600477 杭萧钢构
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41,71733.40%31,27141,56445,72548,730
投资性房地产34,593-25.27%46,29134,07636,93139,116
固定资产3,036,0091.59%2,988,5891,974,4701,647,4161,339,279
在建工程394,456-22.81%510,9981,033,115575,036255,413
无形资产756,933-1.47%768,256791,130570,180405,348
商誉0--0000
其他非流动资产1,414,125-3.24%1,461,4021,458,4831,341,9551,382,254
5,677,832-2.22%5,806,8065,332,8384,217,2443,470,140

流动资产
货币资金572,47728.13%446,796767,224774,317552,884
应收账款2,634,069-20.12%3,297,4073,001,9322,234,8271,451,210
存货602,239-6.03%640,861711,727796,025864,721
其他流动资产5,999,612-5.48%6,347,3976,604,4585,908,9615,415,150
9,808,396-8.61%10,732,46111,085,3419,714,1318,283,965

流动负债
短期借款3,944,108-0.88%3,979,0153,715,0662,875,6312,220,045
应付票据270,85752.98%177,054293,795272,942465,097
应付帐款3,024,265-22.47%3,900,5783,832,6102,950,6832,837,915
其他流动负债1,288,461-12.65%1,475,0091,416,0861,699,8261,145,399
8,527,691-10.53%9,531,6569,257,5567,799,0816,668,456
流动资产净值1,280,7056.65%1,200,8051,827,7841,915,0501,615,509
资产总额减流动负债6,958,537-0.70%7,007,6127,160,6236,132,2945,085,649

非流动负债
长期借款1,328,979-0.33%1,333,4201,354,114486,150311,297
应付债券0--0000
其他非流动负债229,477-7.62%248,398246,759198,488139,470
1,558,456-1.48%1,581,8171,600,873684,638450,767

总权益
    实收股本2,368,9660.00%2,368,9662,369,1112,369,1112,153,737
    储备项目2,712,6310.22%2,706,7662,812,4152,703,6232,148,331
股东权益5,081,5970.12%5,075,7325,181,5265,072,7344,302,069
非控股权益318,484-9.02%350,063378,224374,921332,814