000425 徐工机械
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4,150,5166.32%3,903,8644,509,9582,372,8312,364,912
投资性房地产2,056-51.42%4,2324,5364,8408,884
固定资产23,724,617-3.14%24,494,59122,510,29418,956,26617,393,578
在建工程2,285,77113.11%2,020,7882,923,0922,894,0022,032,419
无形资产8,776,5611.55%8,642,3517,373,7076,443,3545,194,787
商誉0--0001,539
其他非流动资产14,223,7122.16%13,923,62413,613,13315,369,65413,474,042
53,163,2320.33%52,989,45050,934,72146,040,94740,470,161

流动资产
货币资金22,454,05810.27%20,363,41223,371,00527,826,82431,807,615
应收账款49,657,11219.68%41,493,08139,997,58140,456,56938,831,281
存货37,516,82813.90%32,938,19232,378,42035,099,46327,247,161
其他流动资产16,852,6427.17%15,724,59115,312,88025,735,18728,728,981
126,480,64014.44%110,519,276111,059,887129,118,042126,615,038

流动负债
短期借款22,476,32060.24%14,026,63213,526,31917,598,21711,656,236
应付票据26,320,34932.63%19,844,91620,880,42224,677,57333,982,029
应付帐款26,620,33418.30%22,503,10720,963,54925,705,66822,893,705
其他流动负债28,618,13912.20%25,506,58430,995,74828,567,30225,729,100
104,035,14227.06%81,881,23986,366,03796,548,76094,261,069
流动资产净值22,445,498-21.62%28,638,03824,693,85032,569,28332,353,968
资产总额减流动负债75,608,730-7.37%81,627,48875,628,57078,610,23072,824,129

非流动负债
长期借款8,218,540-34.95%12,634,53312,515,22615,506,90510,731,263
应付债券3,198,236-38.46%5,196,7911,998,0502,715,2234,736,046
其他非流动负债2,853,566-1.20%2,888,1973,628,3095,726,4024,571,327
14,270,342-31.13%20,719,52118,141,58523,948,52920,038,636

总权益
    实收股本11,752,972-0.53%11,816,16611,816,16611,816,1667,833,668
    储备项目48,115,3800.83%47,720,27144,328,50441,443,21043,697,129
股东权益59,868,3530.56%59,536,43756,144,67053,259,37651,530,798
非控股权益1,470,0367.18%1,371,5301,342,3151,402,3251,254,695