000718 苏宁环球
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1,186,4630.15%1,184,7231,181,4051,225,7571,250,847
投资性房地产640,484-4.33%669,493700,765672,048704,303
固定资产1,116,266-3.41%1,155,7021,066,066820,820841,537
在建工程1,2370.00%1,237133,1103,3474,324
无形资产342,865-1.97%349,757363,376393,178408,049
商誉144,5980.00%144,598144,598189,295153,438
其他非流动资产557,727-1.37%565,448431,656372,141241,625
3,989,642-2.00%4,070,9584,020,9773,676,5863,604,123

流动资产
货币资金713,382-16.33%852,585523,1041,113,642452,859
应收账款72,817-3.27%75,28262,58474,295110,883
存货8,061,382-1.54%8,187,8798,510,4099,390,0789,923,036
其他流动资产966,606-18.65%1,188,2431,807,7881,147,1011,351,861
9,814,187-4.75%10,303,98910,903,88511,725,11511,838,639

流动负债
短期借款490,880-2.16%501,734450,485614,202448,650
应付票据0--00011,098
应付帐款1,093,790-11.45%1,235,1681,392,0951,748,1272,180,004
其他流动负债1,593,475-14.51%1,863,9352,358,2972,480,4912,133,509
3,178,145-11.74%3,600,8384,200,8774,842,8214,773,262
流动资产净值6,636,041-1.00%6,703,1526,703,0086,882,2947,065,377
资产总额减流动负债10,625,683-1.38%10,774,11010,723,98510,558,88110,669,501

非流动负债
长期借款832,351-17.18%1,004,9821,005,600722,1401,557,600
应付债券0--0000
其他非流动负债94,3628.78%86,74260,03357,09529,970
926,713-15.11%1,091,7241,065,633779,2351,587,570

总权益
    实收股本3,034,6360.00%3,034,6363,034,6363,034,6363,034,636
    储备项目6,393,4840.25%6,377,5616,354,0596,471,3865,788,040
股东权益9,428,1210.17%9,412,1989,388,6969,506,0238,822,677
非控股权益270,8500.25%270,188269,656273,623259,254