600340 *ST华夏幸福
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2,907,491-0.78%2,930,2843,227,4865,073,9476,014,435
投资性房地产1,664,730-0.45%1,672,1862,481,6642,577,4466,924,711
固定资产4,135,333-6.48%4,422,0606,547,4468,354,7288,645,457
在建工程2,043,507-0.79%2,059,6962,036,7282,783,0743,774,300
无形资产3,223,842-2.65%3,311,6694,142,8914,526,6674,977,559
商誉0--0000
其他非流动资产24,366,0532.89%23,681,63622,784,01320,551,50314,267,691
38,340,9570.69%38,077,53141,220,22743,867,36544,604,153

流动资产
货币资金2,929,669-28.07%4,072,7305,806,7706,477,66512,417,562
应收账款24,262,604-1.30%24,582,14849,377,78846,788,13152,564,735
存货59,307,610-3.04%61,168,12674,736,15582,636,193122,871,889
其他流动资产127,592,8970.09%127,484,021133,248,092171,727,501176,182,643
214,092,781-1.48%217,307,025263,168,805307,629,490364,036,829

流动负债
短期借款7,313,3970.21%7,298,3977,604,7268,313,3879,723,862
应付票据0--0030,183404,873
应付帐款33,155,843-3.30%34,288,20737,197,21543,352,08550,582,583
其他流动负债99,485,5294.11%95,556,02895,148,288103,995,684176,371,058
139,954,7702.05%137,142,632139,950,229155,691,338237,082,376
流动资产净值74,138,011-7.52%80,164,393123,218,576151,938,152126,954,453
资产总额减流动负债112,478,968-4.87%118,241,924164,438,803195,805,518171,558,606

非流动负债
长期借款70,960,081-2.10%72,479,52192,519,58895,569,23395,414,423
应付债券34,202,387-0.61%34,411,75135,432,56062,860,12340,637,727
其他非流动负债17,000,6885.06%16,181,69517,249,69015,521,82011,156,941
122,163,156-0.74%123,072,967145,201,837173,951,176147,209,090

总权益
    实收股本3,893,3550.00%3,893,3553,893,3553,893,3553,893,355
    储备项目(25,666,267)18.63%(21,636,399)201,6163,266,8765,486,895
股东权益(21,772,912)22.71%(17,743,044)4,094,9717,160,2319,380,250
非控股权益12,088,724-6.38%12,912,00115,141,99414,694,11114,969,265