600720 中交设计
2025/09 - 九个月
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1,052,125-14.95%1,237,0771,579,5591,461,302133,251
投资性房地产43,237-2.11%44,16715,58616,6851,989
固定资产1,603,366-2.51%1,644,5861,741,1761,365,7047,156,699
在建工程44,47770.98%26,0139,323231,439133,845
无形资产333,9153.30%323,247337,671320,0261,002,400
商誉0--00067,829
其他非流动资产6,424,859-0.18%6,436,7035,937,5535,634,146635,475
9,501,978-2.16%9,711,7939,620,8689,029,3029,131,488

流动资产
货币资金6,429,420-16.09%7,661,8586,407,9018,571,110736,728
应收账款11,108,7705.09%10,570,8097,666,9996,776,712438,143
存货29,22231.88%22,15828,74234,043825,667
其他流动资产3,242,62916.80%2,776,2693,798,4513,713,588458,786
20,810,041-1.05%21,031,09417,902,09219,095,4532,459,324

流动负债
短期借款20,800108.00%10,0008,8439,9550
应付票据444,511365.32%95,529107,06031,223218,743
应付帐款6,982,840-8.35%7,618,8476,922,8897,786,621955,648
其他流动负债4,203,034-6.25%4,483,0684,610,4628,197,150598,575
11,651,185-4.56%12,207,44411,649,25416,024,9481,772,966
流动资产净值9,158,8553.80%8,823,6496,252,8383,070,504686,358
资产总额减流动负债18,660,8340.68%18,535,44215,873,70612,099,8069,817,846

非流动负债
长期借款567,4322.48%553,687569,848581,019387,520
应付债券452,831-2.46%464,242496,42600
其他非流动负债2,028,762-5.94%2,156,8781,979,6201,611,178383,564
3,049,024-3.96%3,174,8073,045,8932,192,196771,084

总权益
    实收股本2,294,5960.00%2,294,5962,061,7081,285,418776,290
    储备项目12,965,4661.85%12,730,05910,430,8538,304,5647,464,481
股东权益15,260,0621.57%15,024,65512,492,5619,589,9838,240,771
非控股权益351,7484.69%335,980335,252317,627805,990