601609 金田股份
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5,349-9.29%5,8976,99411,87011,644
固定资产5,630,061-1.55%5,718,5305,424,7055,215,5334,242,291
在建工程485,59619.21%407,339459,376398,315923,391
无形资产520,6580.21%519,567527,777537,630549,713
商誉0--0000
其他非流动资产437,5158.03%405,001335,453351,898308,608
7,079,1790.32%7,056,3356,754,3046,515,2466,035,647

流动资产
货币资金1,231,083-24.52%1,630,989388,315685,0031,143,408
应收账款8,012,7427.85%7,429,6096,312,4275,200,2134,208,138
存货6,884,07113.20%6,081,2005,160,5684,929,5935,015,268
其他流动资产3,347,332-7.12%3,604,0153,215,7142,678,1562,695,678
19,475,2273.89%18,745,81315,077,02413,492,96513,062,493

流动负债
短期借款4,399,72131.15%3,354,8423,034,7882,139,5822,941,567
应付票据1,706,472-4.49%1,786,624969,494877,8151,090,540
应付帐款1,221,302-39.24%2,010,1351,215,5392,825,7771,942,986
其他流动负债4,482,84527.14%3,525,8592,027,8902,279,6632,586,481
11,810,34010.61%10,677,4617,247,7128,122,8388,561,574
流动资产净值7,664,887-5.00%8,068,3527,829,3125,370,1284,500,919
资产总额减流动负债14,744,066-2.52%15,124,68714,583,61611,885,37310,536,566

非流动负债
长期借款2,345,304-26.10%3,173,6912,788,9542,150,2501,024,500
应付债券2,740,9251.36%2,704,0952,662,5011,344,2421,296,867
其他非流动负债704,9604.71%673,279648,047619,596583,422
5,791,189-11.60%6,551,0646,099,5024,114,0872,904,789

总权益
    实收股本1,485,500-0.03%1,485,9151,478,8851,479,9081,480,480
    储备项目7,229,6825.40%6,859,1796,777,0616,074,2026,015,962
股东权益8,715,1834.43%8,345,0948,255,9467,554,1107,496,442
非控股权益237,6944.01%228,528228,169217,176135,335