421,202,9041,890,2371,851,346

总权益
    实收股本3,303,7910.00%3,303,7913,303,7913,303,7913,303,791
    储备项目5,802,271-0.76%5,846,5275,555,4825,393,0835,250,707
股东权益9,106,062-0.48%9,150,3188,859,2738,696,8748,554,499
非控股权益201,9952.22%197,608190,731222,637229,898