600153 建发股份
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43,346,00516.98%37,055,56735,496,84324,475,49914,594,009
投资性房地产111,258,278-1.29%112,716,940113,360,27515,521,27314,175,287
固定资产10,365,2105.90%9,787,3798,289,7753,600,9492,813,221
在建工程1,468,479139.92%612,082179,2792,734,795156,696
无形资产3,133,33111.69%2,805,4821,739,4041,041,196869,360
商誉1,276,1891.25%1,260,4471,021,573896,490853,557
其他非流动资产27,712,2226.12%26,114,13830,966,27617,420,14818,313,537
198,559,7154.31%190,352,034191,053,42565,690,35151,775,667

流动资产
货币资金104,500,2559.01%95,867,38398,346,46796,536,33290,268,113
应收账款33,120,37673.32%19,108,84420,923,21313,211,4538,226,451
存货373,458,65813.99%327,632,486370,185,746361,501,307346,825,475
其他流动资产177,682,98931.71%134,906,482140,343,018127,998,228105,363,426
688,762,27819.26%577,515,196629,798,444599,247,320550,683,465

流动负债
短期借款40,619,867284.44%10,566,0419,612,8149,073,9508,999,089
应付票据68,821,583108.46%33,014,90133,362,11925,021,83220,702,249
应付帐款68,306,99317.57%58,100,55259,695,94241,064,78341,765,310
其他流动负债324,778,9389.98%295,295,375354,376,631316,848,377284,769,336
502,527,38226.59%396,976,869457,047,506392,008,942356,235,983
流动资产净值186,234,8963.16%180,538,327172,750,938207,238,377194,447,482
资产总额减流动负债384,794,6113.75%370,890,361363,804,363272,928,728246,223,149

非流动负债
长期借款82,695,29520.08%68,865,58163,231,89056,424,21661,102,938
应付债券42,358,6683.36%40,981,15041,360,82833,394,70728,041,800
其他非流动负债31,473,882-4.29%32,885,81934,572,59817,759,54220,160,456
156,527,8449.67%142,732,550139,165,316107,578,464109,305,194

总权益
    实收股本2,899,539-1.61%2,947,0953,004,0713,005,1712,863,423
    储备项目69,362,1790.47%69,038,80766,506,91255,476,83847,980,277
股东权益72,261,7180.38%71,985,90269,510,98358,482,00950,843,700
非控股权益156,005,050-0.11%156,171,909155,128,063106,868,25586,074,256