601880 辽港股份
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3,019,0361.50%2,974,5263,530,4163,779,4743,854,129
投资性房地产147,094-15.46%173,988191,467168,476184,436
固定资产30,620,122-5.06%32,252,00729,754,23030,709,97731,618,424
在建工程3,048,94012.78%2,703,3921,811,3762,242,6902,697,450
无形资产6,009,100-2.35%6,153,4705,350,0915,491,7445,624,838
商誉225,9300.00%225,930225,930225,930225,930
其他非流动资产5,127,649-8.88%5,627,1965,372,8475,529,1154,924,066
48,197,871-3.82%50,110,50846,236,35648,147,40549,129,271

流动资产
货币资金5,760,0699.09%5,280,2315,228,4155,285,8074,682,838
应收账款2,069,065-31.17%3,006,2663,304,1792,934,9522,484,559
存货115,098-8.13%125,279133,307135,591113,804
其他流动资产1,194,038-5.58%1,264,6481,450,6831,372,2941,402,779
9,138,270-5.56%9,676,42310,116,5849,728,6448,683,979

流动负债
短期借款57,9314.70%55,3281,000,71800
应付票据0--0000
应付帐款265,325-33.06%396,352322,513343,942299,244
其他流动负债2,249,597-54.33%4,925,7173,857,9586,240,0487,390,415
2,572,853-52.15%5,377,3985,181,1896,583,9907,689,659
流动资产净值6,565,41752.72%4,299,0264,935,3953,144,654994,320
资产总额减流动负债54,763,2880.65%54,409,53451,171,75151,292,05950,123,591

非流动负债
长期借款4,066,366-2.51%4,171,233566,000716,0001,020,537
应付债券998,9890.04%998,5501,997,2062,495,9062,486,907
其他非流动负债5,510,636-5.59%5,836,6535,879,3536,177,7685,562,405
10,575,991-3.91%11,006,4378,442,5609,389,6759,069,849

总权益
    实收股本23,571,767-1.40%23,905,47523,987,06623,987,06623,987,066
    储备项目16,816,0945.81%15,892,18315,614,79214,804,74713,958,969
股东权益40,387,8611.48%39,797,65839,601,85838,791,81337,946,034
非控股权益3,799,4365.38%3,605,4393,127,3333,110,5723,107,707