000158 常山北明
2025/06 - 中期
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159,671-1.41%161,949142,384143,30641,637
投资性房地产810,7130.49%806,762791,941457,910142,401
固定资产1,809,96271.48%1,055,5021,703,3681,933,8202,478,957
在建工程363,47571.22%212,284109,817221,339272,322
无形资产811,889-3.93%845,126855,167695,822674,824
商誉1,911,9990.00%1,911,9991,951,9631,987,7752,033,840
其他非流动资产467,753-6.26%499,011625,637610,893543,809
6,335,46015.34%5,492,6336,180,2766,050,8646,187,791

流动资产
货币资金1,812,138-16.54%2,171,2643,724,3702,399,8032,361,273
应收账款2,922,778-7.01%3,143,1882,961,3033,054,5942,641,115
存货2,829,96539.91%2,022,6662,845,3152,938,7843,010,265
其他流动资产3,612,3940.74%3,585,7062,162,6212,123,0232,397,394
11,177,2752.33%10,922,82411,693,60910,516,20410,410,046

流动负债
短期借款4,098,6429.98%3,726,7973,790,6612,929,8963,039,778
应付票据535,189-5.66%567,2941,141,132951,3031,134,615
应付帐款1,611,905-35.64%2,504,6102,817,4892,941,8972,565,392
其他流动负债3,575,20730.23%2,745,2002,274,0191,778,5951,917,336
9,820,9432.90%9,543,90010,023,3018,601,6908,657,120
流动资产净值1,356,332-1.64%1,378,9241,670,3081,914,5141,752,927
资产总额减流动负债7,691,79311.94%6,871,5577,850,5847,965,3787,940,717

非流动负债
长期借款1,614,26748.43%1,087,529851,2001,311,448631,132
应付债券0--0000
其他非流动负债756,951106.18%367,125616,542711,7861,137,821
2,371,21863.01%1,454,6531,467,7422,023,2331,768,952

总权益
    实收股本1,598,6170.00%1,598,6171,598,6171,598,6171,598,617
    储备项目3,680,128-2.52%3,775,2204,768,6074,350,7544,555,287
股东权益5,278,745-1.77%5,373,8376,367,2235,949,3716,153,903
非控股权益41,830-2.87%43,06715,619(7,226)17,862