300850 新强联
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7,760-10.45%8,6660138,178144,022
投资性房地产6,11235.13%4,523784861284
固定资产3,879,495-1.12%3,923,5623,829,9652,574,6431,562,586
在建工程468,992100.31%234,132363,307731,992517,321
无形资产330,907-0.96%334,123347,182359,635362,105
商誉50,9490.00%50,94950,94950,94950,949
其他非流动资产1,179,6561.59%1,161,1451,040,2661,668,1431,683,054
5,923,8723.62%5,717,1005,632,4535,524,4024,320,322

流动资产
货币资金800,02822.68%652,108536,213867,9111,287,246
应收账款1,794,68416.24%1,543,9531,366,3281,087,118999,992
存货1,699,18131.92%1,288,059836,606979,304763,934
其他流动资产2,109,564-14.85%2,477,4241,631,8521,214,9261,808,375
6,403,4577.41%5,961,5444,370,9994,149,2604,859,547

流动负债
短期借款931,8185.34%884,541570,4891,450,4631,657,131
应付票据1,263,322-0.35%1,267,814863,678696,9421,220,374
应付帐款437,3209.48%399,441391,377327,098297,577
其他流动负债492,115-38.90%805,470498,263180,965244,011
3,124,575-6.93%3,357,2672,323,8072,655,4683,419,094
流动资产净值3,278,88225.90%2,604,2772,047,1921,493,7911,440,453
资产总额减流动负债9,202,75410.59%8,321,3777,679,6457,018,1935,760,775

非流动负债
长期借款1,368,84094.29%704,546865,847658,22622,924
应付债券0--01,109,6731,073,2281,035,043
其他非流动负债340,060-12.73%389,645462,860101,114747,896
1,708,89956.18%1,094,1912,438,3801,832,5681,805,863

总权益
    实收股本414,0860.00%414,086358,745358,742329,709
    储备项目6,877,7614.44%6,585,4894,752,9964,723,6363,540,460
股东权益7,291,8474.18%6,999,5755,111,7415,082,3783,870,169
非控股权益202,008-11.25%227,611129,524103,24884,743