601238 广汽集团
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34,334,38614.07%30,099,84237,137,44637,788,35836,904,566
投资性房地产950,409-3.45%984,3531,061,6281,019,8951,871,624
固定资产26,058,2273.19%25,251,59121,927,17119,283,52817,507,187
在建工程1,246,752-54.93%2,766,2462,621,4271,233,6211,730,357
无形资产20,546,4916.17%19,352,30819,872,71116,121,97615,382,791
商誉71,1120.00%71,11256,595103,181104,505
其他非流动资产27,730,982-33.83%41,906,84034,607,13122,678,01519,503,888
110,938,358-7.88%120,432,291117,284,10998,228,57493,004,917

流动资产
货币资金39,623,139-23.25%51,623,67048,895,16539,524,42524,035,914
应收账款3,826,74014.13%3,352,9395,303,9538,094,2447,222,248
存货17,529,21611.73%15,688,47616,720,31312,361,8308,110,960
其他流动资产40,753,785-1.47%41,360,96430,191,20831,622,54121,822,526
101,732,880-9.19%112,026,049101,110,63891,603,04061,191,647

流动负债
短期借款16,421,172-0.94%16,577,45711,673,7266,309,0152,296,429
应付票据13,950,901-0.82%14,066,7627,237,278964,550866,553
应付帐款16,252,580-24.16%21,429,01320,346,56716,781,91815,079,091
其他流动负债32,457,962-15.44%38,383,24937,869,37732,550,63930,564,186
79,082,614-12.57%90,456,48177,126,94856,606,12248,806,259
流动资产净值22,650,2665.01%21,569,56823,983,69034,996,91812,385,389
资产总额减流动负债133,588,625-5.92%142,001,860141,267,799133,225,492105,390,305

非流动负债
长期借款7,338,672-36.26%11,514,1708,902,7164,853,5512,702,121
应付债券502,399--0002,995,121
其他非流动负债8,038,918-7.72%8,711,1087,965,2956,094,5137,098,303
15,879,989-21.48%20,225,27816,868,01110,948,06312,795,545

总权益
    实收股本10,197,066-1.40%10,341,51810,490,23410,487,16410,370,593
    储备项目101,083,054-2.82%104,012,563105,229,919102,763,12279,888,694
股东权益111,280,120-2.69%114,354,081115,720,153113,250,28690,259,286
非控股权益6,428,515-13.39%7,422,5018,679,6359,027,1432,335,474