600548 深高速
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19,876,2760.61%19,755,38318,715,82217,749,07019,108,413
投资性房地产20,886-3.10%21,55523,03426,06938,851
固定资产7,164,996-3.18%7,400,3057,328,8597,209,5015,709,992
在建工程92,2948.72%84,895289,690225,7041,779,733
无形资产24,450,284-1.58%24,843,63726,809,09426,847,60427,091,054
商誉202,8930.00%202,893202,893202,893248,933
其他非流动资产7,744,4491.83%7,605,5237,186,3037,646,7367,045,697
59,552,078-0.60%59,914,19260,555,69559,907,57761,022,673

流动资产
货币资金4,617,16258.74%2,908,5822,152,3683,635,8625,948,689
应收账款985,5892.94%957,469967,4871,052,263993,614
存货1,082,584-1.17%1,095,3741,355,5641,314,2631,338,821
其他流动资产5,801,393116.28%2,682,4142,476,3563,294,7333,001,139
12,486,72763.36%7,643,8396,951,7749,297,12211,282,262

流动负债
短期借款2,672,9303.85%2,573,84911,105,6269,396,2294,120,586
应付票据614,463-29.43%870,67889,736228,67087,244
应付帐款2,199,554-26.38%2,987,8062,588,5462,812,9682,502,175
其他流动负债7,157,134-7.57%7,742,9626,042,57210,805,4849,980,294
12,644,080-10.80%14,175,29619,826,47923,243,35116,690,299
流动资产净值(157,353)-97.59%(6,531,457)(12,874,704)(13,946,229)(5,408,037)
资产总额减流动负债59,394,72611.26%53,382,73547,680,99045,961,34755,614,636

非流动负债
长期借款12,164,204-12.56%13,912,2739,567,7089,573,24810,069,194
应付债券12,985,93727.39%10,194,2237,159,1035,769,5177,086,864
其他非流动负债2,019,545-2.66%2,074,6682,955,4973,254,4446,926,004
27,169,6863.78%26,181,16519,682,30818,597,21024,082,062

总权益
    实收股本2,537,85616.37%2,180,7702,180,7702,180,7702,180,770
    储备项目24,378,98223.61%19,722,75120,177,22719,167,69723,379,820
股东权益26,916,83822.89%21,903,52222,357,99721,348,46825,560,590
非控股权益5,308,2010.19%5,298,0495,640,6856,015,6705,971,984