600018 上港集团
2025/09 - 九个月
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88,150,5326.93%82,439,59375,339,55569,972,85259,772,994
投资性房地产7,891,61210.42%7,146,9174,912,2032,031,9541,580,885
固定资产38,334,183-0.75%38,622,42036,073,66632,830,90232,277,014
在建工程9,256,08634.88%6,862,2348,377,4734,324,0561,716,571
无形资产13,535,531-0.41%13,591,71414,090,06313,552,50313,935,496
商誉362,50510.79%327,190327,190251,322251,322
其他非流动资产11,526,778-19.51%14,321,43411,405,79512,313,06210,702,837
169,057,2263.52%163,311,502150,525,945135,276,651120,237,120

流动资产
货币资金35,844,6039.18%32,830,78335,721,67626,843,32628,620,980
应收账款4,500,33526.99%3,543,9862,768,8373,505,4692,966,601
存货6,777,234-9.12%7,457,72610,282,28011,538,34914,297,990
其他流动资产4,766,309-2.96%4,911,5444,276,7774,637,9104,664,787
51,888,4816.45%48,744,03953,049,57046,525,05550,550,359

流动负债
短期借款194,350119.08%88,713150,668156,251531,439
应付票据0--0000
应付帐款5,606,143-9.25%6,177,3166,639,7285,765,8235,635,135
其他流动负债18,425,2229.66%16,802,25816,044,96419,941,81723,115,338
24,225,7155.02%23,068,28722,835,36025,863,89129,281,912
流动资产净值27,662,7667.74%25,675,75130,214,21120,661,16321,268,446
资产总额减流动负债196,719,9924.09%188,987,254180,740,156155,937,814141,505,566

非流动负债
长期借款27,759,0390.02%27,753,44529,013,70514,488,17415,181,963
应付债券10,670,025-1.44%10,825,73212,791,34217,447,62915,954,855
其他非流动负债3,285,2129.53%2,999,2722,748,6962,834,9632,563,118
41,714,2760.33%41,578,44944,553,74334,770,76633,699,937

总权益
    实收股本23,281,3650.00%23,281,36523,284,14523,284,14523,278,680
    储备项目116,746,9006.11%110,025,52799,891,29589,043,26376,512,116
股东权益140,028,2655.04%133,306,892123,175,440112,327,40799,790,796
非控股权益14,977,4506.21%14,101,91313,010,9728,839,6418,014,834