600635 大众公用
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7,175,843-9.63%7,940,1857,407,6997,244,4427,235,452
投资性房地产225,595-0.71%227,205233,454236,364242,648
固定资产5,697,1991.28%5,625,0945,217,8105,134,4665,072,557
在建工程250,721-10.63%280,541321,030162,126168,308
无形资产143,220-1.53%145,444176,022186,008195,838
商誉0--012,73712,73712,737
其他非流动资产3,833,4762.01%3,757,8533,875,2774,422,6895,082,288
17,326,054-3.62%17,976,32217,244,02917,398,83218,009,827

流动资产
货币资金3,305,37210.48%2,991,8583,411,8773,216,3063,000,762
应收账款651,57416.15%560,957612,997448,508439,738
存货270,8631.43%267,053274,112298,390333,070
其他流动资产1,930,76831.70%1,466,0161,446,1391,472,6781,799,578
6,158,57716.51%5,285,8855,745,1245,435,8825,573,149

流动负债
短期借款2,530,9172.23%2,475,6333,019,2452,845,3302,932,832
应付票据93,498-13.27%107,802119,721200,00069,399
应付帐款2,304,1622.13%2,256,1951,720,9791,412,7561,663,159
其他流动负债2,974,528-1.50%3,019,8773,390,8534,054,9414,710,342
7,903,1040.55%7,859,5088,250,7988,513,0289,375,732
流动资产净值(1,744,527)-32.22%(2,573,623)(2,505,674)(3,077,146)(3,802,583)
资产总额减流动负债15,581,5271.16%15,402,69814,738,35514,321,68614,207,244

非流动负债
长期借款854,55532.38%645,511393,147337,394463,300
应付债券2,396,823-4.00%2,496,7022,494,4902,512,5842,356,995
其他非流动负债1,833,6080.58%1,823,0801,810,2541,735,0321,810,382
5,084,9862.41%4,965,2934,697,8924,585,0114,630,677

总权益
    实收股本2,952,4350.00%2,952,4352,952,4352,952,4352,952,435
    储备项目5,935,5330.00%5,935,5405,595,1395,366,5225,284,309
股东权益8,887,9680.00%8,887,9748,547,5748,318,9578,236,744
非控股权益1,608,5733.82%1,549,4311,492,8891,417,7181,339,823