600981 苏豪汇鸿
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1,428,674-0.77%1,439,8101,495,1221,687,8151,801,548
投资性房地产656,981-1.77%668,803661,890699,128731,707
固定资产1,046,532-0.73%1,054,2471,146,2071,247,4271,266,048
在建工程3,56048.71%2,39422,74417,0844,866
无形资产524,249-1.32%531,261570,201604,541641,667
商誉165,3970.00%165,397165,397166,056166,056
其他非流动资产739,274-0.55%743,334732,283822,231987,592
4,564,668-0.88%4,605,2464,793,8455,244,2825,599,485

流动资产
货币资金4,351,909-20.10%5,446,8503,535,6033,466,7304,132,182
应收账款3,526,778-8.05%3,835,4544,412,4722,842,7452,818,761
存货8,846,73018.86%7,442,7386,552,4104,853,7874,322,300
其他流动资产8,098,81920.26%6,734,1486,491,1887,758,6128,192,221
24,824,2375.82%23,459,19120,991,67218,921,87319,465,463

流动负债
短期借款10,561,95916.05%9,101,5336,767,1605,491,5167,784,427
应付票据1,547,29521.73%1,271,1291,385,857647,153579,792
应付帐款2,450,8861.75%2,408,7552,389,9232,400,4452,167,942
其他流动负债5,486,421-6.63%5,876,1347,318,4594,648,1976,013,981
20,046,5627.44%18,657,55017,861,39913,187,31116,546,142
流动资产净值4,777,675-0.50%4,801,6413,130,2735,734,5622,919,321
资产总额减流动负债9,342,343-0.69%9,406,8877,924,11810,978,8448,518,806

非流动负债
长期借款2,968,523-1.53%3,014,5071,676,2824,297,0841,704,212
应付债券0--000186,975
其他非流动负债728,970-0.40%731,871550,387597,371736,054
3,697,492-1.30%3,746,3782,226,6704,894,4562,627,241

总权益
    实收股本2,242,4330.00%2,242,4332,242,4332,242,4332,242,433
    储备项目2,738,451-1.69%2,785,5002,799,8723,011,6812,776,932
股东权益4,980,885-0.94%5,027,9335,042,3055,254,1145,019,365
非控股权益663,9664.96%632,576655,143830,275872,200