600103 青山纸业
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78,2791.13%77,40176,01574,48538,369
投资性房地产12,399-2.52%12,71913,37014,02014,670
固定资产1,699,346-3.89%1,768,2001,192,2381,258,3701,368,566
在建工程27,934-2.10%28,533437,23938,18132,685
无形资产162,092-4.73%170,139172,992187,897207,820
商誉7,263-9.39%8,0169,53811,07512,632
其他非流动资产451,9962.13%442,587450,864636,651444,858
2,439,309-2.72%2,507,5962,352,2562,220,6792,119,600

流动资产
货币资金554,644-15.14%653,603972,6021,113,342404,526
应收账款268,595158.19%104,028131,249103,120134,791
存货549,085-3.52%569,090530,728599,133582,000
其他流动资产2,215,125-12.63%2,535,4032,180,1821,787,5682,149,869
3,587,450-7.11%3,862,1253,814,7613,603,1643,271,187

流动负债
短期借款672,8454.90%641,412730,521432,108333,310
应付票据226,655-57.27%530,439443,614466,275196,383
应付帐款294,073-15.81%349,287311,390278,044328,110
其他流动负债387,723-14.26%452,198337,526250,973394,165
1,581,296-19.87%1,973,3361,823,0511,427,4001,251,967
流动资产净值2,006,1546.21%1,888,7891,991,7092,175,7642,019,220
资产总额减流动负债4,445,4631.12%4,396,3844,343,9654,396,4424,138,820

非流动负债
长期借款0--035,000141,56093,760
应付债券0--0000
其他非流动负债99,0008.50%91,24589,15590,83597,861
99,0008.50%91,245124,155232,395191,621

总权益
    实收股本2,253,2550.00%2,253,2552,305,8182,305,8182,305,818
    储备项目1,709,3961.96%1,676,5791,569,7141,558,8041,350,518
股东权益3,962,6520.84%3,929,8343,875,5323,864,6223,656,336
非控股权益383,8122.27%375,305344,278299,425290,863