600284 浦东建设
2025/06 - 中期
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947,005-2.55%971,768953,853931,7911,008,763
投资性房地产2,238,773-3.91%2,329,9592,187,2701,721,763560,649
固定资产445,76611.17%400,966293,922239,571180,283
在建工程32,58910,412.58%3101,8005940
无形资产740,6609.55%676,091470,765406,590335,985
商誉0--0000
其他非流动资产4,757,415-0.45%4,778,8295,329,0993,982,6994,003,944
9,162,2080.05%9,157,9229,236,7097,283,0086,089,624

流动资产
货币资金2,737,759-24.63%3,632,3774,377,2235,838,6952,904,356
应收账款4,084,133-0.59%4,108,5102,704,3552,391,2831,958,832
存货774,353-19.21%958,4921,621,6711,640,9692,258,735
其他流动资产14,435,779-2.95%14,874,42911,758,88610,855,9268,334,311
22,032,023-6.54%23,573,80820,462,13520,726,87315,456,235

流动负债
短期借款1,801,04399.98%900,62450,030150,0430
应付票据23,0805.47%21,88331,67487,031110,802
应付帐款18,419,963-6.90%19,784,10216,544,55114,108,71410,036,663
其他流动负债1,754,393-40.22%2,934,9412,139,9432,739,6831,996,514
21,998,478-6.95%23,641,55118,766,19817,085,47212,143,978
流动资产净值33,545-149.52%(67,743)1,695,9373,641,4013,312,257
资产总额减流动负债9,195,7531.16%9,090,17910,932,64610,924,4099,401,880

非流动负债
长期借款0--0056,72060,000
应付债券999,8960.03%999,5742,800,2582,796,9732,056,342
其他非流动负债206,422-12.00%234,571518,012541,984383,853
1,206,318-2.25%1,234,1453,318,2703,395,6772,500,195

总权益
    实收股本970,2560.00%970,256970,256970,256970,256
    储备项目6,905,8841.92%6,775,6196,551,2756,475,6445,841,863
股东权益7,876,1401.68%7,745,8757,521,5317,445,9006,812,119
非控股权益113,2952.85%110,16092,84582,83289,567