601992 金隅集团
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9,297,853-0.65%9,358,4079,188,6947,736,6786,484,149
投资性房地产46,142,3042.42%45,050,11843,671,25438,705,92036,092,290
固定资产43,980,518-2.77%45,233,56244,080,28743,653,96844,371,376
在建工程2,256,92412.66%2,003,3842,604,9953,604,9561,901,031
无形资产16,815,0083.34%16,271,66216,170,02115,887,35316,280,897
商誉2,802,6595.99%2,644,3692,528,3452,513,5032,438,316
其他非流动资产9,532,750-6.90%10,238,75310,361,20212,593,3208,830,020
130,828,0150.02%130,800,256128,604,798124,695,698116,398,079

流动资产
货币资金15,222,427-16.78%18,292,07817,332,11715,996,43621,921,969
应收账款12,839,98221.28%10,587,4418,190,4477,618,1747,523,928
存货83,256,077-0.48%83,656,49295,810,063111,184,131116,928,823
其他流动资产24,920,66120.63%20,659,45319,741,71422,025,61523,584,012
136,239,1462.29%133,195,465141,074,341156,824,356169,958,731

流动负债
短期借款28,149,193-0.66%28,335,16229,527,00725,482,82625,140,608
应付票据4,452,65745.74%3,055,1663,835,2903,633,0623,217,498
应付帐款17,310,313-17.35%20,944,15418,524,37419,027,36019,796,622
其他流动负债35,415,493-20.32%44,444,47065,718,04270,701,41471,579,068
85,327,656-11.83%96,778,952117,604,713118,844,662119,733,796
流动资产净值50,911,49039.80%36,416,51323,469,62837,979,69450,224,935
资产总额减流动负债181,739,5058.68%167,216,768152,074,426162,675,392166,623,014

非流动负债
长期借款61,787,47021.39%50,899,05837,741,84732,637,15529,001,712
应付债券18,418,41523.50%14,913,43311,099,76026,493,95933,499,675
其他非流动负债11,610,24725.02%9,286,9578,868,4488,648,3408,587,821
91,816,13222.26%75,099,44757,710,05567,779,45471,089,208

总权益
    实收股本10,677,7710.00%10,677,77110,677,77110,677,77110,677,771
    储备项目61,162,589-2.98%63,039,72962,329,25452,952,14453,039,721
股东权益71,840,360-2.55%73,717,50073,007,02563,629,91563,717,492
非控股权益18,083,013-1.72%18,399,82121,357,34531,266,02331,816,314