000498 山东路桥
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8,956,4723.01%8,694,5198,484,3447,692,7376,649,386
投资性房地产489,999-2.07%500,343309,069330,422325,381
固定资产4,168,441-2.70%4,284,3124,266,6994,291,6513,865,244
在建工程419,9932.82%408,490102,450288,4244,677,329
无形资产8,541,2981.65%8,402,9787,262,7466,214,947423,455
商誉286,8010.00%286,801286,801286,801286,801
其他非流动资产31,046,0601.16%30,688,66625,550,57119,630,92415,103,610
53,909,0651.21%53,266,11146,262,68138,735,90731,331,208

流动资产
货币资金8,356,163-10.76%9,363,5867,111,4228,172,6047,047,049
应收账款22,723,7083.72%21,908,29717,845,41014,121,06410,827,794
存货3,088,36411.09%2,779,9872,840,6303,015,9962,855,003
其他流动资产90,308,574-4.98%95,044,85489,306,55075,493,21158,182,950
124,476,809-3.58%129,096,723117,104,011100,802,87578,912,795

流动负债
短期借款12,291,97821.39%10,125,6828,884,1867,889,3306,435,451
应付票据2,413,7353.24%2,338,0262,980,1256,227,4575,526,429
应付帐款77,186,289-5.85%81,981,56671,398,97155,858,67045,439,635
其他流动负债18,003,989-12.98%20,688,32019,901,38918,759,93315,479,016
109,895,992-4.55%115,133,593103,164,67288,735,39072,880,531
流动资产净值14,580,8184.42%13,963,13013,939,34012,067,4856,032,264
资产总额减流动负债68,489,8831.88%67,229,24060,202,02150,803,39237,363,472

非流动负债
长期借款12,923,6056.24%12,163,97714,051,89710,125,0178,285,723
应付债券10,046,6350.73%9,974,0559,818,2816,958,9832,800,000
其他非流动负债2,735,14921.38%2,253,431942,5411,046,1931,051,631
25,705,3895.39%24,391,46324,812,71918,130,19212,137,354

总权益
    实收股本2,143,9680.00%2,143,9682,152,5252,152,5202,152,156
    储备项目24,640,7731.99%24,161,16222,151,69920,539,20714,823,618
股东权益26,784,7411.82%26,305,13024,304,22522,691,72716,975,775
非控股权益15,999,753-3.22%16,532,64711,085,0779,981,4728,250,343