002541 鸿路钢构
2026/06 - 中期
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43,343-2.67%44,5309,14310,24612,099
投资性房地产22,186-15.75%26,33329,49826,88928,658
固定资产8,194,0801.16%8,100,1637,632,8907,317,9675,872,842
在建工程125,39085.97%67,424245,80169,535239,060
无形资产1,049,6620.85%1,040,7741,040,2461,039,2011,047,939
商誉0--0000
其他非流动资产996,5732.90%968,5251,021,363939,706750,168
10,431,2351.79%10,247,7509,978,9419,403,5447,950,765

流动资产
货币资金2,656,56834.64%1,973,0581,473,9321,410,925913,191
应收账款2,765,748-7.95%3,004,5893,492,3532,717,6022,116,790
存货12,219,4498.33%11,279,7548,955,6118,419,1928,283,671
其他流动资产1,733,87813.59%1,526,4531,340,2701,333,0271,325,044
19,375,6428.95%17,783,85415,262,16713,880,74512,638,696

流动负债
短期借款3,467,23650.81%2,299,1282,025,0771,270,8741,869,756
应付票据4,775,105-13.96%5,549,9364,001,4514,027,2043,033,201
应付帐款432,286-25.29%578,586428,592369,693732,997
其他流动负债5,295,2230.77%5,254,9902,929,3732,677,2142,369,722
13,969,8502.10%13,682,6409,384,4948,344,9858,005,676
流动资产净值5,405,79231.81%4,101,2145,877,6735,535,7614,633,020
资产总额减流动负债15,837,02710.37%14,348,96415,856,61414,939,30412,583,785

非流动负债
长期借款4,811,83035.57%3,549,4293,811,4993,396,8302,224,810
应付债券0--01,501,5211,453,3561,399,837
其他非流动负债794,150-2.63%815,598929,684895,105699,314
5,605,98028.43%4,365,0276,242,7035,745,2924,323,962

总权益
    实收股本690,0190.00%690,017690,013690,011690,011
    储备项目9,538,6862.66%9,291,5788,921,4518,504,0017,569,812
股东权益10,228,7062.48%9,981,5959,611,4639,194,0138,259,824
非控股权益2,3420.00%2,3422,44800