000008 神州高铁
2025/03 -
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1,199,8542.14%1,174,7341,241,5761,353,7001,363,376
投资性房地产0--0000
固定资产475,655-1.32%482,036513,064435,737412,660
在建工程889,3290.00%889,297805,722837,756746,818
无形资产157,582-5.68%167,076201,415256,650307,665
商誉2,244,8800.00%2,244,8802,383,0812,661,5332,939,636
其他非流动资产549,9721.05%544,244637,735644,298505,229
5,517,2720.27%5,502,2665,782,5946,189,6736,275,384

流动资产
货币资金994,07020.81%822,829447,878584,8161,118,180
应收账款1,843,852-12.71%2,112,3852,427,6612,328,8172,788,745
存货798,1779.95%725,931797,1851,054,9221,116,449
其他流动资产844,5656.39%793,8511,200,1371,089,8561,086,134
4,480,6640.58%4,454,9964,872,8625,058,4126,109,508

流动负债
短期借款2,192,599-5.99%2,332,3352,841,7792,099,2943,067,645
应付票据85,93118.61%72,44797,40580,470147,536
应付帐款1,264,039-9.06%1,389,9801,267,1301,357,6931,319,688
其他流动负债1,505,354-7.35%1,624,6932,217,2192,351,9161,003,480
5,047,923-6.86%5,419,4546,423,5335,889,3745,538,350
流动资产净值(567,259)-41.18%(964,457)(1,550,671)(830,962)571,158
资产总额减流动负债4,950,0139.08%4,537,8094,231,9235,358,7116,846,542

非流动负债
长期借款1,569,67537.33%1,143,015193,629580,106482,520
应付债券0--000900,058
其他非流动负债312,0718.87%286,646383,901298,449127,855
1,881,74631.62%1,429,661577,530878,5551,510,433

总权益
    实收股本2,716,3780.00%2,716,3782,716,3782,780,7952,780,795
    储备项目273,262-13.10%314,471835,4361,595,4592,421,655
股东权益2,989,640-1.36%3,030,8493,551,8144,376,2555,202,450
非控股权益78,6271.72%77,299102,580103,901133,660