601669 中国电建
2026/06 - 中期
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资49,873,6217.47%46,406,99744,243,49142,988,00328,873,518
投资性房地产3,363,68212.71%2,984,3713,682,8223,620,4821,758,476
固定资产178,849,4460.14%178,601,182146,138,310128,817,539126,840,836
在建工程68,106,2535.36%64,642,96973,456,24755,802,12024,407,575
无形资产251,355,100-4.22%262,415,942268,899,141267,751,230267,835,332
商誉369,7210.00%369,721369,721384,296375,696
其他非流动资产246,530,6102.43%240,690,929219,382,023196,951,566174,278,444
798,448,4350.29%796,112,112756,171,756696,315,237624,369,877

流动资产
货币资金118,808,441-7.13%127,924,734115,065,86997,651,977100,954,717
应收账款139,265,0447.41%129,655,191125,922,083106,346,966100,400,172
存货24,198,80224.51%19,435,96418,826,65017,119,91616,954,657
其他流动资产345,622,48012.53%307,139,053273,082,386237,120,754197,431,006
627,894,7677.49%584,154,942532,896,989458,239,614415,740,552

流动负债
短期借款108,939,42386.01%58,566,96639,701,80132,669,75623,749,116
应付票据22,008,961-14.78%25,824,85023,202,65724,845,37923,520,544
应付帐款309,656,600-0.47%311,122,109256,995,255229,277,791197,097,460
其他流动负债251,145,510-5.97%267,094,812283,909,481257,980,186228,156,692
691,750,4944.40%662,608,737603,809,194544,773,112472,523,812
流动资产净值(63,855,727)-18.61%(78,453,795)(70,912,206)(86,533,498)(56,783,260)
资产总额减流动负债734,592,7072.36%717,658,318685,259,550609,781,740567,586,617

非流动负债
长期借款388,420,2424.69%371,010,225355,582,084315,206,434285,854,592
应付债券40,538,14015.46%35,108,93927,785,3037,600,00013,399,316
其他非流动负债29,034,441-2.76%29,857,60830,278,62227,270,27327,982,298
457,992,8225.05%435,976,772413,646,009350,076,707327,236,206

总权益
    实收股本17,226,1590.00%17,226,15917,226,15917,226,15917,226,159
    储备项目148,740,018-1.01%150,261,622148,367,411143,409,123134,642,781
股东权益165,966,178-0.91%167,487,781165,593,570160,635,282151,868,941
非控股权益110,633,707-3.12%114,193,764106,019,97099,069,75088,481,471