600370 *ST三房巷
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0--00110,199107,227
投资性房地产269,514-3.34%278,834297,473317,184335,792
固定资产8,368,500-5.21%8,828,4662,936,7653,789,5242,856,483
在建工程19,705-30.28%28,2625,748,699783,0841,215,730
无形资产637,980-2.38%653,504513,897517,021502,243
商誉0--0000
其他非流动资产812,292-3.23%839,397927,4151,426,8731,135,583
10,107,991-4.90%10,628,46210,424,2496,943,8846,153,058

流动资产
货币资金446,667-61.93%1,173,3381,083,7732,109,3872,273,684
应收账款3,680,552-2.84%3,788,3224,701,6333,442,4012,920,246
存货1,406,6147.83%1,304,4951,822,7233,149,8132,621,054
其他流动资产694,75237.54%505,135571,704447,681433,233
6,228,585-8.01%6,771,2918,179,8329,149,2828,248,217

流动负债
短期借款2,253,0367.30%2,099,7572,713,2032,211,2991,892,833
应付票据204,765-17.68%248,744486,052501,451951,480
应付帐款1,893,801-32.76%2,816,4642,438,0261,662,3012,761,137
其他流动负债2,530,9892.88%2,460,0922,159,7651,346,2861,365,244
6,882,591-9.74%7,625,0587,797,0475,721,3376,970,694
流动资产净值(654,006)-23.40%(853,767)382,7853,427,9461,277,523
资产总额减流动负债9,453,985-3.28%9,774,69510,807,03510,371,8307,430,581

非流动负债
长期借款1,625,257-6.96%1,746,9101,746,1631,134,373140,769
应付债券2,028,476-12.45%2,317,0292,243,7902,161,7670
其他非流动负债638,700-27.89%885,7561,107,190778,920542,285
4,292,433-13.28%4,949,6965,097,1444,075,060683,054

总权益
    实收股本4,022,6483.23%3,896,6763,896,5133,896,3453,896,340
    储备项目1,138,90522.68%928,3231,813,3782,400,4252,851,187
股东权益5,161,5536.98%4,824,9995,709,8916,296,7706,747,527
非控股权益0--0000