601886 江河集团
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210,196-4.21%219,43672,74798,708118,762
投资性房地产367,579-8.70%402,605502,539447,976196,127
固定资产2,311,988-1.18%2,339,6201,889,3691,342,9421,136,044
在建工程259,34341.97%182,679419,033322,475237,141
无形资产694,625-0.78%700,091770,699709,499690,102
商誉270,243-1.63%274,718273,936395,361445,869
其他非流动资产2,062,345-0.16%2,065,7002,026,1842,000,9631,984,109
6,176,319-0.14%6,184,8495,954,5075,317,9244,808,154

流动资产
货币资金4,371,480-20.36%5,489,3545,351,8924,691,3544,160,784
应收账款12,231,416-6.00%13,012,23312,287,35512,252,74611,383,252
存货1,012,4628.18%935,881831,1241,045,9101,027,053
其他流动资产5,327,8637.00%4,979,1985,038,2305,398,0365,567,694
22,943,220-6.03%24,416,66623,508,60123,388,04522,138,783

流动负债
短期借款1,318,946-8.94%1,448,3651,282,7741,491,4361,316,884
应付票据4,427,5420.23%4,417,4985,986,7145,396,6895,529,682
应付帐款9,703,193-13.09%11,164,0959,164,8929,290,1678,602,746
其他流动负债3,594,044-2.19%3,674,5953,239,0343,129,4163,129,234
19,043,725-8.02%20,704,55319,673,41419,307,70818,578,546
流动资产净值3,899,4965.05%3,712,1123,835,1874,080,3373,560,237
资产总额减流动负债10,075,8141.81%9,896,9619,789,6959,398,2618,368,392

非流动负债
长期借款811,041-0.51%815,208618,435558,827311,862
应付债券0--0000
其他非流动负债477,4006.60%447,840434,056502,697433,765
1,288,4402.01%1,263,0481,052,4901,061,524745,627

总权益
    实收股本1,133,0020.00%1,133,0021,133,0021,133,0021,133,002
    储备项目6,275,3391.70%6,170,5466,225,4975,936,3685,231,945
股东权益7,408,3411.43%7,303,5487,358,4997,069,3706,364,947
非控股权益1,379,0343.66%1,330,3651,378,7051,267,3661,257,817