601700 风范股份
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135,3963.09%131,33798,652127,953151,446
投资性房地产139,093-1.76%141,587122,831112,60248,555
固定资产1,376,448-2.98%1,418,7871,327,9141,438,800753,452
在建工程45,8315.26%43,54062,1117,5355,545
无形资产458,852-1.18%464,352443,282465,783135,086
商誉0--0338,976370,4810
其他非流动资产231,861-1.72%235,929235,499126,894120,122
2,387,480-1.97%2,435,5322,629,2662,650,0471,214,207

流动资产
货币资金1,613,35320.49%1,338,9411,916,9691,221,608805,772
应收账款801,258-6.54%857,3451,035,9711,162,223724,668
存货1,040,00211.46%933,043920,5161,100,022701,812
其他流动资产1,663,57813.65%1,463,7941,492,5811,650,7431,340,157
5,118,19111.43%4,593,1225,366,0365,134,5973,572,409

流动负债
短期借款2,769,8228.72%2,547,7572,393,9851,875,1581,574,931
应付票据550,63334.12%410,560914,377664,633192,182
应付帐款515,41310.86%464,935403,940566,706269,089
其他流动负债820,2855.69%776,113679,1141,166,897111,025
4,656,15310.88%4,199,3654,391,4154,273,3952,147,226
流动资产净值462,03917.34%393,757974,621861,2021,425,182
资产总额减流动负债2,849,5190.72%2,829,2893,603,8873,511,2482,639,389

非流动负债
长期借款390,95510.81%352,800506,556280,6510
应付债券0--0000
其他非流动负债211,771-7.98%230,133193,882159,8676,696
602,7263.40%582,933700,439440,5176,696

总权益
    实收股本1,138,757-0.31%1,142,2471,142,2471,142,2471,142,197
    储备项目1,012,2681.52%997,0781,536,4471,513,9361,468,625
股东权益2,151,0250.55%2,139,3252,678,6942,656,1832,610,822
非控股权益95,767-10.52%107,031224,754414,54821,871