600984 建设机械
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0--0000
投资性房地产146,11426.90%115,139117,54945,18514,855
固定资产7,807,266-2.49%8,006,9968,017,9897,948,4367,145,208
在建工程309,35610.31%280,449477,771454,617291,219
无形资产239,492-5.76%254,136255,409263,167257,102
商誉154,3590.00%154,359254,467371,368371,368
其他非流动资产1,159,118-3.22%1,197,7111,243,538985,9641,344,178
9,815,706-1.93%10,008,79010,366,72310,068,7379,423,930

流动资产
货币资金1,397,5425.19%1,328,5501,028,0031,244,5881,676,267
应收账款4,081,815-2.11%4,169,8364,717,4905,271,6335,048,139
存货464,20023.13%376,988352,972333,466413,760
其他流动资产848,927-22.51%1,095,5791,108,5531,074,3981,040,472
6,792,484-2.56%6,970,9537,207,0187,924,0858,178,637

流动负债
短期借款1,378,295-32.08%2,029,4222,083,0351,921,3582,452,486
应付票据34,472-65.96%101,270154,786248,737770,258
应付帐款1,231,989-3.14%1,271,9161,459,8641,694,3611,730,330
其他流动负债2,427,562-15.52%2,873,5533,523,5162,333,1372,738,096
5,072,318-19.18%6,276,1627,221,2006,197,5947,691,171
流动资产净值1,720,165147.58%694,791(14,182)1,726,491487,467
资产总额减流动负债11,535,8717.78%10,703,58110,352,54111,795,2289,911,397

非流动负债
长期借款2,396,637-5.51%2,536,4273,637,1292,507,1081,600,890
应付债券1,005,220-1.34%1,018,886336,2971,970,112500,370
其他非流动负债3,302,68715.03%2,871,0441,116,4111,307,2291,710,166
6,704,5444.33%6,426,3575,089,8375,784,4493,811,425

总权益
    实收股本1,257,0440.00%1,257,0441,257,0441,257,044966,957
    储备项目3,574,28418.35%3,020,1804,005,6614,752,4115,129,721
股东权益4,831,32712.95%4,277,2245,262,7046,009,4556,096,678
非控股权益0--001,3233,293