601689 拓普集团
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259,968146.99%105,25496,733139,641141,705
投资性房地产17,612-5.74%18,68520,83222,97925,126
固定资产15,147,4760.65%15,049,40813,684,59611,518,3288,725,700
在建工程1,773,264-5.66%1,879,6712,284,6192,999,6183,553,833
无形资产1,544,975-1.57%1,569,5881,369,5191,390,1411,227,724
商誉340,4750.00%340,475202,103203,183209,242
其他非流动资产1,746,67114.39%1,526,9051,202,2561,004,0201,192,715
20,830,4411.66%20,489,98618,860,65817,277,91015,076,044

流动资产
货币资金5,325,8742.03%5,219,8063,987,7662,855,3672,795,532
应收账款6,621,502-9.61%7,325,7936,425,5895,006,7154,347,461
存货4,815,2712.09%4,716,8274,000,0583,244,8423,255,861
其他流动资产4,997,053-19.17%6,182,1834,269,8012,384,9372,035,652
21,759,700-7.19%23,444,60918,683,21413,491,86112,434,506

流动负债
短期借款3,911,15933.44%2,930,929930,633999,7991,132,537
应付票据4,200,317-26.52%5,716,3383,198,4532,855,6912,986,683
应付帐款7,068,438-5.50%7,479,8976,140,2455,407,0384,828,236
其他流动负债1,511,011-39.94%2,515,6512,769,2021,961,348673,195
16,690,925-10.47%18,642,81513,038,53411,223,8769,620,651
流动资产净值5,068,7755.56%4,801,7945,644,6802,267,9862,813,855
资产总额减流动负债25,899,2162.40%25,291,78024,505,33819,545,89617,889,899

非流动负债
长期借款748,000232.27%225,1161,448,8712,506,1242,825,000
应付债券0--02,513,4742,436,3292,357,412
其他非流动负债896,122-3.86%932,111959,739789,140547,262
1,644,12242.07%1,157,2274,922,0855,731,5935,729,674

总权益
    实收股本1,737,8360.00%1,737,8361,686,0261,102,0501,102,047
    储备项目22,480,0890.54%22,360,15117,864,23812,682,33011,027,654
股东权益24,217,9250.50%24,097,98719,550,26413,784,38012,129,701
非控股权益37,1691.65%36,56632,99029,92330,525