600418 江淮汽车
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4,812,698-3.02%4,962,5805,814,3975,417,3575,206,119
投资性房地产90,678-2.63%93,12897,10654,38461,458
固定资产9,074,8911.23%8,964,9459,290,5488,241,44311,767,595
在建工程1,373,967158.93%530,628294,480598,515856,987
无形资产3,286,040-10.34%3,665,1121,834,1621,663,3702,141,137
商誉0--0000
其他非流动资产4,787,64112.78%4,244,9424,058,9611,961,4551,946,860
23,425,9144.29%22,461,33421,389,65417,936,52521,980,156

流动资产
货币资金11,983,066-30.09%17,140,01113,255,67115,346,30312,714,129
应收账款3,456,69912.94%3,060,7173,104,6372,972,2373,078,454
存货3,297,9599.45%3,013,2383,579,2694,745,6783,388,320
其他流动资产6,272,15620.52%5,204,2917,752,0835,763,1125,921,628
25,009,879-11.99%28,418,25627,691,66128,827,33025,102,530

流动负债
短期借款358,872110.24%170,698112,47050,046916,885
应付票据12,088,840-15.22%14,258,82811,864,6039,645,1357,354,373
应付帐款9,493,468-20.35%11,919,0779,684,3808,701,3758,547,363
其他流动负债6,836,508-24.54%9,059,7338,675,4818,380,3959,309,965
28,777,688-18.73%35,408,33630,336,93426,776,95226,128,586
流动资产净值(3,767,808)-46.10%(6,990,080)(2,645,273)2,050,379(1,026,056)
资产总额减流动负债19,658,10627.06%15,471,25418,744,38119,986,90320,954,100

非流动负债
长期借款3,981,72767.79%2,373,0003,677,0004,325,0005,559,092
应付债券0--0000
其他非流动负债2,333,575-4.74%2,449,7882,638,2311,168,8391,327,798
6,315,30230.95%4,822,7886,315,2315,493,8396,886,891

总权益
    实收股本2,254,1783.21%2,184,0102,184,0102,184,0102,184,010
    储备项目10,158,56635.33%7,506,2499,175,52211,049,85211,459,365
股东权益12,412,74528.10%9,690,25911,359,53213,233,86213,643,374
非控股权益930,060-2.94%958,2071,069,6181,259,202423,835