002789 *ST建艺集团
2026/06 - 中期
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158,0680.60%157,128154,316170,983158,459
投资性房地产37,77283.00%20,64020,01988,54453,175
固定资产536,796-6.81%576,052639,717616,051616,025
在建工程10,17020.61%8,4328,61548,48152,252
无形资产435,915-1.75%443,675457,393293,996336,676
商誉274,4990.00%274,499327,509327,509327,509
其他非流动资产1,437,6519.12%1,317,4461,249,7881,432,3001,362,863
2,890,8713.32%2,797,8722,857,3582,977,8662,906,959

流动资产
货币资金497,387-34.31%757,1371,226,935677,124566,353
应收账款2,106,952-19.49%2,616,8473,906,2413,653,0843,495,583
存货97,9904.06%94,169255,179248,812163,861
其他流动资产1,276,262-4.62%1,338,0701,949,4802,551,6421,844,685
3,978,592-17.22%4,806,2237,337,8347,130,6636,070,482

流动负债
短期借款447,669-19.46%555,8331,217,2561,272,776626,103
应付票据0-100.00%35,921524,077187,874288,817
应付帐款3,243,203-10.20%3,611,4324,442,3714,700,1664,082,897
其他流动负债2,606,72315.21%2,262,5003,158,6282,679,2313,028,131
6,297,594-2.60%6,465,6869,342,3328,840,0478,025,948
流动资产净值(2,319,003)39.74%(1,659,463)(2,004,498)(1,709,384)(1,955,466)
资产总额减流动负债571,868-49.77%1,138,409852,8601,268,482951,492

非流动负债
长期借款55,150-22.64%71,287709,982504,500175,800
应付债券0-100.00%287,020287,02000
其他非流动负债220,609-32.86%328,603389,187506,490460,519
275,759-59.86%686,9101,386,1891,010,990636,319

总权益
    实收股本159,6240.00%159,624159,624159,624159,624
    储备项目(98,111)-312.41%46,190(962,808)(128,013)9,861
股东权益61,513-70.11%205,814(803,185)31,610169,484
非控股权益234,596-4.51%245,685269,855225,881145,689