002822 *ST中装建设
2025/09 - 九个月
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72,3550.68%71,86878,33384,86594,101
投资性房地产108,307-4.03%112,856128,063144,167115,039
固定资产375,134-9.39%413,995443,600322,007233,437
在建工程440,88311.84%394,220487,841541,331255,411
无形资产208,499-7.14%224,519254,228283,941312,376
商誉137,264-2.14%140,262176,361185,48493,205
其他非流动资产176,9793.50%170,990186,553167,603243,452
1,519,420-0.61%1,528,7091,754,9791,729,3981,347,021

流动资产
货币资金151,029-36.25%236,892641,4031,338,7331,795,876
应收账款1,488,661-11.72%1,686,2342,390,3882,650,0192,565,717
存货667,08927.30%524,028526,184471,988371,680
其他流动资产1,954,550-8.47%2,135,3932,794,2443,419,3893,114,881
4,261,328-7.01%4,582,5486,352,2197,880,1297,848,154

流动负债
短期借款1,076,8270.00%1,076,8271,025,0281,680,6031,777,916
应付票据0--0163,454186,934187,079
应付帐款1,473,3763.59%1,422,2791,381,4301,445,1861,176,927
其他流动负债1,436,0156.01%1,354,6121,230,9181,183,4451,193,466
3,986,2173.44%3,853,7183,800,8294,496,1674,335,388
流动资产净值275,111-62.25%728,8302,551,3903,383,9623,512,766
资产总额减流动负债1,794,531-20.51%2,257,5394,306,3695,113,3594,859,787

非流动负债
长期借款208,6706.49%195,950360,969215,00042,505
应付债券180,230-81.20%958,854985,862940,866898,115
其他非流动负债62,722-11.45%70,831113,393289,069255,425
451,622-63.15%1,225,6361,460,2241,444,9341,196,045

总权益
    实收股本961,07831.97%728,233713,629713,642720,541
    储备项目458,76425.14%366,5982,101,2242,827,9312,834,200
股东权益1,419,84229.69%1,094,8312,814,8533,541,5733,554,741
非控股权益(76,933)22.26%(62,928)31,292126,852109,001