600547 山东黄金
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2,531,9650.20%2,526,9332,521,9511,988,9011,953,628
投资性房地产122,941-7.46%132,847164,392176,190185,341
固定资产50,366,102-0.91%50,826,26041,746,03230,711,71226,828,497
在建工程14,916,05140.66%10,604,4458,419,8436,121,2744,638,540
无形资产45,884,781-3.09%47,347,83932,521,83419,373,06919,335,764
商誉13,021,930-0.09%13,033,24512,958,8693,156,5373,065,872
其他非流动资产7,158,264-4.39%7,487,1367,634,1597,718,7058,031,596
134,002,0341.55%131,958,705105,967,08169,246,38864,039,239

流动资产
货币资金18,174,64064.07%11,077,27510,224,4429,634,3075,007,717
应收账款587,92919.24%493,049519,965141,181118,238
存货8,060,44418.19%6,819,7468,848,0474,092,2802,983,757
其他流动资产11,136,9378.01%10,311,1809,039,7267,607,4846,158,634
37,959,94932.26%28,701,24928,632,18121,475,25314,268,347

流动负债
短期借款28,954,62610.22%26,269,49720,207,4056,614,2315,783,699
应付票据6,452,089125.00%2,867,6243,917,5883,351,6671,763,043
应付帐款11,814,970-16.21%14,099,9566,634,5093,841,3533,138,513
其他流动负债24,007,60525.37%19,148,74418,699,94420,853,36224,301,660
71,229,29014.18%62,385,82049,459,44634,660,61234,986,915
流动资产净值(33,269,340)-1.23%(33,684,570)(20,827,265)(13,185,360)(20,718,568)
资产总额减流动负债100,732,6932.50%98,274,13585,139,81656,061,02943,320,671

非流动负债
长期借款24,518,900-7.86%26,609,69423,211,33113,548,3055,339,636
应付债券4,000,0000.00%4,000,000000
其他非流动负债8,475,577-6.80%9,094,4188,669,0815,816,2556,197,824
36,994,477-6.82%39,704,11231,880,41319,364,56011,537,460

总权益
    实收股本4,609,9303.05%4,473,4304,473,4304,473,4304,473,430
    储备项目39,845,42219.57%33,324,07528,611,52128,403,61024,746,376
股东权益44,455,35117.61%37,797,50533,084,95132,877,03929,219,806
非控股权益19,282,866-7.17%20,772,51720,174,4533,819,4292,563,405