002208 合肥城建
2026/03 -
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346,035-0.64%348,263608,472443,551453,440
投资性房地产2,469,338-1.05%2,495,5892,474,2301,002,385888,122
固定资产144,0130.53%143,252146,901147,290123,056
在建工程5,63171.26%3,28810618,1745,445
无形资产10,572-4.70%11,09311,01511,8802,147
商誉1270.00%127127128133
其他非流动资产788,70116.38%677,688553,051205,62190,487
3,764,4162.31%3,679,3003,793,9041,829,0301,562,828

流动资产
货币资金3,953,50619.36%3,312,2505,364,9424,326,3514,701,278
应收账款634,82720.10%528,589339,026280,331276,374
存货19,493,157-7.69%21,117,52722,892,79124,973,76023,068,665
其他流动资产4,453,082-3.47%4,613,3256,334,9065,979,1953,839,771
28,534,572-3.51%29,571,69134,931,66435,559,63731,886,088

流动负债
短期借款732,091-0.03%732,3281,382,762500,581651,004
应付票据0--0000
应付帐款1,975,078-19.78%2,462,1312,442,1061,978,8851,666,013
其他流动负债9,565,448-9.84%10,609,08917,819,78217,242,08114,314,672
12,272,617-11.09%13,803,54921,644,65019,721,54716,631,689
流动资产净值16,261,9553.13%15,768,14213,287,01415,838,09015,254,399
资产总额减流动负债20,026,3712.98%19,447,44117,080,91817,667,12016,817,228

非流动负债
长期借款9,358,8516.09%8,821,2706,598,1976,480,6846,868,191
应付债券1,160,0000.00%1,160,000700,000458,809514,655
其他非流动负债29,653-3.51%30,73329,83426,47528,148
10,548,5045.36%10,012,0037,328,0306,965,9687,410,995

总权益
    实收股本803,2920.00%803,292803,292803,292803,292
    储备项目5,119,376-0.48%5,144,2715,664,8175,789,6695,610,419
股东权益5,922,668-0.42%5,947,5626,468,1096,592,9616,413,711
非控股权益3,555,1981.93%3,487,8763,284,7794,108,1912,992,522