300577 开润股份
2026/06 - 中期
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资123,572-56.72%285,510220,974632,970641,003
投资性房地产34,242-3.77%35,58338,26440,94543,164
固定资产1,129,6392.88%1,098,0101,121,988570,819441,199
在建工程92,713-27.22%127,39190,12473,519110,082
无形资产325,810-3.43%337,368348,77385,96287,006
商誉312,234-2.06%318,805325,18383,88980,613
其他非流动资产437,07320.42%362,949308,571181,400178,969
2,455,282-4.30%2,565,6152,453,8771,669,5041,582,037

流动资产
货币资金1,359,19113.71%1,195,321596,342653,178679,183
应收账款1,048,2665.01%998,2981,050,986591,856479,377
存货813,499-6.53%870,290868,013493,137599,773
其他流动资产206,03146.52%140,617182,083180,287176,020
3,426,9866.94%3,204,5252,697,4251,918,4581,934,353

流动负债
短期借款1,935,84928.40%1,507,663551,393299,189479,023
应付票据222,756-29.12%314,276249,415179,202138,915
应付帐款509,2440.96%504,400633,740431,253361,834
其他流动负债399,437-56.62%920,852862,866296,293453,708
3,067,286-5.54%3,247,1912,297,4141,205,9381,433,481
流动资产净值359,700-943.06%(42,666)400,011712,520500,873
资产总额减流动负债2,814,98211.58%2,522,9492,853,8882,382,0242,082,910

非流动负债
长期借款417,000272.32%112,00099,880220,56073,250
应付债券0--00197,748185,878
其他非流动负债173,167-3.65%179,721153,12354,73556,450
590,167102.31%291,721253,003473,042315,578

总权益
    实收股本239,8360.00%239,836239,793239,792239,791
    储备项目1,888,728-1.00%1,907,8191,901,9551,612,8041,473,620
股东权益2,128,565-0.89%2,147,6562,141,7481,852,5961,713,411
非控股权益96,25015.17%83,572459,13756,38553,922