000965 天保基建
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347,7630.25%346,883357,896347,529368,262
投资性房地产898,3149.05%823,771758,771885,611907,362
固定资产386,3714.69%369,070279,097290,06834,631
在建工程0--0000
无形资产1,661-17.57%2,0152,7233,0393,158
商誉6,6480.00%6,6486,64810,93410,934
其他非流动资产335,144-51.90%696,755902,5211,009,9111,241,103
1,975,901-11.99%2,245,1432,307,6562,547,0912,565,450

流动资产
货币资金986,36319.46%825,6741,281,178423,156695,521
应收账款177,390-0.45%178,19931,8897,0727,348
存货10,118,380-8.17%11,018,82110,609,9629,504,5459,102,742
其他流动资产964,67958.08%610,253420,7851,016,185447,156
12,246,812-3.06%12,632,94712,343,81310,950,95710,252,767

流动负债
短期借款80,000-20.19%100,23660,213371,1501,020,534
应付票据43,555-77.02%189,551208,66800
应付帐款1,132,8382.96%1,100,2711,359,4311,387,3831,279,188
其他流动负债2,942,725-19.59%3,659,5014,351,8673,709,3673,817,315
4,199,118-16.84%5,049,5605,980,1785,467,9006,117,037
流动资产净值8,047,6946.12%7,583,3886,363,6355,483,0574,135,730
资产总额减流动负债10,023,5951.98%9,828,5318,671,2918,030,1486,701,180

非流动负债
长期借款3,320,4726.53%3,117,0031,583,2241,453,6191,221,968
应付债券0--0399,12700
其他非流动负债44,056-56.33%100,879119,421021,000
3,364,5284.56%3,217,8822,101,7711,453,6191,242,968

总权益
    实收股本1,109,8310.00%1,109,8311,109,8311,109,8311,109,831
    储备项目4,378,6890.99%4,335,8964,330,5834,335,9304,339,902
股东权益5,488,5200.79%5,445,7275,440,4145,445,7615,449,733
非控股权益1,170,5470.48%1,164,9221,129,1051,130,7688,480