600489 中金黄金
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1,975,1516.80%1,849,3531,461,0821,414,629895,854
投资性房地产16,427-5.32%17,35019,19621,04222,888
固定资产13,771,247-3.01%14,198,84313,698,97314,239,07215,147,993
在建工程4,828,84831.22%3,679,9953,283,8112,186,9611,615,316
无形资产10,507,694-1.32%10,648,60710,603,58910,132,42210,171,840
商誉323,3020.00%323,302323,302523,705714,394
其他非流动资产3,230,605-1.88%3,292,4813,500,9043,331,4673,584,673
34,653,2731.89%34,009,93032,890,85631,849,29832,152,959

流动资产
货币资金17,414,45319.62%14,557,57510,978,2638,319,5579,928,367
应收账款184,288442.73%33,95638,29162,96259,041
存货17,765,62643.90%12,345,93410,400,62411,398,79911,621,629
其他流动资产2,410,47150.32%1,603,5671,330,6291,049,6281,551,163
37,774,83932.35%28,541,03122,747,80720,830,94623,160,199

流动负债
短期借款13,110,74833.85%9,794,9988,284,6978,504,9828,629,224
应付票据20,000-1.49%20,30264,370165,209149,869
应付帐款4,515,82032.36%3,411,8202,766,7052,988,0123,091,609
其他流动负债10,726,77238.90%7,722,7533,954,3053,598,1126,140,523
28,373,34035.43%20,949,87415,070,07715,256,31518,011,225
流动资产净值9,401,49923.85%7,591,1577,677,7315,574,6315,148,974
资产总额减流动负债44,054,7725.90%41,601,08840,568,58737,423,92837,301,932

非流动负债
长期借款3,814,9786.12%3,594,8326,453,0585,366,1237,640,607
应付债券0--0000
其他非流动负债1,547,513-1.52%1,571,4311,543,1781,321,7581,318,899
5,362,4913.80%5,166,2637,996,2366,687,8818,959,507

总权益
    实收股本4,847,3130.00%4,847,3134,847,3134,847,3134,847,313
    储备项目27,648,3418.51%25,479,39422,545,53021,061,46919,448,946
股东权益32,495,6547.15%30,326,70727,392,84325,908,78124,296,259
非控股权益6,196,6271.45%6,108,1185,179,5094,827,2664,046,167