600104 上汽集团
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56,312,978-6.71%60,363,26966,701,23264,645,13660,849,205
投资性房地产1,753,102-23.11%2,280,0792,409,6482,184,9003,242,050
固定资产81,788,113-2.99%84,311,76583,891,37479,239,74878,350,634
在建工程11,234,675-1.53%11,409,49013,827,51415,736,20614,828,789
无形资产19,931,5862.72%19,403,10420,838,23418,922,85316,837,427
商誉1,183,122-1.26%1,198,2101,210,7411,227,7491,267,674
其他非流动资产178,237,1491.25%176,035,195198,162,899225,985,445196,537,782
350,440,726-1.28%355,001,112387,041,642407,942,037371,913,561

流动资产
货币资金190,852,426-3.60%197,978,172143,635,984155,156,629138,525,925
应收账款78,606,92212.83%69,667,98168,019,55762,913,10347,463,533
存货75,091,027-2.83%77,277,24698,603,70688,535,00156,635,907
其他流动资产247,459,196-3.79%257,218,907309,349,390275,560,611302,383,769
592,009,571-1.68%602,142,306619,608,637582,165,344545,009,135

流动负债
短期借款36,657,407-31.72%53,689,72244,920,60338,337,47627,849,482
应付票据76,923,427-2.04%78,522,33686,030,21977,636,15241,825,837
应付帐款165,085,4941.52%162,621,561178,672,645166,644,919157,226,454
其他流动负债227,773,5714.92%217,095,792237,816,689261,356,195253,579,458
506,439,899-1.07%511,929,412547,440,155543,974,742480,481,231
流动资产净值85,569,672-5.15%90,212,89472,168,48238,190,60264,527,904
资产总额减流动负债436,010,398-2.07%445,214,006459,210,123446,132,639436,441,465

非流动负债
长期借款16,225,929-55.10%36,138,47051,454,95134,555,46426,911,400
应付债券5,000,0007.28%4,660,81811,424,37415,122,42119,397,208
其他非流动负债59,472,7113.11%57,679,73653,423,56760,154,51761,362,126
80,698,640-18.05%98,479,024116,302,891109,832,402107,670,734

总权益
    实收股本11,495,278-0.69%11,575,29911,683,46111,683,46111,683,461
    储备项目284,028,0692.81%276,264,796274,635,284267,550,065262,090,214
股东权益295,523,3462.67%287,840,095286,318,746279,233,526273,773,675
非控股权益59,788,4121.52%58,894,88656,588,48757,066,71154,997,055