601686 友发集团
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95,0920.00%95,09291,3334,4760
投资性房地产448,699-0.94%452,939460,670400,848375,035
固定资产4,970,473-1.42%5,041,9984,937,1005,108,8575,051,360
在建工程340,323100.14%170,042154,47686,476354,030
无形资产864,0893.44%835,354680,957719,913737,999
商誉203,3330.13%203,063168,911168,911168,911
其他非流动资产525,99710.73%475,032305,727237,285243,033
7,448,0062.40%7,273,5196,799,1756,726,7676,930,368

流动资产
货币资金8,133,444-21.77%10,397,41112,492,6363,775,8703,725,431
应收账款1,556,7731.45%1,534,5301,483,4771,046,704725,803
存货3,681,3455.52%3,488,7263,322,2103,485,1532,839,830
其他流动资产2,112,46017.11%1,803,8781,904,2432,615,6502,558,945
15,484,023-10.10%17,224,54419,202,56510,923,3789,850,009

流动负债
短期借款882,53956.18%565,092746,9681,382,6832,029,714
应付票据10,088,310-13.72%11,691,89712,985,6734,376,6572,555,112
应付帐款422,1948.18%390,268333,925321,894486,433
其他流动负债1,243,067-29.15%1,754,4211,401,8961,195,0271,395,931
12,636,110-12.26%14,401,67815,468,4627,276,2616,467,190
流动资产净值2,847,9130.89%2,822,8673,734,1033,647,1173,382,819
资产总额减流动负债10,295,9191.98%10,096,38610,533,27810,373,88410,313,187

非流动负债
长期借款235,4739.31%215,413259,604406,010882,335
应付债券1,934,775-0.27%1,939,9312,007,3611,926,2551,844,911
其他非流动负债454,7181.13%449,622416,340338,696204,052
2,624,9670.77%2,604,9662,683,3052,670,9602,931,297

总权益
    实收股本1,471,5470.03%1,471,1101,432,9421,429,7011,430,457
    储备项目5,393,9852.04%5,286,3395,327,9765,283,4665,004,588
股东权益6,865,5321.60%6,757,4496,760,9196,713,1666,435,045
非控股权益805,4209.73%733,9711,089,055989,757946,844