601800 中国交建
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116,613,6121.96%114,372,064113,470,92699,318,58585,335,504
投资性房地产12,023,27418.69%10,130,26611,453,96212,437,2968,088,833
固定资产64,595,464-0.23%64,741,21363,685,04350,500,97549,066,196
在建工程14,296,312-0.90%14,425,61210,717,1469,615,30311,374,185
无形资产225,193,2198.53%207,497,914210,098,977227,663,680236,636,767
商誉5,491,9973.63%5,299,8365,454,6395,181,6425,120,450
其他非流动资产698,165,0256.94%652,880,491583,259,758492,430,023427,915,338
1,136,378,9046.27%1,069,347,396998,140,451897,147,503823,537,274

流动资产
货币资金162,400,84013.98%142,480,962120,983,430113,323,164104,652,959
应收账款148,775,6517.79%138,018,850116,472,401106,513,05097,564,086
存货117,942,60415.48%102,134,24288,021,21578,262,89473,067,376
其他流动资产474,175,08516.71%406,291,142360,794,881321,465,987292,287,536
903,294,18014.50%788,925,197686,271,927619,565,095567,571,956

流动负债
短期借款133,045,92579.28%74,210,21549,029,31636,029,24534,539,596
应付票据31,498,8526.22%29,654,92635,535,42846,375,98244,145,238
应付帐款404,180,4662.03%396,124,397356,299,108306,787,864273,199,660
其他流动负债412,472,26611.84%368,818,366321,390,828275,186,477247,498,176
981,197,50912.94%868,807,903762,254,680664,379,567599,382,670
流动资产净值(77,903,329)-2.48%(79,882,707)(75,982,753)(44,814,473)(31,810,714)
资产总额减流动负债1,058,475,5756.97%989,464,689922,157,698852,333,031791,726,560

非流动负债
长期借款422,385,7627.49%392,946,217372,310,056344,551,158320,378,743
应付债券57,157,59313.66%50,286,05525,553,71726,509,97929,734,167
其他非流动负债93,501,20519.24%78,417,42665,093,65053,780,26150,218,227
573,044,5609.85%521,649,698462,957,422424,841,398400,331,137

总权益
    实收股本16,278,6110.00%16,278,61116,263,66116,165,71116,165,711
    储备项目313,339,5675.45%297,146,715285,503,237266,333,462244,223,291
股东权益329,618,1785.17%313,425,326301,766,899282,499,174260,389,002
非控股权益155,812,8370.92%154,389,665157,433,377144,992,459131,006,421