600984 建设机械
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0--0000
投资性房地产140,53719.25%117,848115,139117,54945,185
固定资产6,727,772-2.78%6,920,0508,006,9968,017,9897,948,436
在建工程323,0995.11%307,378280,449477,771454,617
无形资产244,986-2.17%250,419254,136255,409263,167
商誉0--0154,359254,467371,368
其他非流动资产859,099-3.01%885,7221,197,7111,243,538985,964
8,295,494-2.19%8,481,41710,008,79010,366,72310,068,737

流动资产
货币资金729,763-32.97%1,088,6621,328,5501,028,0031,244,588
应收账款3,172,889-7.69%3,437,1554,169,8364,717,4905,271,633
存货423,2818.50%390,105376,988352,972333,466
其他流动资产870,953-12.15%991,4261,095,5791,108,5531,074,398
5,196,886-12.03%5,907,3496,970,9537,207,0187,924,085

流动负债
短期借款985,680-37.20%1,569,4602,029,4222,083,0351,921,358
应付票据52,57888.37%27,912101,270154,786248,737
应付帐款998,909-18.93%1,232,1901,271,9161,459,8641,694,361
其他流动负债2,222,45813.47%1,958,6812,873,5533,523,5162,333,137
4,259,625-11.04%4,788,2446,276,1627,221,2006,197,594
流动资产净值937,260-16.25%1,119,105694,791(14,182)1,726,491
资产总额减流动负债9,232,754-3.83%9,600,52210,703,58110,352,54111,795,228

非流动负债
长期借款2,348,2171.72%2,308,5102,536,4273,637,1292,507,108
应付债券1,025,7440.64%1,019,2401,018,886336,2971,970,112
其他非流动负债3,018,963-4.18%3,150,7142,871,0441,116,4111,307,229
6,392,923-1.32%6,478,4636,426,3575,089,8375,784,449

总权益
    实收股本1,257,0440.00%1,257,0441,257,0441,257,0441,257,044
    储备项目1,531,835-15.61%1,815,1613,020,1804,005,6614,752,411
股东权益2,788,879-9.22%3,072,2054,277,2245,262,7046,009,455
非控股权益50,9522.20%49,854001,323