000987 越秀资本
2026/03 -
人民币(K¥)
与去年末期
比较
2025/12
人民幣(K¥)
2024/12
人民幣(K¥)
2023/12
人民幣(K¥)
2022/12
人民幣(K¥)

非流动资产
长期股权投资43,343,9614.59%41,443,20633,107,20230,421,07727,978,830
投资性房地产13,355-7.06%14,36918,42322,47826,532
固定资产37,277,688-1.26%37,752,73335,210,49813,190,2921,207,120
在建工程15,50140.94%10,99830,85439,34512,497
无形资产75,034-7.38%81,01460,19466,920222,100
商誉0--0000
其他非流动资产32,788,910-1.69%33,351,33231,970,31238,591,32047,768,471
113,514,4480.76%112,653,651100,397,48382,331,43277,215,549

流动资产
货币资金21,772,02531.89%16,507,40018,688,80318,396,93016,605,723
应收账款715,6786.84%669,876771,945212,664119,053
存货0--01,8221,179,349961,187
其他流动资产81,330,283-2.44%83,367,36599,951,54285,049,76178,393,302
103,817,9863.26%100,544,641119,414,112104,838,70596,079,265

流动负债
短期借款10,555,74129.19%8,170,8297,244,3189,395,52611,261,223
应付票据1,995,885-3.15%2,060,7031,638,5191,349,5711,322,395
应付帐款508,8625.87%480,6567,817,166515,0583,364
其他流动负债55,593,623-10.33%62,000,16864,142,49655,652,65661,996,533
68,654,110-5.58%72,712,35680,842,49866,912,81174,583,514
流动资产净值35,163,87526.34%27,832,28438,571,61437,925,89321,495,751
资产总额减流动负债148,678,3245.83%140,485,935138,969,097120,257,32598,711,301

非流动负债
长期借款60,548,06112.88%53,640,49357,911,26851,451,37433,849,839
应付债券32,814,6070.15%32,764,60132,702,90925,725,82123,741,695
其他非流动负债3,934,737-3.84%4,091,9822,446,0201,533,8621,974,911
97,297,4067.51%90,497,07693,060,19778,711,05659,566,445

总权益
    实收股本5,017,1320.00%5,017,1325,017,1325,017,1325,017,132
    储备项目29,477,9394.48%28,212,82826,153,31423,612,27321,983,036
股东权益34,495,0723.81%33,229,96031,170,44628,629,40527,000,168
非控股权益16,885,8470.76%16,758,89914,738,45412,916,86412,144,687