600031 三一重工
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2,449,7571.04%2,424,5182,400,9122,239,0512,333,487
投资性房地产233,1796.93%218,063139,416152,323144,893
固定资产21,749,230-2.77%22,369,34823,453,24419,769,45113,294,549
在建工程1,044,579-8.37%1,139,9561,366,9334,000,8787,417,579
无形资产4,604,208-0.24%4,615,2774,832,1794,437,6793,881,131
商誉52,3519.04%48,01049,66147,50146,495
其他非流动资产20,419,7923.00%19,824,58521,326,66822,509,28317,719,451
50,553,096-0.17%50,639,75753,569,01353,156,16644,837,585

流动资产
货币资金19,865,936-2.54%20,383,17518,071,82721,342,87614,811,867
应收账款28,144,23610.30%25,516,53024,164,72925,022,04719,655,404
存货20,195,4021.24%19,947,98119,767,76219,738,36218,462,609
其他流动资产34,862,713-2.23%35,657,63335,630,02739,661,82940,789,078
103,068,2871.54%101,505,31997,634,345105,765,11493,718,958

流动负债
短期借款5,277,176-11.36%5,953,3564,115,6244,540,0485,777,989
应付票据8,090,7399.49%7,389,3925,074,9859,189,3708,075,894
应付帐款24,365,62414.58%21,264,96717,617,74119,717,31720,484,070
其他流动负债26,620,036-8.40%29,061,51327,618,66434,265,17627,094,411
64,353,5751.07%63,669,22854,427,01467,711,91161,432,364
流动资产净值38,714,7122.32%37,836,09143,207,33138,053,20332,286,594
资产总额减流动负债89,267,8080.90%88,475,84896,776,34491,209,36977,124,179

非流动负债
长期借款10,391,504-10.08%11,556,18223,555,72821,624,9379,602,665
应付债券0--0000
其他非流动负债4,272,9449.06%3,918,0674,058,5833,490,7932,426,382
14,664,448-5.23%15,474,24927,614,31125,115,73012,029,047

总权益
    实收股本8,474,9780.00%8,474,9788,485,7408,493,2868,492,588
    储备项目65,010,3532.41%63,478,26659,543,27756,557,30655,198,320
股东权益73,485,3312.13%71,953,24468,029,01765,050,59263,690,908
非控股权益1,118,0296.65%1,048,3551,133,0161,043,0471,404,224