600773 西藏城投
2025/03 -
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4,632-0.94%4,67676,983172,797163,817
投资性房地产57,364-1.29%58,113425,201164,30161,415
固定资产2,786,98717.57%2,370,4702,197,7952,420,0361,401,101
在建工程0-100.00%396,523293,15489,81379,691
无形资产205,688-0.66%207,053214,327220,896227,822
商誉0--0000
其他非流动资产202,8091.72%199,386524,977481,864477,576
3,257,4790.66%3,236,2213,732,4363,549,7072,411,423

流动资产
货币资金984,9361.57%969,714563,685583,432854,299
应收账款5,117-34.18%7,77419,54814,49511,202
存货6,573,325-6.14%7,003,3598,748,2859,337,25910,992,599
其他流动资产491,586-18.70%604,640442,905459,635317,946
8,054,965-6.18%8,585,4889,774,42210,394,82112,176,046

流动负债
短期借款80,088116.27%37,03125,0340100,133
应付票据100,0000.00%100,000000
应付帐款755,183-27.71%1,044,6861,374,2721,681,1821,853,457
其他流动负债3,627,981-12.82%4,161,3105,514,8315,064,5194,401,317
4,563,251-14.59%5,343,0286,914,1386,745,7016,354,907
流动资产净值3,491,7137.69%3,242,4602,860,2853,649,1215,821,139
资产总额减流动负债6,749,1934.18%6,478,6816,592,7217,198,8288,232,562

非流动负债
长期借款1,740,40521.12%1,436,9741,894,3042,425,9164,334,266
应付债券101,6220.68%100,936806,095805,656200,480
其他非流动负债320,1117.94%296,571220,279274,18927,309
2,162,13717.86%1,834,4822,920,6783,505,7614,562,055

总权益
    实收股本951,5870.00%951,587819,661819,661819,661
    储备项目3,859,292-0.94%3,895,7183,005,0572,959,9652,867,925
股东权益4,810,879-0.75%4,847,3053,824,7173,779,6253,687,586
非控股权益(223,823)10.20%(203,107)(152,674)(86,559)(17,079)