600170 上海建工
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9,816,9753.54%9,481,2159,824,1688,476,1415,912,375
投资性房地产4,421,8310.82%4,386,0043,564,3764,366,7924,943,231
固定资产10,156,941-2.02%10,366,72410,034,7918,676,0668,374,337
在建工程1,390,879-5.08%1,465,3591,186,3791,072,9581,276,366
无形资产3,774,650-9.02%4,148,8754,136,6353,966,7112,762,560
商誉461,6380.00%461,638443,011467,570525,389
其他非流动资产59,087,959-6.63%63,284,28165,912,90357,580,78154,361,543
89,110,873-4.79%93,594,09695,102,26384,607,01978,155,800

流动资产
货币资金83,943,066-18.90%103,501,26698,204,76488,644,53784,152,698
应收账款57,965,618-13.99%67,395,11163,962,45762,489,42655,206,090
存货61,314,8622.33%59,916,40960,296,78164,849,15369,747,686
其他流动资产65,069,5034.17%62,464,15764,511,39466,213,48466,503,618
268,293,048-8.52%293,276,943286,975,396282,196,600275,610,092

流动负债
短期借款15,002,29435.59%11,064,7119,657,0569,988,3998,603,591
应付票据4,981,15325.63%3,964,9255,908,08213,410,04013,521,173
应付帐款154,302,938-16.57%184,943,909172,087,826156,860,959143,840,278
其他流动负债71,272,558-11.92%80,918,74477,451,58268,192,62175,536,657
245,558,942-12.58%280,892,289265,104,546248,452,020241,501,699
流动资产净值22,734,10683.57%12,384,65421,870,85033,744,58034,108,393
资产总额减流动负债111,844,9785.54%105,978,750116,973,113118,351,599112,264,193

非流动负债
长期借款48,547,5761.92%47,634,85752,195,48156,613,00750,177,481
应付债券7,799,812237.95%2,308,0009,551,6336,160,7775,802,550
其他非流动负债3,959,061-4.67%4,153,1454,016,5554,497,7624,717,105
60,306,44811.48%54,096,00365,763,66967,271,54660,697,137

总权益
    实收股本8,885,9400.00%8,885,9408,885,9408,904,3988,904,398
    储备项目37,005,165-0.46%37,175,78032,163,09631,550,85432,057,168
股东权益45,891,105-0.37%46,061,72041,049,03640,455,25240,961,566
非控股权益5,647,425-2.98%5,821,02710,160,40710,624,80110,605,490