601298 青岛港
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14,910,1472.75%14,510,95314,045,73012,888,0869,847,614
投资性房地产234,421-16.68%281,360208,311145,666184,884
固定资产24,840,4211.04%24,584,19223,728,48022,183,66119,384,965
在建工程674,833-45.92%1,247,8431,757,3392,491,9303,513,501
无形资产2,954,219-0.02%2,954,8103,070,3133,202,1783,217,897
商誉28,0150.00%28,01528,01548,68348,683
其他非流动资产2,638,5975.16%2,509,1112,616,1802,638,1515,445,988
46,280,6530.36%46,116,28345,454,36943,598,35641,643,533

流动资产
货币资金15,929,61325.70%12,673,13010,934,0279,183,3249,130,884
应收账款2,152,5483.25%2,084,8411,952,3122,016,4721,965,092
存货43,4956.90%40,68851,60554,147130,811
其他流动资产2,006,6339.36%1,834,8121,853,5472,623,5959,349,265
20,132,29021.03%16,633,47014,791,49213,877,53720,576,052

流动负债
短期借款965,146912.39%95,333126,412269,0881,498,398
应付票据294,369-39.42%485,891917,6241,034,8981,237,001
应付帐款1,376,287-14.67%1,612,9061,870,1221,435,3081,504,308
其他流动负债7,478,91620.46%6,208,5885,639,8815,947,65912,177,232
10,114,71820.37%8,402,7188,554,0398,686,95416,416,940
流动资产净值10,017,57221.71%8,230,7526,237,4525,190,5834,159,112
资产总额减流动负债56,298,2263.59%54,347,03651,691,82148,788,93945,802,645

非流动负债
长期借款2,334,24916.84%1,997,8921,791,9841,542,5280
应付债券0--0000
其他非流动负债5,365,329-3.45%5,557,0575,361,1755,969,5115,785,510
7,699,5781.91%7,554,9497,153,1587,512,0395,785,510

总权益
    实收股本6,491,1000.00%6,491,1006,491,1006,491,1006,491,100
    储备项目37,532,5154.27%35,996,83233,785,95730,908,43729,059,785
股东权益44,023,6153.61%42,487,93240,277,05737,399,53735,550,885
非控股权益4,575,0326.29%4,304,1544,261,6063,877,3644,466,249