002208 合肥城建
2025/03 -
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606,108-0.39%608,472443,551453,440408,866
投资性房地产2,520,6041.87%2,474,2301,002,385888,122971,513
固定资产145,521-0.94%146,901147,290123,056107,660
在建工程0-100.00%10618,1745,4456,461
无形资产10,719-2.69%11,01511,8802,1472,631
商誉1270.00%127128133161
其他非流动资产541,116-2.16%553,051205,62190,48759,692
3,824,1960.80%3,793,9041,829,0301,562,8281,556,983

流动资产
货币资金3,698,243-31.07%5,364,9424,326,3514,701,2783,570,700
应收账款449,98532.73%339,026280,331276,37452,544
存货24,083,9055.20%22,892,79124,973,76023,068,66516,233,734
其他流动资产4,649,192-26.61%6,334,9065,979,1953,839,7711,143,369
32,881,324-5.87%34,931,66435,559,63731,886,08821,000,348

流动负债
短期借款1,178,397-14.78%1,382,762500,581651,004150,231
应付票据0--0000
应付帐款2,313,895-5.25%2,442,1061,978,8851,666,0131,034,320
其他流动负债16,057,910-9.89%17,819,78217,242,08114,314,67211,619,426
19,550,202-9.68%21,644,65019,721,54716,631,68912,803,976
流动资产净值13,331,1220.33%13,287,01415,838,09015,254,3998,196,372
资产总额减流动负债17,155,3180.44%17,080,91817,667,12016,817,2289,753,355

非流动负债
长期借款6,176,957-6.38%6,598,1976,480,6846,868,1911,833,927
应付债券1,160,00065.71%700,000458,809514,655702,206
其他非流动负债30,3101.60%29,83426,47528,148107,166
7,367,2680.54%7,328,0306,965,9687,410,9952,643,298

总权益
    实收股本803,2920.00%803,292803,292803,292803,292
    储备项目5,674,0580.16%5,664,8175,789,6695,610,4195,356,424
股东权益6,477,3500.14%6,468,1096,592,9616,413,7116,159,716
非控股权益3,310,7010.79%3,284,7794,108,1912,992,522950,341